NPORT-EX 2 NPORT_FT7A_44089648_0624.htm HTML

FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  BrandywineGLOBAL - Dynamic US Large Cap Value ETF    Country        Shares      Value  

Common Stocks 98.7%

          

Aerospace & Defense 4.7%

          

Lockheed Martin Corp.

     United States          15,401      $  7,193,807  

Textron, Inc.

     United States          1,637        140,553  
          

 

 

 
             7,334,360  
          

 

 

 

Air Freight & Logistics 2.1%

          

Expeditors International of Washington, Inc.

     United States          14,904        1,859,870  

FedEx Corp.

     United States          4,633        1,389,159  
          

 

 

 
             3,249,029  
          

 

 

 

Automobile Components 0.1%

          

Lear Corp.

     United States          1,068        121,976  
          

 

 

 

Automobiles 2.3%

          

General Motors Co.

     United States          74,846        3,477,345  

Harley-Davidson, Inc.

     United States          2,523        84,622  
          

 

 

 
             3,561,967  
          

 

 

 

Biotechnology 0.8%

          

Amgen, Inc.

     United States          3,904        1,219,805  
          

 

 

 

Broadline Retail 0.3%

          

Dillard’s, Inc., Class A

     United States          1,068        470,336  
          

 

 

 

Building Products 4.3%

          

A O Smith Corp.

     United States          2,268        185,477  

Advanced Drainage Systems, Inc.

     United States          6,451        1,034,676  

a Builders FirstSource, Inc.

     United States          17,960        2,485,843  

Carlisle Cos., Inc.

     United States          3,808        1,543,040  

Owens Corning

     United States          7,894        1,371,346  
          

 

 

 
             6,620,382  
          

 

 

 

Capital Markets 1.9%

          

Affiliated Managers Group, Inc.

     United States          3,675        574,145  

Evercore, Inc., Class A

     United States          2,789        581,311  

LPL Financial Holdings, Inc.

     United States          6,475        1,808,468  
          

 

 

 
             2,963,924  
          

 

 

 

Chemicals 3.8%

          

CF Industries Holdings, Inc.

     United States          12,127        898,853  

Eastman Chemical Co.

     United States          13,461        1,318,774  

LyondellBasell Industries NV, Class A

     United States          29,820        2,852,581  

NewMarket Corp.

     United States          170        87,647  

Olin Corp.

     United States          14,479        682,685  
          

 

 

 
             5,840,540  
          

 

 

 

Communications Equipment 3.1%

          

Cisco Systems, Inc.

     United States          102,847        4,886,261  
          

 

 

 

Computers & Peripherals 1.2%

          

NetApp, Inc.

     United States          14,018        1,805,518  
          

 

 

 

Construction & Engineering 0.2%

          

MDU Resources Group, Inc.

     United States          10,102        253,560  

a WillScot Mobile Mini Holdings Corp.

     United States          1,637        61,617  
          

 

 

 
             315,177  
          

 

 

 

Consumer Finance 0.4%

          

OneMain Holdings, Inc.

     United States          13,824        670,326  
          

 

 

 

Consumer Staples Distribution & Retail 1.7%

          

Albertsons Cos., Inc., Class A

     United States          37,169        734,088  

Walmart, Inc.

     United States          27,976        1,894,255  
          

 

 

 
             2,628,343  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Containers & Packaging 1.5%

          

Berry Global Group, Inc.

   United States        13,255        780,057  

Packaging Corp. of America

   United States        8,088        1,476,545  
          

 

 

 
             2,256,602  
          

 

 

 

Diversified Consumer Services 0.9%

          

Service Corp. International

   United States        18,651        1,326,646  
          

 

 

 

Electric Utilities 2.3%

          

NRG Energy, Inc.

   United States        3,917        304,977  

Southern Co.

   United States        41,377        3,209,614  
          

 

 

 
             3,514,591  
          

 

 

 

Electronic Equipment, Instruments & Components 1.3%

          

a Arrow Electronics, Inc.

   United States        6,549        790,857  

Jabil, Inc.

   United States        11,036        1,200,607  
          

 

 

 
             1,991,464  
          

 

 

 

Energy Equipment & Services 0.1%

          

ChampionX Corp.

   United States        5,323        176,777  
          

 

 

 

Entertainment 0.5%

          

Walt Disney Co.

   United States        7,846        779,029  
          

 

 

 

Financial Services 1.0%

          

Corebridge Financial, Inc.

   United States        11,714        341,112  

Enact Holdings, Inc.

   United States        1,358        41,636  

Equitable Holdings, Inc.

   United States        8,415        343,837  

Jackson Financial, Inc., Class A

   United States        1,431        106,266  

MGIC Investment Corp.

   United States        31,359        675,786  
          

 

 

 
             1,508,637  
          

 

 

 

Food Products 1.8%

          

Bunge Global SA

   United States        11,920        1,272,698  

Ingredion, Inc.

   United States        7,337        841,554  

Kraft Heinz Co.

   United States        23,028        741,962  
          

 

 

 
             2,856,214  
          

 

 

 

Ground Transportation 6.7%

          

CSX Corp.

   United States        201,291        6,733,184  

Norfolk Southern Corp.

   United States        15,704        3,371,492  

Ryder System, Inc.

   United States        2,341        290,003  
          

 

 

 
             10,394,679  
          

 

 

 

Hotels, Restaurants & Leisure 2.6%

          

Aramark

   United States        18,930        643,998  

Boyd Gaming Corp.

   United States        10,357        570,671  

Choice Hotels International, Inc.

   United States        2,329        277,151  

a Expedia Group, Inc.

   United States        2,389        300,990  

a MGM Resorts International

   United States        34,816        1,547,223  

Wyndham Hotels & Resorts, Inc.

   United States        8,731        646,094  
          

 

 

 
             3,986,127  
          

 

 

 

Household Durables 0.8%

          

KB Home

   United States        6,694        469,785  

PulteGroup, Inc.

   United States        7,106        782,370  
          

 

 

 
             1,252,155  
          

 

 

 

Household Products 1.0%

          

Procter & Gamble Co.

   United States        9,629        1,588,015  
          

 

 

 

Industrial Conglomerates 3.5%

          

Honeywell International, Inc.

   United States        25,794        5,508,051  
          

 

 

 

Insurance 7.4%

          

Aflac, Inc.

   United States        67,097        5,992,433  

American Financial Group, Inc.

   United States        6,852        842,933  

American International Group, Inc.

   United States        12,563        932,677  

Hartford Financial Services Group, Inc.

   United States        2,535        254,869  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Old Republic International Corp.

     United States          29,128        900,055  

Primerica, Inc.

     United States          1,371        324,351  

Prudential Financial, Inc.

     United States          9,204        1,078,617  

Unum Group

     United States          21,501        1,098,916  
          

 

 

 
             11,424,851  
          

 

 

 

IT Services 3.4%

          

International Business Machines Corp.

     United States          30,838        5,333,432  
          

 

 

 

Leisure Products 0.3%

          

Brunswick Corp.

     United States          7,397        538,280  
          

 

 

 

Machinery 4.7%

          

Caterpillar, Inc.

     United States          7,300        2,431,630  

Deere & Co.

     United States          13,133        4,906,883  
          

 

 

 
             7,338,513  
          

 

 

 

Media 5.7%

          

Comcast Corp., Class A

     United States          167,215        6,548,139  

Fox Corp., Class A

     United States          12,757        438,458  

Interpublic Group of Cos., Inc.

     United States          40,431        1,176,138  

Nexstar Media Group, Inc.

     United States          4,414        732,768  
          

 

 

 
             8,895,503  
          

 

 

 

Metals & Mining 3.0%

          

Nucor Corp.

     United States          6,124        968,082  

Reliance, Inc.

     United States          5,263        1,503,113  

Steel Dynamics, Inc.

     United States          16,674        2,159,283  
          

 

 

 
             4,630,478  
          

 

 

 

Oil, Gas & Consumable Fuels 14.9%

          

Antero Midstream Corp.

     United States          8,489        125,128  

Chesapeake Energy Corp.

     United States          2,958        243,118  

Chevron Corp.

     United States          23,562        3,685,568  

Chord Energy Corp.

     United States          728        122,071  

ConocoPhillips

     United States          44,214        5,057,197  

Coterra Energy, Inc., Class A

     United States          39,970        1,066,000  

Diamondback Energy, Inc.

     United States          1,431        286,472  

DT Midstream, Inc.

     United States          1,710        121,461  

EOG Resources, Inc.

     United States          4,523        569,310  

Exxon Mobil Corp.

     United States          6,463        744,021  

HF Sinclair Corp.

     United States          5,675        302,704  

Magnolia Oil & Gas Corp., Class A

     United States          3,214        81,443  

Marathon Oil Corp.

     United States          35,398        1,014,861  

Marathon Petroleum Corp.

     United States          28,510        4,945,915  

Murphy Oil Corp.

     United States          2,680        110,523  

Occidental Petroleum Corp.

     United States          6,245        393,622  

Ovintiv, Inc.

     United States          4,742        222,258  

PBF Energy, Inc., Class A

     United States          2,098        96,550  

Phillips 66

     United States          4,681        660,817  

SM Energy Co.

     United States          2,038        88,103  

Targa Resources Corp.

     United States          3,189        410,679  

Valero Energy Corp.

     United States          12,563        1,969,376  

Williams Cos., Inc.

     United States          17,305        735,462  
          

 

 

 
             23,052,659  
          

 

 

 

Pharmaceuticals 2.7%

          

Bristol-Myers Squibb Co.

     United States          20,519        852,154  

Johnson & Johnson

     United States          17,269        2,524,037  

Merck & Co., Inc.

     United States          6,257        774,617  
          

 

 

 
             4,150,808  
          

 

 

 

Professional Services 0.8%

          

Robert Half, Inc.

     United States          6,027        385,608  

Science Applications International Corp.

     United States          4,002        470,435  

TriNet Group, Inc.

     United States          4,523        452,300  
          

 

 

 
             1,308,343  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Specialty Retail 1.6%

        

a AutoNation, Inc.

   United States      6,475        1,031,986  

Murphy USA, Inc.

   United States      388        182,150  

Penske Automotive Group, Inc.

   United States      8,234        1,227,031  
        

 

 

 
           2,441,167  
        

 

 

 

Textiles, Apparel & Luxury Goods 0.1%

        

Ralph Lauren Corp.

   United States      764        133,746  
        

 

 

 

Trading Companies & Distributors 0.4%

        

Boise Cascade Co.

   United States      2,243        267,411  

MSC Industrial Direct Co., Inc., Class A

   United States      4,559        361,574  
        

 

 

 
           628,985  
        

 

 

 

Wireless Telecommunication Services 2.8%

        

T-Mobile U.S., Inc.

   United States      24,860        4,379,835  
        

 

 

 

Total Common Stocks (Cost $140,595,431)

           153,083,531  
        

 

 

 

Total Investments before Short-Term Investments
(Cost $140,595,431)

           153,083,531  
        

 

 

 

Short-Term Investments 1.3%

        

Money Market Funds 1.3%

        

b State Street Institutional U.S. Government Money Market Fund, 5.26%

   United States      2,063,610        2,063,610  
        

 

 

 

Total Short-Term Investments (Cost $2,063,610)

           2,063,610  
        

 

 

 

Total Investments (Cost $142,659,041) 100.0%

           155,147,141  

Other Assets, less Liabilities 0.0%

           18,007  
        

 

 

 

Net Assets 100.0%

         $ 155,165,148  
        

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bThe rate shown is the annualized seven-day effective yield at period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  BrandywineGLOBAL - U.S. Fixed Income ETF    Country    Principal Amount*        Value  

Corporate Bonds & Notes 1.1%

          

Financial Services 0.8%

          

Golub Capital BDC, Inc., 2.50%, 8/24/26

   United States      110,000        $ 101,212  
          

 

 

 

Oil & Gas 0.3%

          

Devon Energy Corp., 7.875%, 9/30/31

   United States      30,000          33,922  
          

 

 

 

Total Corporate Bonds & Notes (Cost $133,812)

          135,134  
          

 

 

 

U.S. Government & Agency Securities 95.0%

       

Federal Home Loan Mortgage Corp.,

          

4.50%, 10/01/52

   United States      475,962          449,256  

5.50%, 12/01/52

   United States      408,322          403,802  

Federal National Mortgage Association,

          

4.00%, 6/01/52

   United States      649,634          595,162  

5.00%, 11/01/52

   United States      419,382          406,552  

5.50%, 1/01/53

   United States      503,619          497,896  

Government National Mortgage Association,

          

5.00%, 2/20/53

   United States      414,762          404,348  

5.00%, 6/20/53

   United States      470,881          458,699  

5.50%, 4/20/53

   United States      586,988          582,862  

5.50%, 5/20/53

   United States      591,031          587,003  

5.50%, 9/20/53

   United States      242,044          240,305  

5.50%, 10/20/53

   United States      254,293          252,467  

5.50%, 2/20/54

   United States      197,939          196,517  

U.S. Treasury Bonds, 3.00%, 8/15/52

   United States      2,480,000          1,866,200  

a U.S. Treasury Floating Rate Notes, 3 mo. Treasury money market yield + 0.17%, 5.475%, 10/31/25

   United States      1,000,000          1,000,842  

U.S. Treasury Notes, 3.875%, 8/15/33

   United States      3,560,000          3,425,666  
          

 

 

 

Total U.S. Government & Agency Securities (Cost $11,432,366)

          11,367,577  
          

 

 

 

Total Investments before Short-Term Investments
(Cost $11,566,178)

          11,502,711  
          

 

 

 

Short-Term Investments 1.4%

          

Money Market Funds 1.4%

          

b State Street Institutional U.S. Government Money Market Fund, 5.26%

   United States      165,537          165,537  
          

 

 

 

Total Short-Term Investments (Cost $165,537)

             165,537  
          

 

 

 

Total Investments (Cost $11,731,715) 97.5%

             11,668,248  

Other Assets, less Liabilities 2.5%

             302,959  
          

 

 

 

Net Assets 100.0%

           $ 11,971,207  
          

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

aVariable rate security. The rate shown represents the yield at period end.

bThe rate shown is the annualized seven-day effective yield at period end.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

 

Futures Contracts

 

                                         
Description    Type     

Number of

Contracts

     Notional
Amount*
    

Expiration

Date

    

Value/Unrealized

Appreciation

(Depreciation)

 

Interest rate contracts

                 

U.S. Treasury 5 Yr. Note

     Long        60      $ 6,394,688        9/30/24                 $ 65,798  

U.S. Treasury Ultra 10 Yr. (CBT)

     Long        21        2,384,156        9/19/24           14,007  
                 

 

 

 

Total Futures Contracts

                  $ 79,805  
                 

 

 

 

*As of period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  ClearBridge Sustainable Infrastructure ETF    Industry      Shares      Value  

Common Stocks 96.8%

        

Australia 1.8%

        

Atlas Arteria Ltd.

     Transportation Infrastructure        42,274      $ 144,269  
        

 

 

 

Brazil 5.4%

        

CCR SA

     Transportation Infrastructure        59,998        125,733  

Equatorial Energia SA

     Electric Utilities        24,918        137,680  

a Equatorial Energia SA

     Electric Utilities        380        2,127  

Rumo SA

     Ground Transportation        45,052        168,059  
        

 

 

 
           433,599  
        

 

 

 

Canada 3.0%

        

b Hydro One Ltd.

     Electric Utilities        8,296        241,602  
        

 

 

 

Denmark 3.7%

        

a,b Orsted AS

     Electric Utilities        5,573        296,823  
        

 

 

 

France 4.8%

        

Getlink SE

     Transportation Infrastructure        23,345        386,559  
        

 

 

 

Germany 2.0%

        

E.ON SE

     Multi-Utilities        12,125        159,253  
        

 

 

 

Italy 9.9%

        

b Enav SpA

     Transportation Infrastructure        56,720        226,502  

Enel SpA

     Electric Utilities        48,246        335,790  

Terna - Rete Elettrica Nazionale

     Electric Utilities        30,264        234,119  
        

 

 

 
           796,411  
        

 

 

 

Japan 2.6%

        

West Japan Railway Co.

     Ground Transportation        11,368        211,657  
        

 

 

 

Netherlands 3.3%

        

Ferrovial SE

     Construction & Engineering        6,759        262,666  
        

 

 

 

Portugal 3.7%

        

EDP - Energias de Portugal SA

     Electric Utilities        79,289        297,338  
        

 

 

 

Spain 8.9%

        

a,b Cellnex Telecom SA

     Diversified Telecommunication Services        5,278        171,794  

Iberdrola SA

     Electric Utilities        14,047        182,390  

Redeia Corp. SA

     Electric Utilities        20,897        365,509  
        

 

 

 
           719,693  
        

 

 

 

United Kingdom 14.4%

        

National Grid PLC

     Multi-Utilities        22,229        248,008  

Pennon Group PLC

     Water Utilities        27,710        200,887  

Severn Trent PLC

     Water Utilities        11,442        344,239  

SSE PLC

     Electric Utilities        7,610        172,146  

United Utilities Group PLC

     Water Utilities        15,498        192,501  
        

 

 

 
           1,157,781  
        

 

 

 

United States 33.3%

        

American Tower Corp.

     Specialized REITs        1,269        246,668  

American Water Works Co., Inc.

     Water Utilities        2,143        276,790  

Crown Castle, Inc.

     Specialized REITs        3,054        298,376  

CSX Corp.

     Ground Transportation        10,594        354,369  

Entergy Corp.

     Electric Utilities        1,661        177,727  

Eversource Energy

     Electric Utilities        5,160        292,624  

Exelon Corp.

     Electric Utilities        4,769        165,055  

NextEra Energy Partners LP

     Independent Power Producers & Energy Traders        8,220        227,201  

NextEra Energy, Inc.

     Electric Utilities        5,375        380,604  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

PG&E Corp.

   Electric Utilities      14,816        258,687  
        

 

 

 
           2,678,101  
        

 

 

 

Total Common Stocks (Cost $8,044,983)

           7,785,752  
        

 

 

 

Total Investments before Short-Term Investments
(Cost $8,044,983)

           7,785,752  
        

 

 

 

Short-Term Investments 2.6%

        

Money Market Funds 2.6%

        

United States 2.6%

        

c JPMorgan 100% U.S. Treasury Securities Money Market Fund, 5.28%

      Money Market Funds         211,670        211,670  
        

 

 

 

Total Short-Term Investments (Cost $211,670)

           211,670  
        

 

 

 

Total Investments (Cost $8,256,653) 99.4%

           7,997,422  

Other Assets, less Liabilities 0.6%

           46,212  
        

 

 

 

Net Assets 100.0%

         $ 8,043,634  
        

 

 

 

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $936,721, representing 11.6% of net assets.

cThe rate shown is the annualized seven-day effective yield at period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Disruptive Commerce ETF    Country        Shares        Value  

Common Stocks 99.1%

            

Broadline Retail 22.7%

            

Alibaba Group Holding Ltd., Class A

     China          7,638        $ 68,970  

a Amazon.com, Inc.

     United States          4,890          944,993  

eBay, Inc.

     United States          1,503          80,741  

a Etsy, Inc.

     United States          1,362          80,331  

a Global-e Online Ltd.

     Israel          3,213          116,536  

a MercadoLibre, Inc.

     Brazil          253          415,780  

Naspers Ltd., Class N

     South Africa          438          85,566  

a PDD Holdings, Inc., ADR

     China          1,921          255,397  

Prosus NV

     Netherlands          2,365          84,304  
            

 

 

 
               2,132,618  
            

 

 

 

Commercial Services & Supplies 3.7%

            

a Copart, Inc.

     United States          6,450          349,332  
            

 

 

 

Consumer Staples Distribution & Retail 6.2%

            

Costco Wholesale Corp.

     United States          684          581,393  
            

 

 

 

Containers & Packaging 1.5%

            

Graphic Packaging Holding Co.

     United States          1,658          43,456  

Packaging Corp. of America

     United States          529          96,574  
            

 

 

 
               140,030  
            

 

 

 

Entertainment 3.5%

            

a Netflix, Inc.

     United States          330          222,710  

Nintendo Co. Ltd., ADR

     Japan          3,312          44,050  

a ROBLOX Corp., Class A

     United States          1,775          66,048  
            

 

 

 
               332,808  
            

 

 

 

Financial Services 8.7%

            

a Adyen NV, ADR

     Netherlands          7,986          94,794  

a Block, Inc.

     United States          669          43,144  

Jack Henry & Associates, Inc.

     United States          396          65,744  

Mastercard, Inc., Class A

     United States          701          309,253  

a PayPal Holdings, Inc.

     United States          360          20,891  

Visa, Inc., Class A

     United States          1,090          286,092  
            

 

 

 
               819,918  
            

 

 

 

Food Products 1.2%

            

a Freshpet, Inc.

     United States          892          115,416  
            

 

 

 

Ground Transportation 9.6%

            

Old Dominion Freight Line, Inc.

     United States          556          98,190  

a Uber Technologies, Inc.

     United States          9,455          687,189  

a XPO, Inc.

     United States          1,054          111,882  
            

 

 

 
               897,261  
            

 

 

 

Hotels, Restaurants & Leisure 14.1%

            

a Airbnb, Inc., Class A

     United States          1,347          204,246  

Booking Holdings, Inc.

     United States          101          400,111  

a DoorDash, Inc., Class A

     United States          4,105          446,542  

a Expedia Group, Inc.

     United States          590          74,334  

a MakeMyTrip Ltd.

     India          2,413          202,933  
            

 

 

 
               1,328,166  
            

 

 

 

Industrial REITs 1.2%

            

Prologis, Inc.

     United States          971          109,053  
            

 

 

 

Interactive Media & Services 3.6%

            

Alphabet, Inc., Class A

     United States          567          103,279  

Meta Platforms, Inc., Class A

     United States          414          208,747  

Tencent Holdings Ltd.

     China          587          27,999  
            

 

 

 
               340,025  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

IT Services 5.7%

            

a Shopify, Inc., Class A

       Canada        8,107          535,467  
            

 

 

 

Media 0.7%

            

a Trade Desk, Inc., Class A

       United States        685          66,904  
            

 

 

 

Professional Services 0.2%

            

TransUnion

       United States        294          21,803  
            

 

 

 

Real Estate Management & Development 0.2%

            

a CoStar Group, Inc.

       United States        264          19,573  
            

 

 

 

Software 7.5%

            

a AppLovin Corp., Class A

       United States        598          49,766  

a Autodesk, Inc.

       United States        351          86,855  

a Descartes Systems Group, Inc.

       Canada        2,100          203,364  

a Manhattan Associates, Inc.

       United States        1,140          281,215  

a Sprout Social, Inc., Class A

       United States        275          9,812  

a SPS Commerce, Inc.

       United States        376          70,748  
            

 

 

 
               701,760  
            

 

 

 

Specialty Retail 0.1%

            

ZOZO, Inc.

       Japan        512          12,821  
            

 

 

 

Trading Companies & Distributors 8.7%

            

Fastenal Co.

       United States        5,775          362,901  

WW Grainger, Inc.

       United States        501          452,022  
            

 

 

 
               814,923  
            

 

 

 

Total Common Stocks (Cost $8,332,782)

               9,319,271  
            

 

 

 

Total Investments (Cost $8,332,782) 99.1%

               9,319,271  

Other Assets, less Liabilities 0.9%

               82,352  
            

 

 

 

Net Assets 100.0%

             $ 9,401,623  
            

 

 

 

aNon-income producing.

Abbreviations

Selected Portfolio

 

ADR      American Depositary Receipt
REIT      Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Dynamic Municipal Bond ETF      Principal Amount*        Value  

Corporate Bonds & Notes 1.1%

         

Arizona 0.8%

         

Grand Canyon University, 5.125%, 10/01/28

       2,000,000        $ 1,808,620  
         

 

 

 

Delaware 0.0%

         

a,b Red River Biorefinery LLC, 15.00%, 7/31/24

       10,000          10,000  

a,b Red River Biorefinery LLC, 15.00%, 7/31/24

       5,000          5,000  
         

 

 

 
            15,000  
         

 

 

 

Puerto Rico 0.3%

         

b,c AES Puerto Rico LP, 12.50%, 12/15/25

       638,904          638,904  
         

 

 

 

Total Corporate Bonds & Notes (Cost $2,456,562)

             2,462,524  
         

 

 

 

Municipal Bonds 98.6%

         

Alabama 5.2%

         

Black Belt Energy Gas District,
c
Gas Project No 8, Series A, 4.00%, 12/01/52

       500,000          498,052  

c Gas Project, Series E, 5.00%, 5/01/53

       525,000          546,988  

c Refunding, 4.00%, 6/01/51

       240,000          241,015  

c Series A, 5.25%, 5/01/55

       1,500,000          1,630,991  

a County of Mobile, Gomesa Projects, 4.00%, 11/01/45

       100,000          92,408  

Energy Southeast A Cooperative District,

         

c Series A-1, 5.50%, 11/01/53

       1,500,000          1,615,863  

c Series B, 5.25%, 7/01/54

       2,000,000          2,140,935  

c Series B-1, 5.75%, 4/01/54

       500,000          549,697  

Homewood Educational Building Authority, CHF - Horizons II LLC, 5.50%, 10/01/44

       870,000          933,022  

MidCity Improvement District, Special Assessment, Series 2022, 4.25%, 11/01/32

       600,000          536,191  

c Southeast Alabama Gas Supply District, Project No.1, Refunding, Series A, 5.00%, 8/01/54

       2,000,000          2,145,645  

c Southeast Energy Authority A Cooperative District, Series A-1, 5.50%, 1/01/53

       1,115,000          1,195,526  
         

 

 

 
            12,126,333  
         

 

 

 

Alaska 0.4%

         

Northern Tobacco Securitization Corp., Series A, 4.00%, 6/01/39

       1,000,000          986,698  
         

 

 

 

Arizona 0.7%

         

c Chandler Industrial Development Authority, Intel Corp, AMT, 5.00%, 9/01/42

       1,030,000          1,057,678  

Glendale Industrial Development Authority, People of Faith Inc Obligated Group, 4.00%, 5/15/31

       160,000          153,935  

a Sierra Vista Industrial Development Authority, Georgetown Community Development Authority,

         

9.00%, 10/01/37

       250,000          238,669  

Tempe Industrial Development Authority, Tempe Life Care Village Obligated Group, Refunding,

         

4.00%, 12/01/31

       225,000          217,414  
         

 

 

 
            1,667,696  
         

 

 

 

California 11.3%

         

California Community Choice Financing Authority,
c
5.25%, 1/01/54

       6,215,000          6,553,289  

c VRDN, 5.50%, 10/01/54

       1,835,000          2,007,564  

a California Community College Financing Authority, NCCD-Napa Valley Properties LLC, Series 2022A, 4.25%, 7/01/32

       500,000          489,707  

California Community Housing Agency,
a
Arbors Apartments, Series A, 5.00%, 8/01/50

       1,350,000          1,315,387  

a Aster Apartments, Series A-2, 4.00%, 2/01/43

       350,000          321,069  

a Brio Apartments & Next on Lex Apartments, Series A, 4.00%, 8/01/47

       285,000          234,004  

a Fountains at Emerald Park, 4.00%, 8/01/46

       995,000          858,047  

a K Street Flats, 4.00%, 8/01/50

       640,000          514,622  

a Verdant at Green Valley Apartments, 5.00%, 8/01/49

       1,325,000          1,295,285  

California Health Facilities Financing Authority, Episcopal Communities & Services for Seniors

         

Obligated Group, Series A, 3.85%, 11/15/27

       1,000,000          1,000,196  

California Municipal Finance Authority,

         

Caritas Corp, Refunding Series 2021B, 3.00%, 8/15/31

       165,000          155,227  

LAX Integrated Express Solutions LLC, AMT, 3.50%, 12/31/35

       150,000          138,404  

Series C, 5.50%, 9/01/34

       60,000          63,781  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Series C, 5.75%, 9/01/37

       355,000          376,374  

Series C, 6.00%, 9/01/42

       475,000          506,054  

Series D, 6.00%, 9/01/42

       265,000          285,305  

a,d California Pollution Control Financing Authority, CalPlant I LLC, AMT, 7.50%, 7/01/32

       250,000          3,375  

California School Finance Authority,

         

a 5.00%, 6/01/27

       50,000          51,168  

a Classical Academy Obligated Group, Series 2020A, 3.00%, 10/01/30

       180,000          167,667  

a John Adams Academies Obligated Group, Series 2022A, 4.50%, 7/01/32

       250,000          253,017  

a Summit Public Schools Obligated Group, 5.00%, 6/01/27

       50,000          52,023  

a City & County of San Francisco Special Tax District No., 4.00%, 9/01/36

       100,000          96,297  

a CMFA Special Finance Agency, Solana at Grand, Series A-2, 4.00%, 8/01/45

       995,000          837,504  

a CMFA Special Finance Agency VII, The Breakwater Apartments, 4.00%, 8/01/47

       910,000          763,097  

a CMFA Special Finance Agency VIII, Junior-Elan Huntington Beach, 4.00%, 8/01/47

       1,350,000          1,191,628  

a CMFA Special Finance Agency XII, Allure Apartments, 4.375%, 8/01/49

       1,000,000          842,315  

CSCDA Community Improvement Authority,

         

a Jefferson Anaheim Social Bonds, 2.875%, 8/01/41

       155,000          144,576  

a Renaissance at City Center, 5.00%, 7/01/51

       475,000          463,318  

a Towne at Glendale Apartments, 5.00%, 9/01/37

       900,000          919,917  

a Waterscape Apartments, Series B, 4.00%, 9/01/46

       955,000          809,657  

a Elsinore Valley Municipal Water District, Community Facilities District No 2020, Series 2021A,
4.00%, 9/01/27

       100,000          97,890  

c Long Beach Bond Finance Authority, Series B, 3 mo. USD Term SOFR + 1.45%, 5.191%, 11/15/27

       1,000,000          1,011,375  

Perris Joint Powers Authority, Refunding, Series 2017B, 5.00%, 9/01/25

       100,000          101,613  

River Islands Public Financing Authority,

         

Community Facilities District No 2003-, 5.00%, 9/01/32

       500,000          512,512  

Series 2023-1, 5.00%, 9/01/38

       435,000          462,026  

c Southern California Public Power Authority, Libor-Project No 1, Series A, 3 mo. USD LIBOR +

         

1.47%, 5.214%, 11/01/38

       1,215,000          1,121,929  
         

 

 

 
            26,017,219  
         

 

 

 

Colorado 3.9%

         

Colorado Educational & Cultural Facilities Authority, Golden View Classical Academy, Refunding,

         

4.00%, 1/01/32

       200,000          193,783  

Colorado Health Facilities Authority,

         

Christian Living Neighborhoods Obligated Group, Refunding, 4.00%, 1/01/29

       100,000          98,704  

CommonSpirit Health Obligated Group, Series A, 4.00%, 8/01/37

       1,480,000          1,481,895  

CommonSpirit Health Obligated Group, Series A, 4.00%, 8/01/39

       1,395,000          1,373,940  

CommonSpirit Health Obligated Group, Series A, Refunding, 5.00%, 8/01/39

       1,875,000          1,972,037  

Denver Health & Hospital Authority, Refunding, Series A, 4.00%, 12/01/37

       1,000,000          934,878  

c E-470 Public Highway Authority, Refunding, Series B, VRDN, SOFR + 0.75%, 4.328%, 9/01/39

       1,000,000          1,000,372  

Southglenn Metropolitan District, Refunding, 5.00%, 12/01/30

       100,000          98,668  

Southlands Metropolitan District No. 1,

         

Refunding, Series 2017A-1, 3.50%, 12/01/27

       200,000          192,537  

Series A-2, 3.50%, 12/01/27

       160,000          152,637  

Sterling Ranch Community Authority Board, Special Assessment, Special Improvement District N, 5.625%, 12/01/43

       1,500,000          1,545,414  
         

 

 

 
            9,044,865  
         

 

 

 

Connecticut 0.6%

         

Connecticut State Health & Educational Facilities Authority,

         

Masonicare Corp Obligated Group, Refunding, Series F, 5.00%, 7/01/37

       1,000,000          1,006,611  

Masonicare Corp Obligated Group, Series F, Refunding, 5.00%, 7/01/24

       275,000          275,000  

a McLean Affiliates Obligated Group, Series A, 5.00%, 1/01/30

       150,000          148,511  

Sacred Heart University Inc, 5.00%, 7/01/29

       5,000          5,199  
         

 

 

 
             1,435,321  
         

 

 

 
         

Delaware 0.0%

         

County of Kent, CHF-Dover LLC, 5.00%, 7/01/29

       100,000          103,335  
         

 

 

 

Florida 14.8%

         

Abbott Square Community Development District, 2022 Project, Special Assessment,

         

5.00%, 6/15/32

       200,000          205,378  

c Alachua County Health Facilities Authority, Shands Teaching Hospital & Clinics Obligated Group,

         

Series A, 3 mo. USD LIBOR + 0.87%, 4.627%, 12/01/37

       405,000          386,322  

Antillia Community Development District, Special Assessment, Series 2024, 5.00%, 5/01/31

       215,000          216,630  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Artisan Lakes East Community Development District, Special Assessment, Series 2021-2,

         

2.30%, 5/01/26

       100,000          96,505  

a Astonia Community Development District, Assessment Area One Project, Special Assessment,

         

Series 2020, 3.375%, 5/01/30

       145,000          141,146  

Avalon Groves Community Development District, Assessment Area 3, Special Assessment,

         

2.375%, 5/01/26

       65,000          63,103  

a Avalon Park West Community Development District, 2020 Project Area, Special Assessment,

         

Refunding, 3.25%, 5/01/30

       100,000          98,015  

Avenir Community Development District, 2021A Project, Assessment Area Two, Special Assessment,

         

2.75%, 5/01/31

       90,000          81,611  

Babcock Ranch Community Independent Special District,

         

Assessment Area 2C, Special Assessment, 3.00%, 5/01/30

       50,000          48,035  

Assessment Area 3B, Special Assessment, 3.00%, 5/01/30

       145,000          138,553  

Assessment Area, Special Assessment, Refunding, Series 2022, 4.125%, 5/01/27

       345,000          343,642  

Belmond Reserve Community Development District, 2020 Project, Special Assessment,

         

3.25%, 5/01/30

       100,000          95,877  

Berry Bay Community Development District, Assessment Area One, Special Assessment,

         

3.125%, 5/01/31

       100,000          92,710  

Black Creek Community Development District, Expansion Area Project, Special Assessment,
Series 2022, 5.125%, 6/15/32

       100,000          103,059  

Capital Projects Finance Authority,

         

Florida UniversityProject, Refunding, Series A-1, 5.00%, 10/01/34

       1,000,000          1,025,438  

University Project, Series 2020A-1, 5.00%, 10/01/32

       455,000          468,880  

Capital Trust Agency, Inc.,

         

a AcadeMir Charter School West, 3.00%, 7/01/31

       125,000          114,981  

a Educational Growth Fund LLC, 3.375%, 7/01/31

       100,000          96,335  

Liza Jackson Preparatory School Inc, 4.00%, 8/01/30

       275,000          270,166  

a WFCS Holdings II LLC, Series 2021A, 3.30%, 1/01/31

       300,000          280,389  

a,e Capital Trust Authority, zero cpn., 3/01/29

       855,000          671,480  

Caymas Community Development District, Assessment Area One, Special Assessment,

         

4.45%, 5/01/31

       270,000          270,800  

Celebration Community Development District, Assessment Area One Project, Special Assessment,

         

Series 2021, 3.125%, 5/01/41

       50,000          43,322  

Central Parc Community Development District, Special Assessment, Series 2024, 5.70%, 5/01/44

       250,000          251,105  

Coddington Community Development District, Special Assessment, Series 2022, 5.00%, 5/01/32

       275,000          286,168  

Connerton East Community Development District, Assessment Area One, Special Assessment,

         

Series 2023, 4.25%, 6/15/30

       160,000          162,067  

Coral Keys Homes Community Development District, Special Assessment, Series 2020,

         

3.125%, 5/01/30

       165,000          157,881  

Cordoba Ranch Community Development District, Special Assessment, Refunding, 3.00%, 5/01/31

       100,000          94,874  

Cordova Palms Community Development District,

         

Assessment Area 1, Special Assessment, 4.80%, 5/01/27

       90,000          90,544  

Special Assessment, Series 2021, 2.80%, 5/01/31

       100,000          90,681  

e County of Osceola Transportation Revenue, zero cpn., 10/01/32

       150,000          106,789  

a Cypress Bluff Community Development District, Special Assessment, Series 2020A, 3.125%, 5/01/30

       55,000          53,429  

Cypress Park Estates Community Development District, Special Assessment, Series 2022,

         

4.375%, 5/01/27

       80,000          79,996  

Cypress Ridge Community Development District, Assessment Area One Project, Special Assessment,

         

4.875%, 5/01/30

       440,000          446,393  

Darby Community Development District, Special Assessment, Series A-2, 5.875%, 5/01/35

       500,000          512,440  

Del Webb Oak Creek Community Development District, 2023 Project, Special Assessment,

         

4.125%, 5/01/30

       120,000          120,633  

a Downtown Doral South Community Development District, Assessment Area 2, Special Assessment,

         

4.25%, 12/15/28

       195,000          195,189  

a DW Bayview Community Development District, Special Assessment, Series 2021, 3.00%, 5/01/32

       100,000          95,078  

East 547 Community Development District, Assessment Area 2, Special Assessment, 5.50%, 5/01/30

       155,000          159,313  

East Bonita Beach Road Community Development District, Assessment Area Two, Special

         

Assessment, 3.00%, 5/01/32

       100,000          94,166  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Edgewater East Community Development District,

         

Assessment Area One, Special Assessment, 3.10%, 5/01/31

       100,000          92,675  

Assessment Area Two, Special Assessment, 3.00%, 5/01/27

       180,000          173,488  

a Enbrook Community Development District, Special Assessment, Series 2020, 3.00%, 5/01/30

       100,000          92,765  

Epperson North Community Development District, Assessment Area 2, Special Assessment,

         

3.00%, 5/01/31

       80,000          73,271  

Escambia County Health Facilities Authority, Baptist Hospital Inc Obligated Group, Refunding,

         

5.00%, 8/15/34

       1,000,000          1,035,317  

Everlands Community Development District, Assessment Area Two, Special Assessment,

         

5.25%, 6/15/44

       275,000          278,825  

Florida Development Finance Corp.,

         

a,c AAF Operations Holdings LLC, AMT, Refunding, VRDN, 12.00%, 7/15/32

       800,000          851,916  

a,c Brightline Florida Holdings LLC, AMT, Refunding, VRDN, 7.50%, 7/01/57

       250,000          254,459  

a Glenridge on Palmer Ranch Obligated Group, Refunding, 5.00%, 6/01/31

       200,000          199,760  

a Mayflower Retirement Community, Refunding, 4.00%, 6/01/31

       100,000          93,154  

Shands Jacksonville Medical Center Obligated Group, Refunding, 5.00%, 2/01/38

       1,400,000          1,414,764  

a Forest Lake Community Development District, Assessment Area 1 Project, Special Assessment,

         

3.25%, 5/01/30

       145,000          140,120  

Gardens at Hammock Beach Community Development District, Special Assessment,

         

Assessment Area One, 5.375%, 5/01/44

       305,000          304,286  

Grand Oaks Community Development District, Assessment Area 2, Special Assessment,

         

4.00%, 5/01/30

       150,000          147,830  

Grande Pines Community Development District, Assessment Area Two, Special Assessment,

         

4.65%, 5/01/34

       515,000          518,578  

Hacienda North Community Development District, Special Assessment, Series 2023,

         

5.50%, 5/01/33

       135,000          141,437  

Hammock Oaks Community Development District, Special Assessment, Assessment Area Two,

         

5.00%, 5/01/31

       100,000          100,789  

Hammock Reserve Community Development District, Assessment Area One Project, Special

         

Assessment, 3.25%, 5/01/30

       100,000          96,078  

Hawkstone Community Development District, Assessment Area 4, Special Assessment,

         

4.375%, 5/01/30

       95,000          95,604  

Herons Glen Recreation District, Special Assessment, Refunding, 3.00%, 5/01/32

       100,000          93,821  

Highland Trails Community Development District, Assessment Area One, Special Assessment,

         

4.70%, 5/01/31

       220,000          221,518  

Hills of Minneola Community Development District,

         

South Parcel Assessment Area, Special Assessment, 2.375%, 5/01/26

       45,000          43,555  

a South Parcel Assessment Area, Special Assessment, 3.50%, 5/01/31

       100,000          95,305  

Holly Hill Road East Community Development District, Assessment Area 3 Project, Special

         

Assessment, 4.00%, 11/01/25

       45,000          44,917  

Hunt Club Grove Community Development District, Special Assessment, Assessment Area One,

         

4.85%, 6/15/31

       210,000          210,404  

Indigo Community Development District, 2021 Assessment Area, Phase A1, Special

         

Assessment, 2.70%, 5/01/31

       100,000          91,619  

Kelly Park Community Development District, Assessment Area One Project, Special

         

Assessment, 5.125%, 11/01/30

       280,000          285,035  

Kindred Community Development District II,

         

Special Assessment, 5.65%, 5/01/43

       315,000          330,370  

Special Assessment, Series 2020, 3.00%, 5/01/30

       155,000          148,108  

Special Assessment, Series 2021, 2.20%, 5/01/26

       25,000          24,218  

Kingman Gate Community Development District,

         

Special Assessment, Series 2020, 3.125%, 6/15/30

       110,000          107,220  

Special Assessment, Series 2021, 2.50%, 6/15/26

       45,000          43,921  

Lakes at Bella Lago Community Development District, Special Assessment, 5.75%, 5/01/43

       165,000          170,641  

Lakes by the Bay South Community Development District, Special Assessment, Refunding,

         

Series 2024, 5.00%, 5/01/34

       440,000          468,093  

Lakes of Sarasota Community Development District,

         

Assessment Area One, Special Assessment, 3.40%, 5/01/31

       135,000          128,174  

Assessment Area Two, Special Assessment, 3.00%, 5/01/26

       80,000          78,667  

Lakewood Ranch Stewardship District,

         

Azario Project, Special Assessment, Series 2020, 3.20%, 5/01/30

       175,000          165,521  

a Lorraine Lakes Project, Special Assessment, Series 2020, 3.125%, 5/01/30

       60,000          56,591  

a Northeast Sector Project, Special Assessment, Refunding, 3.20%, 5/01/30

       100,000          94,175  

Star Farms at Lakewood Ranch Proj-Phase 1/2, Special Assessment, 2.70%, 5/01/31

       100,000          89,426  

Taylor Ranch Project, Special Assessment, 6.125%, 5/01/43

       500,000          531,837  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Villages Lakewood Ranch South, Special Assessment, Series 2016, 4.25%, 5/01/26

       945,000          946,302  

Lawson Dunes Community Development District, Special Assessment, Series 2022,

         

4.375%, 5/01/27

       100,000          100,167  

f Lee County Industrial Development Authority, Shell Point Obligated Group, 4.375%, 11/15/29

       1,000,000          1,002,907  

a Longleaf Community Development District, Neighborhood 4 Assessment Area One, Special

         

Assessment, 4.50%, 5/01/31

       140,000          141,328  

Los Cayos Community Development District, 2024 Project, Special Assessment,

         

4.40%, 6/15/31

       300,000          301,681  

LT Ranch Community Development District, Phase IIA Assessment Area, Special Assessment,

         

5.00%, 5/01/27

       105,000          106,093  

a Magnolia Park Community Development District, Special Assessment, Refunding,

         

4.00%, 5/01/31

       47,000          47,978  

Marion Ranch Community Development District, Special Assessment, 5.10%, 5/01/31

       215,000          216,566  

Meadow View at Twin Creeks Community Development District, Phase 4, Special Assessment,

         

3.00%, 5/01/31

       75,000          68,698  

Miami Health Facilities Authority, Miami Jewish Health Systems Obligated Group, Refunding,

         

5.00%, 7/01/28

       150,000          145,459  

Middleton Community Development District A, Special Assessment, Series 2022,

         

5.45%, 5/01/32

       200,000          211,195  

Mirada II Community Development District, 2021 Project Area, Special Assessment,

         

3.125%, 5/01/31

       100,000          90,172  

a North Powerline Road Community Development District, Special Assessment, Series 2022,

         

4.75%, 5/01/27

       125,000          125,545  

North River Ranch Improvement Stewardship District, Special Assessment, Series A,

         

5.70%, 5/01/29

       145,000          148,353  

North-1 Pasco Community Development District, Assessment Area Two, Special Assessment,

         

Series A, 3.25%, 5/01/31

       100,000          93,281  

Old Hickory Community Development District, Special Assessment, Series 2020,

         

3.00%, 6/15/30

       100,000          94,797  

Palermo Community Development District, 2023 Project, Special Assessment, 4.125%, 6/15/30

       75,000          75,569  

Palm Beach County Health Facilities Authority,

         

Jupiter Medical Center Obligated Group, 5.00%, 11/01/32

       300,000          316,392  

Jupiter Medical Center Obligated Group, 5.00%, 11/01/40

       230,000          235,962  

Lifespace Communities Inc Obligated Group, Refunding, Series C, 5.00%, 5/15/27

       292,000          292,131  

Lifespace Communities, Inc., 5.00%, 5/15/41

       165,000          160,951  

Palm Coast Park Community Development District, Sawmill Branch Phase 2, Special

         

Assessment, 4.15%, 5/01/27

       200,000          200,151  

Parkview at Long Lake Ranch Community Development District, Special Assessment, Series 2020,

         

3.125%, 5/01/30

       100,000          93,409  

Parrish Lakes Community Development District, Assessment Area One Project, Special

         

Assessment, 4.00%, 5/01/30

       265,000          263,218  

Parrish Plantation Community Development District,

         

Assessment Area One, Special Assessment, 3.125%, 5/01/31

       100,000          92,666  

Special Assessment, Assessment Area Four Project-S, 4.75%, 5/01/31

       90,000          90,732  

Special Assessment, Assessment Area Three Project, 5.80%, 5/01/44

       200,000          204,798  

Peace Creek Village Community Development District, Special Assessment, Series 2024,

         

4.625%, 5/01/31

       370,000          372,483  

Pine Ridge Plantation Community Development District, Subordinate Lien, Special Assessment,

         

Refunding, Series 2020A-2, 3.30%, 5/01/30

       150,000          145,617  

Preserve at South Branch Community Development District, Phase 3, Special Assessment,

         

Series 2021, 3.00%, 5/01/31

       100,000          95,688  

Reunion East Community Development District, Special Assessment, Series 2021,

         

2.85%, 5/01/31

       100,000          90,547  

River Hall Community Development District, Special Assessment, Series A, 6.25%, 5/01/43

       170,000          180,780  

Rivers Edge II Community Development District, Special Assessment, Series 2021,

         

3.00%, 5/01/31

       100,000          91,875  

a Rivers Edge III Community Development District, Special Assessment, Series 2021,

         

2.40%, 5/01/26

       100,000          96,833  

a Rye Ranch Community Development District, Assessment Area One, Special Assessment,

         

Refunding, 5.00%, 11/01/30

       45,000          45,695  

Saddle Creek Preserve of Polk County Community Development District, Assessment Area

         

One, Special Assessment, 3.00%, 6/15/30

       80,000          76,384  

Sanctuary Cove Community Development District, Special Assessment, Series 2018,

         

2.125%, 5/01/26

       135,000          130,091  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Sandmine Road Community Development District,

         

a Assessment Area One, Special Assessment, 3.125%, 5/01/30

       100,000          97,363  

Assessment Area Two, Special Assessment, 2.30%, 11/01/26

       35,000          33,855  

Sandridge Community Development District, Special Assessment, Series 2021A1, 2.875%, 5/01/26

       100,000          98,365  

Sawgrass Village Community Development District, Assessment Area Two, Special Assessment, 6.125%, 11/01/43

       155,000          163,560  

Sawyers Landing Community Development District, Special Assessment, Series 2021, 3.75%, 5/01/31

       150,000          141,327  

Scenic Terrace North Community Development District, 2023 Assessment Area, Special Assessment, 5.125%, 5/01/30

       500,000          508,415  

a Seaton Creek Reserve Community Development District, Assessment Area One, Special Assessment, 4.625%, 6/15/30

       25,000          25,338  

Sherwood Manor Community Development District, Assessment Area Two, Special Assessment, 4.625%, 5/01/30

       110,000          111,443  

Shingle Creek at Bronson Community Development District, Special Assessment, Series 2021, 3.10%, 6/15/31

       100,000          95,874  

Silver Oaks Community Development District, Special Assessment, 4.70%, 5/01/31

       235,000          236,804  

Six Mile Creek Community Development District, Assessment Area 2, Phase 3, Special Assessment, 3.10%, 5/01/31

       75,000          69,469  

a Somerset Bay Community Development District, Special Assessment, Assessment Area One, 4.85%, 5/01/31

       315,000          316,096  

Sorrento Pines Community Development District, Assessment Area One, 4.375%, 5/01/30

       50,000          50,455  

South Fork East Community Development District, Special Assessment, Refunding, Series 2005, 4.00%, 5/01/31

       1,305,000          1,257,715  

Southern Groves Community Development District No. 5,

         

Special Assessment, Series 2022, 5.80%, 5/01/42

       400,000          428,527  

Special Assessment, Series 2024, 5.45%, 5/01/44

       350,000          354,781  

St. Augustine Lakes Community Development District,

         

2022 Project, Special Assessment, 4.70%, 6/15/29

       360,000          364,047  

2022 Project, Special Assessment, 5.375%, 6/15/42

       60,000          61,714  

a Stillwater Community Development District, 2021 Project, Special Assessment, 3.00%, 6/15/31

       100,000          91,580  

a Stuart Crossing Community Development District, Assessment Area One Project, Special Assessment,
4.375%, 5/01/31

       195,000          195,436  

Summer Woods Community Development District, Assessment Area Three Project, Special Assessment,
3.15%, 5/01/31

       75,000          69,223  

Summit View Community Development District, Assessment Area Two, Special Assessment, 4.75%, 5/01/31

       480,000          480,690  

Sunbridge Stewardship District, Special Assessment, Series 2022, 4.50%, 5/01/27

       135,000          135,865  

Tamarindo Community Development District, Special Assessment, Series 2021, 3.00%, 5/01/31

       100,000          91,693  

Timber Creek Southwest Community Development District, Special Assessment, Series 2020, 3.00%, 6/15/30

       150,000          139,051  

Tohoqua Community Development District,

         

Phase 2 Project, Special Assessment, 2.875%, 5/01/31

       100,000          93,958  

Phase 4A/5A Project, Special Assessment, Series 2021, 2.50%, 5/01/26

       115,000          111,749  

Tradition Community Development District No. 9, Special Assessment, Series 2021, 2.70%, 5/01/31

       100,000          89,728  

a Trevesta Community Development District, Assessment Area Two, Special Assessment, 3.25%, 5/01/30

       100,000          97,348  

Twisted Oaks Pointe Community Development District, Assessment Area Two Project, Special Assessment, 5.875%, 5/01/43

       170,000          176,517  

a Two Lakes Community Development District, Special Assessment, Series 2017, 4.00%, 12/15/28

       245,000          242,827  

Two Rivers West Community Development District,

         

Special Assessment, Series 2, 5.25%, 5/01/28

       320,000          324,459  

Special Assessment, Series 2, 5.375%, 5/01/33

       150,000          155,753  

V-Dana Community Development District, Assessment Area One-2021 Project, Special Assessment, Series 2021P, 3.125%, 5/01/31

       100,000          92,995  

Veranda Community Development District II,

         

Assessment Area 5, Special Assessment, Refunding, 4.50%, 5/01/31

       360,000          363,439  

a Special Assessment, Refunding, 3.10%, 5/01/31

       70,000          64,545  

Viera Stewardship District, Village 2, Special Assessment, Series 2021, 2.80%, 5/01/31

       130,000          117,118  

Village Community Development District No. 13, Limited Offering, Special Assessment, Series 2019,
3.00%, 5/01/29

       100,000          96,000  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Villamar Community Development District,

         

Assessment Area Five Project, Special Assessment, 5.625%, 5/01/43

       60,000          62,282  

Assessment Area Six Project, Special Assessment, 4.625%, 5/01/31

       210,000          212,413  

Waterset South Community Development District, Special Assessment, Series 2022, 5.375%, 5/01/32

       100,000          104,122  

West Villages Improvement District,

         

Unit of Development No 7, Special Assessment, 3.125%, 5/01/31

       100,000          92,662  

Unit of Development No 8, Special Assessment, 4.625%, 5/01/29

       175,000          177,118  

Willowbrook Community Development District, Special Assessment, Assessment Area One Project, 4.95%, 5/01/31

       205,000          206,054  

Windsor Cay Community Development District, Special Assessment, Assessment Area One Project, 4.60%, 5/01/31

       250,000          251,313  

Windward Community Development District,

         

Special Assessment, Series 2020A-1, 3.65%, 5/01/30

       100,000          96,094  

Special Assessment, Series A-1, 3.00%, 5/01/25

       60,000          59,347  

Wiregrass II Community Development District, Assessment Area Two, Special Assessment, 4.50%, 5/01/27

       225,000          225,486  
         

 

 

 
             34,301,882  
         

 

 

 

Georgia 4.2%

         

a Development Authority of Rockdale County, AHPC Terraces at Fieldstone LLC, Series 2021B-S, 4.50%, 12/01/36

       100,000          88,521  

a George L Smith II Congress Center Authority, Signia Hotel Management LLC, 3.625%, 1/01/31

       350,000          334,104  

Main Street Natural Gas, Inc.,

         

a,c Gas Supply Revenue, VRDN, Series C, 4.00%, 8/01/52

       2,000,000          1,974,723  

c Series A, 5.00%, 6/01/53

       3,550,000          3,754,626  

c Series B, 5.00%, 12/01/54

       1,000,000          1,060,247  

c Series E, 5.00%, 12/01/53

       1,325,000          1,417,256  

c Series E-2, SOFR + 1.70%, 5.278%, 12/01/53

       1,000,000          1,027,091  
         

 

 

 
            9,656,568  
         

 

 

 

Idaho 0.5%

         

Idaho Housing & Finance Association,

         

a College of Idaho Inc, Refunding, 5.00%, 11/01/25

       750,000          754,087  

White Pine Charter School Project, 5.25%, 5/01/38

       300,000          319,954  
         

 

 

 
            1,074,041  
         

 

 

 

Illinois 7.1%

         

e Chicago Board of Education, Refunding, Series A, zero cpn., 12/01/25

       500,000          470,801  

Chicago Board of Education Dedicated Capital Improvement Tax,

         

5.00%, 4/01/38

       2,155,000          2,363,592  

5.25%, 4/01/39

       1,000,000          1,108,592  

Chicago Midway International Airport, AMT, Refunding, Series A, 5.50%, 1/01/38

       750,000          851,511  

City of Chicago,

         

Refunding, Series A, 5.00%, 1/01/34

       1,100,000          1,178,387  

Series A, 5.50%, 1/01/40

       1,700,000          1,841,428  

Series A, 5.50%, 1/01/49

       1,320,000          1,365,066  

Illinois Finance Authority,

         

a Acero Charter Schools Inc Obligated Group, VRDN, 4.00%, 10/01/31

       180,000          177,098  

Chicago School - California, Inc., 5.25%, 4/01/44

       1,070,000          1,139,660  

c Field Museum of Natural History, Refunding, VRDN, SOFR + 1.20%, 4.938%, 11/01/34

       390,000          389,625  

c OSF Healthcare System Obligated Group, VRDN, Refunding, 5.00%, 5/15/50

       760,000          777,004  

Westminster Village Inc Obligated Group, Series A, Refunding, 5.25%, 5/01/38

       1,100,000          1,094,572  

Metropolitan Pier & Exposition Authority,

         

McCormick Place Expansion, Refunding, 3.00%, 6/15/25

       1,000,000          988,666  

e zero cpn., 12/15/30

       300,000          230,891  

Southwestern Illinois Development Authority,

         

e Madison County Community Unit School District No 7 Edwardsville, zero cpn., 12/01/24

       155,000          152,612  

e Madison County Community Unit School District No 7 Edwardsville, zero cpn., 12/01/24

       95,000          93,345  

St. Clair County Community Unit School District No. 187 Cahokia,

         

Series A, 5.00%, 1/01/40

       325,000          356,380  

Series B, 5.00%, 1/01/40

       210,000          223,545  

State of Illinois,

         

6.00%, 11/01/26

       975,000          996,762  

Series 2021B, 3.00%, 12/01/41

       500,000          412,847  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Upper Illinois River Valley Development Authority, 2018 IAVF Timber Oaks & Prairie View Obligated Group, Refunding, 3.50%, 12/01/32

       110,524          99,154  

Village of Villa Park, Garden Station Redevelopment Area, 12/31/38

       100,000          80,971  
         

 

 

 
            16,392,509  
         

 

 

 

Indiana 1.0%

         

a City of Goshen, Green Oaks of Goshen LLC, 4.75%, 8/01/24

       130,000          129,735  

a City of Jeffersonville, Vivera Senior Living of Columbus LLC, Series 2020A, 4.75%, 11/01/30

       100,000          90,108  

Indiana Finance Authority,

         

Ohio Valley Electric Corp, Series 2012C, 3.00%, 11/01/30

       150,000          140,724  

University of Evansville, 7.00%, 9/01/32

       180,000          171,392  

a Indiana Housing & Community Development Authority, Vita of Marion LLC, Series 2021A, 5.00%, 4/01/31

       765,000          706,170  

Indianapolis Local Public Improvement Bond Bank, Convention Center Hotel, 5.50%, 3/01/38

       1,000,000          1,110,556  
         

 

 

 
            2,348,685  
         

 

 

 

Iowa 2.1%

         

Iowa Finance Authority,

         

c Iowa Fertilizer Co LLC, Refunding, 5.00%, 12/01/50

       2,425,000          2,562,975  

Lifespace Communities Inc Obligated Group, Refunding, 6.75%, 5/15/33

       770,000          857,043  

Lifespace Communities Inc Obligated Group, Series A, 4.125%, 5/15/38

       125,000          113,911  

Lifespace Communities Inc Obligated Group, Series A, 5.00%, 5/15/32

       500,000          501,653  

Lifespace Communities Inc Obligated Group, Series A, 5.00%, 5/15/41

       60,000          58,528  

c Lifespace Communities Inc Obligated Group, Series B, SOFR + 0.55%, 4.288%, 5/15/56

       500,000          469,447  

Lifespace Communities, Inc., Series A, 5.00%, 5/15/43

       200,000          191,964  

Iowa Tobacco Settlement Authority, Refunding, Series 2021B-1, 4.00%, 6/01/49

       85,000          84,425  
         

 

 

 
            4,839,946  
         

 

 

 

Kentucky 1.4%

         

c County of Owen, American Water Capital Corp, Refunding, VRDN, Series A, 2.45%, 6/01/39

       100,000          92,814  

Kentucky Public Energy Authority,

         

c Kentucky Public Energy Authority, VRDN, Series A-2, SOFR + 1.20%, 4.778%, 8/01/52

       1,285,000          1,271,799  

c Refunding, Series B, 5.00%, 1/01/55

       1,765,000          1,865,060  

Louisville/Jefferson County Metropolitan Government, Bellarmine University Inc, Refunding, 4.00%, 5/01/29

       100,000          93,276  
         

 

 

 
            3,322,949  
         

 

 

 

Louisiana 0.9%

         

Lakeshore Villages Master Community Development District, Special Assessment, Series 2022, 5.00%, 6/01/32

       245,000          246,743  

Louisiana Local Government Environmental Facilities & Community Development Authority,

         

a Parish of St John the Baptist LA, 3.90%, 11/01/44

       175,000          160,224  

a Patriot Services Group Obligated Group, 5.25%, 10/01/32

       145,000          125,767  

Westlake Corp, Refunding, 3.50%, 11/01/32

       1,625,000          1,571,197  
         

 

 

 
            2,103,931  
         

 

 

 

Maryland 0.6%

         

City of Baltimore,

         

Harbor Point Special Taxing District, 4.25%, 6/01/26

       375,000          372,118  

a Harbor Point Special Taxing District, Refunding, 3.25%, 6/01/31

       100,000          91,045  

County of Frederick, Oakdale-Lake Linganore Development District, 3.25%, 7/01/29

       140,000          130,715  

a Town of La Plata MD, Heritage Green Special Taxing District, 5.75%, 2/15/35

       680,000          679,213  
         

 

 

 
              1,273,091  
         

 

 

 

Massachusetts 0.3%

         

Massachusetts Development Finance Agency,

         

Foxborough Regional Charter School, Refunding, 5.00%, 7/01/27

       80,000          80,236  

Salem Community Corp Obligated Group, Refunding, 5.00%, 1/01/28

       200,000          200,000  

Massachusetts Educational Financing Authority, AMT, Series B, 4.25%, 7/01/44

       500,000          482,038  
         

 

 

 
            762,274  
         

 

 

 

Michigan 1.9%

         

City of Detroit,

         

Series A, 5.00%, 4/01/35

       350,000          370,666  

Series C, 6.00%, 5/01/43

       375,000          428,999  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Grand Rapids Economic Development Corp., Michigan Christian Home Obligated Group, Refunding, 4.00%, 11/01/27

       285,000          276,078  

a Kalamazoo Economic Development Corp., Friendship Village of Kalamazoo Obligated Group, Refunding, 5.00%, 8/15/31

       110,000          106,662  

Michigan Finance Authority,

         

Lawrence Technological University Obligated Group, Refunding, 4.00%, 2/01/27

       145,000          141,430  

Lawrence Technological University Obligated Group, Refunding, 4.00%, 2/01/32

       285,000          269,373  

Provident Group - HFH Energy LLC, 4.125%, 2/29/44

       870,000          855,013  

University of Detroit Mercy Obligated Group, 5.25%, 11/01/35

       750,000          761,577  

University of Detroit Mercy Obligated Group, Refunding, 5.25%, 11/01/39

       500,000          500,340  

Michigan Strategic Fund,

         

Improvement Project-P3, AMT, 4.125%, 6/30/35

       620,000          619,977  

State of Michigan Department of Transportation, AMT, 5.00%, 6/30/48

       100,000          101,088  
         

 

 

 
            4,431,203  
         

 

 

 

Minnesota 0.7%

         

Duluth Economic Development Authority, Benedictine Health System Obligated Group, Refunding, 4.00%, 7/01/31

       125,000          117,834  

c Minnesota Municipal Gas Agency, VRDN, Series B, SOFR + 1.00%, 4.578%, 12/01/52

       1,400,000          1,399,781  
         

 

 

 
            1,517,615  
         

 

 

 

Mississippi 0.8%

         

a Mississippi Development Bank, Magnolia Regional Health Center, Refunding, 5.00%, 10/01/31

       150,000          152,705  

Mississippi Home Corp.,

         

a Patriot Services Group Obligated Group, Series 2021D-8, 3.50%, 6/01/33

       100,000          86,383  

Patriot Services Group Pascagoula Portfolio II Obligated Group, Series 2021A, 3.65%, 6/01/33

       100,000          87,441  

Series C, 4.65%, 12/01/44

       1,500,000          1,519,225  
         

 

 

 
            1,845,754  
         

 

 

 

Missouri 0.0%

         

City of Maryland Heights, Westport Plaza Redevelopment, 3.625%, 11/01/31

       25,000          24,785  
         

 

 

 

Nevada 0.3%

         

City of Las Vegas Special Improvement District No. 611, Special Improvement District No 611, Special Assessment, 3.50%, 6/01/31

       160,000          145,657  

City of Las Vegas Special Improvement District No. 816, Special Assessment, 2.50%, 6/01/29

       200,000          176,694  

a City of North Las Vegas, NV Special Improvement District No 66, Special Assessment, 5.00%, 6/01/28

       140,000          141,290  

Tahoe-Douglas Visitors Authority, 5.00%, 7/01/31

       250,000          261,563  
         

 

 

 
            725,204  
         

 

 

 

New Jersey 0.6%

         

New Jersey Economic Development Authority,

         

c American Water Co Inc, AMT, Refunding, VRDN, 2.20%, 10/01/39

       100,000          88,072  

Provident Group-Kean Properties LLC, 5.00%, 7/01/32

       100,000          101,288  

Provident Group-Kean Properties LLC, 5.00%, 7/01/37

       50,000          50,268  

United Airlines Inc, 5.25%, 9/15/29

       250,000          250,242  

New Jersey Higher Education Student Assistance Authority, AMT, Series B, 4.00%, 12/01/44

       1,000,000          953,981  
         

 

 

 
            1,443,851  
         

 

 

 

New York 7.8%

         

Metropolitan Transportation Authority,

         

Green Bond, Series 2017C-1, 5.00%, 11/15/28

       935,000          991,085  

Green Bond, Series 2017C-1, 5.00%, 11/15/30

       530,000          561,479  

New York City Municipal Water Finance Authority,

         

c New York City Water & Sewer System, Series BB, 4.90%, 6/15/49

       3,245,000          3,245,000  

c VRDN, 4.90%, 6/15/33

       2,305,000          2,305,000  

New York State Dormitory Authority, St Joseph’s College, 5.00%, 7/01/30

       65,000          65,327  

a,c New York State Environmental Facilities Corp., Casella Waste Systems Inc, AMT, VRDN, 5.125%, 9/01/50

       250,000          258,823  

New York Transportation Development Corp.,

         

American Airlines Inc, AMT, Refunding, 2.25%, 8/01/26

       90,000          87,762  

American Airlines Inc, AMT, Refunding, 3.00%, 8/01/31

       210,000          198,022  

American Airlines Inc, AMT, Refunding, 5.25%, 8/01/31

       80,000          84,905  

Delta Air Lines Inc, AMT, 5.00%, 1/01/25

       250,000          251,201  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Delta Air Lines Inc, AMT, 5.625%, 4/01/40

       235,000          255,708  

Delta Air Lines Inc, AMT, 6.00%, 4/01/35

       1,790,000          2,024,480  

Delta Air Lines, Inc, AMT, 4.00%, 1/01/36

       1,480,000          1,480,905  

Delta Air Lines, Inc, AMT, 5.00%, 10/01/40

       3,815,000          3,971,594  

JFK NTO LLC, AMT, 5.25%, 6/30/43

       500,000          533,816  

JFK NTO LLC, AMT, 5.50%, 6/30/38

       250,000          272,918  

a Oneida Indian Nation of New York, Series B, 6.00%, 9/01/43

       250,000          274,270  

Suffolk Regional Off-Track Betting Co., 5.75%, 12/01/44

       1,000,000          1,042,902  
         

 

 

 
            17,905,197  
         

 

 

 

North Carolina 0.2%

         

North Carolina Medical Care Commission, United Methodist Retirement Homes Inc Obligated Group, 4.25%, 10/01/28

       350,000          351,760  
         

 

 

 

North Dakota 0.8%

         

City of Horace, Refunding, Series B, 5.125%, 7/01/25

       500,000          500,256  

County of Burleigh, University of Mary, 5.10%, 4/15/36

       250,000          251,210  

a,d County of Grand Forks, Red River Biorefinery LLC, AMT, 6.625%, 12/15/31

       125,000          3,750  

f  North Dakota Housing Finance Agency, Series C, 4.65%, 7/01/44

       1,000,000          1,004,363  
         

 

 

 
            1,759,579  
         

 

 

 

Ohio 2.1%

         

Akron Bath Copley Joint Township Hospital District, Summa Health System Obligated Group, Refunding, 4.00%, 11/15/33

       550,000          537,533  

Columbus Metropolitan Housing Authority, Waldren Woods project, 4.00%, 6/01/34

       500,000          492,692  

County of Cuyahoga, Eliza Jennings Obligated Group, Refunding, 5.00%, 5/15/32

       505,000          504,645  

County of Franklin,

         

Ohio Living Obligated Group, Refunding, 4.00%, 7/01/33

       200,000          184,552  

Ohio Living Obligated Group, Series B, 4.00%, 7/01/28

       225,000          215,205  

Wesley Communities Obligated Group, Refunding, 5.00%, 11/15/30

       100,000          101,136  

Franklin County Convention Facilities Authority, Hotel Project Revenue, 5.00%, 12/01/30

       100,000          101,665  

c Ohio Air Quality Development Authority, Duke Energy Corp, AMT, Refunding, VRDN, 4.25%, 11/01/39

       2,280,000          2,293,803  

Ohio Higher Educational Facility Commission, Cleveland Institute of Music/The, 5.00%, 12/01/32

       300,000          305,452  

Ohio Housing Finance Agency, Middletown Phase I Project, 8.00%, 8/01/34

       100,000          103,626  
         

 

 

 
            4,840,309  
         

 

 

 

Oregon 0.5%

         

c Oregon State Facilities Authority, 4.90%, 8/01/34

       1,200,000          1,200,000  
         

 

 

 

Pennsylvania 2.0%

         

Allegheny County Higher Education Building Authority, Robert Morris University, 5.00%, 10/15/26

       70,000          69,815  

Allentown Neighborhood Improvement Zone Development Authority,

         

a City Center Project, 5.00%, 5/01/28

       100,000          101,967  

a City Center Project, 5.25%, 5/01/42

       200,000          199,416  

Berks County Industrial Development Authority,

         

Tower Health Obligated Group, Refunding, 5.00%, 11/01/29

       250,000          157,500  

Tower Health Obligated Group, Tower Health Project, Refunding, 4.00%, 11/01/31

       560,000          352,800  

Chester County Industrial Development Authority, Avon Grove Charter School, 5.00%, 3/01/27

       1,000,000          1,010,164  

Franklin County Industrial Development Authority, Menno-Haven Inc Obligated Group, Refunding, 5.00%, 12/01/28

       100,000          100,744  

c Luzerne County Industrial Development Authority, Pennsylvania-American Water Co., AMT, Refunding, VRDN, 2.45%, 12/01/39

       100,000          90,132  

Pennsylvania Economic Development Financing Authority,

         

Philadelphia Water Department, Refunding, 4.00%, 1/01/31

       425,000          416,256  

c Talen Energy Supply LLC, Refunding, VRDN, 5.25%, 12/01/38

       1,000,000          1,010,427  

UPMC Obligated Group, Series 2017A, 3.375%, 11/15/33

       150,000          146,062  

Pennsylvania Economic Development Financing Authority Parking System Revenue, Refunding, 5.00%, 1/01/26

       500,000          508,108  

Redevelopment Authority of the City of Philadelphia, Social Bond, Series 2021A, 2.799%, 9/01/33

       500,000          415,478  
         

 

 

 
            4,578,869  
         

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Puerto Rico 2.0%

         

Commonwealth of Puerto Rico,

         

Series 2021A1, 4.00%, 7/01/33

       359,628          360,979  

Series 2021A1, 4.00%, 7/01/35

       8,654          8,518  

Series 2021A1, 4.00%, 7/01/37

       35,173          33,960  

Series 2021A1, 4.00%, 7/01/41

       38,099          35,637  

Series 2021A1, 5.625%, 7/01/27

       113,932          118,967  

Series 2021A1, 5.625%, 7/01/29

       502,861          540,033  

Series 2021A1, 5.75%, 7/01/31

       1,335,407          1,485,477  

c VRDN, 11/01/43

       42,678          26,194  

e zero cpn., 7/01/24

       1,570          1,570  

e zero cpn., 7/01/33

       12,391          8,285  

GDB Debt Recovery Authority of Puerto Rico, 7.50%, 8/20/40

       1,324,964          1,288,527  

HTA HRRB Custodial Trust, 5.25%, 7/01/32

       38,487          38,292  

Puerto Rico Commonwealth Aqueduct & Sewer Authority, Series A, 6.125%, 7/01/24

       5,000          5,000  

Puerto Rico Electric Power Authority,

         

Refunding, 5.25%, 7/01/32

       175,000          173,380  

Refunding, Series V, 5.25%, 7/01/27

       170,000          170,373  

Puerto Rico Industrial Tourist Educational Medical & Environmental Control Facilities Financing

         

Authority,

         

Hospital Auxilio Mutuo Obligated Group, Refunding, 4.00%, 7/01/37

       100,000          94,897  

Hospital Auxilio Mutuo Obligated Group, Refunding, 4.00%, 7/01/39

       100,000          94,071  

Hospital Auxilio Mutuo Obligated Group, Refunding, 4.00%, 7/01/40

       100,000          93,573  
         

 

 

 
            4,577,733  
         

 

 

 

South Carolina 2.3%

         

County of Dorchester, SC Summers Corner Improvement District, Special Assessment, 4.50%, 10/01/33

       415,000          408,536  

a County of Richland, Village at Sandhill Improvement District, Special Assessment, Refunding, 3.00%, 11/01/26

       100,000          94,139  

Patriots Energy Group Financing Agency,

         

c VRDN, Refunding, SOFR + 1.90%, 5.471%, 2/01/54

       50,000          51,951  

c VRDN, Series A1, 5.25%, 10/01/54

       4,000,000          4,286,776  

South Carolina Jobs-Economic Development Authority,

         

AHPC Vista Towers 2021 LLC, 3.65%, 12/01/36

       100,000          86,695  

a Columbia Portfolio Obligated Group, 6/01/37

       315,000          249,241  

a Orchard Pk and Willowbrook Apartment, 3.65%, 12/01/36

       100,000          86,695  
         

 

 

 
            5,264,033  
         

 

 

 

Tennessee 4.9%

         

Chattanooga Health Educational & Housing Facility Board, CommonSpirit Health Obligated Group, Series A, 4.00%, 8/01/38

       1,125,000          1,117,537  

Cleveland Housing Authority,

         

a Cleveland Forward Phase One LLC, 6.25%, 4/01/41

       300,000          303,251  

a Cleveland Forward Phase Two LLC, 6.25%, 4/01/41

       100,000          101,084  

Knox County Health Educational & Housing Facility Board, 5.00%, 7/01/38

       425,000          468,823  

c Tennergy Corp., Series A, 5.50%, 10/01/53

       2,560,000          2,736,668  

c Tennessee Energy Acquisition Corp., Series A, 5.00%, 5/01/52

       6,310,000          6,698,926  
         

 

 

 
            11,426,289  
         

 

 

 

Texas 11.7%

         

a,f Arlington Higher Education Finance Corp., BASIS Texas Charter Schools Inc, 4.50%, 6/15/44

       830,000          801,343  

Cedar Port Navigation & Improvement District, 4.00%, 9/01/38

       1,450,000          1,457,956  

a City of Anna, Hurricane Creek Public Improvement District Impt Area No 2, Special Assessment, 5.00%, 9/01/28

       583,000          581,567  

City of Aubrey, Jackson Ridge Public Improvement District, Special Assessment, 5.00%, 9/01/25

       505,000          511,970  

a City of Austin, Whisper Valley Public Improvement District Improvement Area 2, Special Assessment, 4.75%, 11/01/29

       164,000          162,722  

a City of Boyd, Public Improvement District No 1 Improvement Area No 1, Special Assessment, 4.25%, 9/15/30

       189,000          188,887  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

City of Celina,

         

a Celina Hills Public Improvement District, Special Assessment, 4.375%, 9/01/27

       75,000          73,623  

a Chalk Hill Public Improvement District No 2, Special Assessment, 5.00%, 9/01/30

       185,000          184,271  

a Creeks of Legacy Public Improvement District Phase No 3, Special Assessment, 3.625%, 9/01/30

       100,000          90,634  

a Edgewood Creek Public Improvement District, Special Assessment, 3.75%, 9/01/31

       180,000          163,193  

a Pravin Public Improvement District, Special Assessment, 6.50%, 9/01/43

       103,000          104,105  

a Sutton Fields II Public Improvement District, Special Assessment, 2.875%, 9/01/27

       75,000          69,034  

a The Parks at Wilson Creek Public Improvement District, Special Assessment, 3.25%, 9/01/31

       110,000          99,163  

a Wells North Public Improvement District, Special Assessment, 3.25%, 9/01/30

       180,000          162,025  

a City of Crandall, Cartwright Ranch Public Improvement District Major Impt Are, Special Assessment, 4.75%, 9/15/31

       100,000          97,865  

City of Fate,

         

a Monterra Public Improvement District, Special Assessment, 2.75%, 8/15/26

       59,000          55,881  

a Williamsburg East Public Improvement District, Special Assessment, 3.375%, 8/15/30

       145,000          129,224  

City of Horseshoe Bay, Escondido Public Improvement District, Special Assessment, Refunding, 3.00%, 10/01/30

       140,000          124,394  

a City of Hutto, Emory Crossing Public Improvement District Impt Area No 2, Special Assessment, 4.50%, 9/01/30

       270,000          271,361  

a City of Justin, Timberbrook Public Improvement District No. 2 Area No. 1, Special Assessment, 4.50%, 9/01/31

       153,000          153,795  

City of Kyle,

         

a 6 Creeks Public Improvement District Improvement Area No 4, Special Assessment, 4.50%, 9/01/33

       550,000          553,415  

a Creeks Public Improvement District, Special Assessment, 2.75%, 9/01/26

       100,000          96,685  

Kyle 57 Public Improvement District, Series 2022, 4.75%, 9/01/32

       133,000          133,153  

a Limestone Creek Public Improvement District Improvement Area #1, Special Assessment, 5.50%, 9/01/44

       550,000          552,787  

a Plum Creek North Public Improvement District, Special Assessment, 4.375%, 9/01/32

       215,000          207,356  

a Southwest Kyle Public Improvement District No 1 Impt Area No 2, Special Assessment, 5.75%, 9/01/30

       100,000          101,621  

City of Lago Vista,

         

a Tessera on Lake Travis Public Improvement District, Special Assessment, Refunding, 5.00%, 9/01/30

       140,000          131,605  

Tessera on Lake Travis Public Impt Dist Impt Area No 1, Special Assessment, Refunding, 3.125%, 9/01/30

       130,000          118,204  

City of Lavon,

         

a Lakepointe Public Improvement District, Special Assessment, 5.25%, 9/15/28

       407,000          406,890  

a Lakepointe Public Improvement District, Special Assessment, 5.875%, 9/15/42

       355,000          361,633  

City of Leander, Oak Creek Public Improvement District, Special Assessment, Refunding, 3.25%, 9/01/32

       100,000          89,076  

a City of Liberty Hill, Summerlyn West Public Improvement District, Special Assessment, 3.125%, 9/01/30

       75,000          68,250  

a City of Manor, Manor Heights Public Improvement District Area No 3, Special Assessment, 5.25%, 9/15/43

       200,000          198,928  

a City of Mclendon-Chisholm, Sonoma Public Improvement District, Special Assessment, 5.375%, 9/15/32

       155,000          156,110  

City of Mesquite,

         

a Heartland Town Center Public Improvement District Phase 2, Special Assessment, 4.00%, 9/01/30

       130,000          128,846  

a Solterra Public Improvement District Improvement Area C-1, Special Assessment, 5.375%, 9/01/43

       102,000          102,599  

City of Pilot Point,

         

a Creekview Public Improvement District, Special Assessment, Series 2022, 5.25%, 9/15/32

       150,000          151,039  

a Creekview Public Improvement District, Special Assessment, Series 2022, 5.75%, 9/15/32

       145,000          145,631  

City of Princeton,

         

a TX Whitewing Trails Public Improvement District No 2 Phase 2, Special Assessment, 4.25%, 9/01/30

       125,000          121,726  

a Winchester Public Improvement District, Special Assessment, 2.875%, 9/01/31

       100,000          86,510  

a Winchester Public Improvement District, Special Assessment, 3.25%, 9/01/30

       100,000          89,880  

a City of Royse City, Creekshaw Public Improvement District, Special Assessment, 3.125%, 9/15/25

       135,000          131,636  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

City of Sachse,

         

a Sachse Public Improvement District No 1 Improvement Area No 1, Special Assessment, 5.00%, 9/15/28

       278,000          280,374  

a Sachse Public Improvement District No 1 Improvement Area No 1, Special Assessment, 5.625%, 9/15/42

       100,000          102,556  

a Sachse Public Improvement District No 1, Special Assessment, 6.00%, 9/15/28

       100,000          100,518  

a TX Sachse Public Improvement District No 1, Special Assessment, 6.875%, 9/15/42

       165,000          169,958  

City of Tomball,

         

a Raburn Reserve Public Improvement District Area No 2, Special Assessment, 4.875%, 9/15/33

       145,000          145,946  

a Raburn Reserve Public Improvement District, Special Assessment, 3.375%, 9/15/30

       100,000          91,545  

a City of Uhland, Watermill Public Improvement District, Special Assessment, 5.75%, 9/01/27

       100,000          100,699  

County of Hays,

         

a La Cima Public Improvement District Neighborhood Impt Area 3, Special Assessment, 4.75%, 9/15/27

       398,000          395,302  

a La Cima Public Improvement District Neighborhood Impt Area 3, Special Assessment, 4.875%, 9/15/32

       375,000          374,629  

a La Cima Public Improvement District, Special Assessment, 3.25%, 9/15/30

       150,000          132,753  

a County of Medina, Woodlands Public Improvement District IA#1 Project, Special Assessment, 3.50%, 9/01/26

       100,000          95,361  

Fulshear Municipal Utility District No. 3A, 4.25%, 9/01/41

       1,005,000          989,356  

Harris County Municipal Utility District No. 171,

         

4.75%, 12/01/40

       1,215,000          1,260,809  

6.75%, 12/01/26

       1,015,000          1,077,158  

Harris County Municipal Utility District No. 502, 4.75%, 9/01/37

       1,060,000          1,102,885  

Harris-Waller Counties Municipal Utility District No. 4,

         

5.00%, 11/01/36

       415,000          418,193  

5.50%, 11/01/44

       265,000          266,559  

Lakes Fresh Water Supply District of Denton County, 4.375%, 9/01/42

       1,350,000          1,357,656  

Matagorda County Navigation District No. 1, CenterPoint Energy Inc, Refunding, 5.125%, 11/01/28

       1,000,000          1,026,282  

New Hope Cultural Education Facilities Finance Corp.,

         

CHF-Collegiate Housing College Station I LLC, 5.00%, 4/01/29

       100,000          100,042  

CHF-Collegiate Housing Corpus Christi II LLC, 5.00%, 4/01/31

       30,000          30,767  

NCCD-College Station Properties LLC, Series A, 5.00%, 7/01/47

       100,000          95,125  

Wesleyan Homes Obligated Group, Refunding, 4.00%, 1/01/29

       100,000          92,922  

North Parkway Municipal Management District No. 1,

         

a Legacy Hills Public Improvement District, Special Assessment, 3.625%, 9/15/31

       50,000          45,821  

a Major Improvements Project, Special Assessment, 4.25%, 9/15/31

       152,000          146,889  

Northlake Municipal Management District No. 1, 5.00%, 3/01/40

       925,000          952,468  

a Northwood Municipal Utility District No. 1, Refunding, 4.00%, 8/01/31

       250,000          246,774  

South Manvel Development Authority, City of Manvel TX Tax Increment Reinvestment Zone Number 3, 5.00%, 4/01/38

       275,000          275,089  

Texas Municipal Gas Acquisition & Supply Corp. III, Refunding, 5.00%, 12/15/32

       2,170,000          2,275,869  

cTexas Municipal Gas Acquisition & Supply Corp. IV, Series B, 5.50%, 1/01/54

       2,500,000          2,793,878  

Travis County Municipal Utility District No. 22,

         

Series A, 5.75%, 9/01/38

       275,000          279,530  

Series B, 6.00%, 9/01/42

       320,000          325,182  

Viridian Municipal Management District,

         

5.00%, 12/01/25

       100,000          101,674  

Special Assessment, 2.875%, 12/01/30

       100,000          86,571  

Viridian Public Improvement District, Special Assessment, 2.375%, 12/01/25

       27,000          25,875  
         

 

 

 
            26,979,608  
         

 

 

 

Utah 0.3%

         

Military Installation Development Authority, Series 2021A-2, 4.00%, 6/01/36

       250,000          224,956  

a Utah Charter School Finance Authority, Wallace Stegner Academy, Series 2022A, 5.25%, 6/15/32

       230,000          237,705  

Utah Infrastructure Agency, 5.00%, 10/15/32

       250,000          263,158  
         

 

 

 
            725,819  
         

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Virginia 0.7%

     

a Peninsula Town Center Community Development Authority, Special Assessment, Refunding, 4.50%, 9/01/28

     100,000        98,524  

Virginia Beach Development Authority, Westminster-Canterbury on Chesapeake Bay Obligated Group, 5.75%, 9/01/30

     1,000,000        1,039,920  

c Virginia Small Business Financing Authority, VRDN, 5.00%, 11/01/52

     500,000        500,065  
     

 

 

 
        1,638,509  
     

 

 

 

Washington 1.9%

     

Jefferson County Public Hospital District No. 2, Refunding, Series A, 5.75%, 12/01/33

     500,000        498,690  

Skagit County Public Hospital District No. 1, Refunding, 5.00%, 12/01/29

     100,000        100,953  

Washington Health Care Facilities Authority,
CommonSpirit Health Obligated Group, Refunding, Series A, 5.00%, 8/01/34

     1,000,000        1,069,421  

a Fred Hutchinson Cancer Center Obligated Group, 3.00%, 12/01/34

     125,000        114,288  

a Fred Hutchinson Cancer Center Obligated Group, 5.00%, 12/01/32

     250,000        269,982  

Washington State Housing Finance Commission,

     

a eliseo Obligated Group, Series 2021A, 4.00%, 1/01/31

     100,000        93,400  

Emerald Heights Project, Refunding, Series A, 5.00%, 7/01/38

     1,300,000        1,386,422  

a Madison at Rivers Edge Apartments LLC, 3.65%, 1/01/37

     100,000        86,718  

a Presbyterian Retirement Communities Northwest Obligated Group, Series 2019A, 5.00%, 1/01/34

     100,000        96,769  

a Seattle Academy of Arts & Sciences, Refunding, 5.625%, 7/01/38

     430,000        473,568  

a Spokane United Methodist Homes Obligated Group, 5.00%, 1/01/32

     100,000        98,284  
     

 

 

 
        4,288,495  
     

 

 

 

West Virginia 0.1%

     

c West Virginia Economic Development Authority, Appalachian Power Co., VRDN, 3.75%, 12/01/42

     250,000        249,950  
     

 

 

 

Wisconsin 2.0%

     

Public Finance Authority,

     

a Coral Academy of Science Reno, 5.375%, 6/01/37

     335,000        342,038  

a Dominium Holdings I LLC, Series 1, 6.81%, 4/28/36

     500,000        509,234  

a Estancia Valley Classical Academy, Refunding, 4.00%, 7/01/31

     100,000        93,368  

a Friends Homes Obligated Group, Refunding, 4.00%, 9/01/29

     100,000        97,219  

a Masonic & Eastern Star Home of NC Inc Obligated Group, Refunding, 4.00%, 3/01/27

     35,000        34,824  

North East Carolina Preparatory School, Inc., Refunding, 4.25%, 6/15/34

     800,000        800,299  

a Ocean Academy Charter School, 4.00%, 10/15/31

     100,000        93,136  

a Series 2023-B, 7.125%, 7/25/34

     500,000        524,932  

a Signature Preparatory, 5.00%, 6/15/31

     115,000        114,930  

Triad Math & Science Academy Co, 4.00%, 6/15/30

     335,000        327,987  

a UMA Education Inc, Refunding, 5.00%, 10/01/24

     100,000        100,040  

a UMA Education Inc, Refunding, 5.00%, 10/01/29

     600,000        624,087  

a Whitestone-Retirement Facilities, Refunding, 5.00%, 3/01/37

     385,000        375,453  

a,c WV 2020 Holdings LLC Obligated Group, VRDN, 3.50%, 12/01/50

     100,000        84,452  

Wisconsin Health & Educational Facilities Authority,

     

Wisconsin Masonic Home Obligated Group, 4.20%, 8/15/28

     250,000        248,402  

Wisconsin Masonic Home Obligated Group, 5.50%, 8/15/44

     305,000        321,191  
     

 

 

 
        4,691,592  
     

 

 

 

Total Municipal Bonds (Cost $224,259,938)

        227,923,497  
     

 

 

 

c Senior Floating Rate Interests 0.4%

     

Household Products 0.2%

     

TBG Hillcrest Senior LP, 1 mo. USD Term SOFR + 1.55%, 6.878%, 8/01/24

     372,332        372,332  
     

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Real Estate Development 0.2%

         

Centennial Gardens LP, 1 mo. USD Term SOFR + 1.55%, 6.878%, 8/01/24

       500,000          500,735  
         

 

 

 

Total Floating Rate Loans (Cost $872,332)

            873,067  
         

 

 

 

Total Investments (Cost $227,588,832) 100.1%

            231,259,088  

Other Assets, less Liabilities (0.1)%

            (126,071
         

 

 

 

Net Assets 100.0%

          $ 231,133,017  
         

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $39,268,403, representing 17.0% of net assets.

bFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements. cVariable rate security. The rate shown represents the yield at period end.

dDefaulted securities.

eThe security was issued on a discount basis with no stated coupon rate.

fSecurity purchased on a when-issued basis.

Abbreviations

Selected Portfolio

 

AMT     Alternative Minimum Tax
CSCDA    

California Statewide Communities

Development Authority

LIBOR     London Interbank Offered Rate
SOFR     Secured Overnight Financing Rate
VRDN     Variable Rate Demand Note


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

   Franklin Emerging Market Core Dividend Tilt Index ETF   Industry      Shares        Value  

Common Stocks 97.5%

           

Australia 0.0%

           

a Yancoal Australia Ltd.

  Oil, Gas & Consumable Fuels        1,500        $     6,561  
           

 

 

 

Brazil 3.5%

           

Alupar Investimento SA, UNIT

  Electric Utilities        581          3,114  

Ambev SA

  Beverages        24,000          49,301  

Banco Santander Brasil SA

  Banks        2,000          9,887  

BB Seguridade Participacoes SA

  Insurance        3,500          20,750  

Caixa Seguridade Participacoes SA

  Insurance        3,000          7,729  

Cia Energetica de Minas Gerais

  Electric Utilities        1,950          4,290  

Cia Paranaense de Energia - Copel

  Electric Utilities        2,500          3,731  

Cia Siderurgica Nacional SA

  Metals & Mining        3,500          8,135  

CPFL Energia SA

  Electric Utilities        1,000          5,893  

CSN Mineracao SA

  Metals & Mining        3,000          2,803  

Hypera SA

  Pharmaceuticals        2,000          10,334  

Itausa SA

  Banks        5,500          9,743  

Localiza Rent a Car SA

  Ground Transportation        2,500          18,904  

Lojas Renner SA

  Specialty Retail        5,000          11,234  

Natura & Co. Holding SA

  Personal Care Products        5,500          15,388  

Neoenergia SA

  Electric Utilities        3,000          10,030  

Petroleo Brasileiro SA

  Oil, Gas & Consumable Fuels        11,000          79,968  

Porto Seguro SA

  Insurance        1,000          5,572  

Telefonica Brasil SA

  Diversified Telecommunication Services        2,000          16,326  

TIM SA

  Wireless Telecommunication Services        4,000          11,436  

Vale SA

  Metals & Mining        12,500          140,023  

Vibra Energia SA

  Specialty Retail        5,500          20,695  
           

 

 

 
              465,286  
           

 

 

 

Chile 0.4%

           

Banco de Chile

  Banks        233,895          26,021  

Banco Santander Chile

  Banks        93,360          4,372  

Cia Sud Americana de Vapores SA

  Marine Transportation        79,040          5,004  

Empresas CMPC SA

  Paper & Forest Products        6,045          11,335  

Enel Chile SA

  Electric Utilities        127,015          7,145  
           

 

 

 
              53,877  
           

 

 

 

China 24.3%

           

37 Interactive Entertainment Network Technology Group Co. Ltd., Class A

  Entertainment        1,000          1,787  

Agricultural Bank of China Ltd., Class H

  Banks        150,000          64,170  

Alibaba Group Holding Ltd., Class A

  Broadline Retail        20,275          183,081  

Anhui Conch Cement Co. Ltd., Class A

  Construction Materials        1,500          4,847  

Anhui Conch Cement Co. Ltd., Class H

  Construction Materials        6,170          14,699  

ANTA Sports Products Ltd., Class A

  Textiles, Apparel & Luxury Goods        3,040          29,203  

Avary Holding Shenzhen Co. Ltd., Class A

  Electronic Equipment, Instruments & Components        1,000          5,446  

AviChina Industry & Technology Co. Ltd., Class H

  Aerospace & Defense        5,000          2,248  

Bank of Beijing Co. Ltd., Class A

  Banks        9,000          7,199  

Bank of Changsha Co. Ltd., Class A

  Banks        2,000          2,241  

Bank of Chengdu Co. Ltd., Class A

  Banks        1,500          3,121  

Bank of China Ltd., Class H

  Banks        275,000          135,609  

Bank of Communications Co. Ltd., Class A

  Banks        16,000          16,371  

Bank of Communications Co. Ltd., Class H

  Banks        40,000          31,406  

Bank of Jiangsu Co. Ltd., Class A

  Banks        8,000          8,142  

Bank of Nanjing Co. Ltd., Class A

  Banks        4,500          6,404  

Bank of Shanghai Co. Ltd., Class A

  Banks        6,000          5,966  

Bank of Suzhou Co. Ltd., Class A

  Banks        1,500          1,541  

BBMG Corp., Class A

  Construction Materials        5,000          938  

Beijing Enterprises Holdings Ltd., Class H

  Gas Utilities        2,500          8,389  

Beijing Jingneng Power Co. Ltd., Class A

  Independent Power Producers & Energy Traders        2,500          1,109  

BOC Hong Kong Holdings Ltd.

  Banks        18,500          56,988  

C&D International Investment Group Ltd.

  Real Estate Management & Development        5,000          9,299  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

China CITIC Bank Corp. Ltd., Class A

  

Banks

       11,000          10,095  

b China CITIC Bank Corp. Ltd., Class H

  

Banks

       45,000          28,876  

China Construction Bank Corp., Class A

  

Banks

       2,000          2,027  

China Construction Bank Corp., Class H

  

Banks

       260,000          192,151  

China Everbright Bank Co. Ltd., Class A

  

Banks

       20,000          8,684  

b China Everbright Bank Co. Ltd., Class H

  

Banks

       15,000          4,669  

a China Feihe Ltd.

  

Food Products

       20,000          9,248  

China Life Insurance Co. Ltd., Class H

  

Insurance

       40,000          56,562  

China Medical System Holdings Ltd.

  

Pharmaceuticals

       7,000          5,935  

China Merchants Bank Co. Ltd., Class A

  

Banks

       7,000          32,781  

China Merchants Bank Co. Ltd., Class H

  

Banks

       17,000          77,190  

China Merchants Expressway Network &
Technology Holdings Co. Ltd., Class A

  

Transportation Infrastructure

       2,500          4,061  

China Merchants Port Holdings Co. Ltd.

  

Transportation Infrastructure

       6,670          9,927  

b China Minsheng Banking Corp. Ltd., Class A

  

Banks

       15,500          8,046  

China Minsheng Banking Corp. Ltd., Class H

  

Banks

       35,000          12,104  

China Overseas Land & Investment Ltd., Class A

  

Real Estate Management & Development

       17,500          30,349  

b China Pacific Insurance Group Co. Ltd., Class A

  

Insurance

       1,500          5,724  

China Pacific Insurance Group Co. Ltd., Class H

  

Insurance

       6,000          14,648  

China Petroleum & Chemical Corp., Class A

  

Oil, Gas & Consumable Fuels

       17,000          14,716  

China Petroleum & Chemical Corp., Class H

  

Oil, Gas & Consumable Fuels

       126,000          81,661  

a China Resources Mixc Lifestyle Services Ltd.

  

Real Estate Management & Development

       2,000          6,622  

China Shenhua Energy Co. Ltd., Class A

  

Oil, Gas & Consumable Fuels

       2,500          15,193  

China Shenhua Energy Co. Ltd., Class H

  

Oil, Gas & Consumable Fuels

       17,500          80,581  

a China Tower Corp. Ltd., Class H

  

Diversified Telecommunication Services

       210,000          27,167  

China Vanke Co. Ltd., Class A

  

Real Estate Management & Development

       4,500          4,271  

China Vanke Co. Ltd., Class H

  

Real Estate Management & Development

       11,000          6,551  

China Zhenhua Group Science &
Technology Co. Ltd., Class A

  

Electronic Equipment, Instruments & Components

       500          2,844  

China Zheshang Bank Co. Ltd., Class A

  

Banks

       9,000          3,402  

China Zheshang Bank Co. Ltd., Class H

  

Banks

       15,000          4,015  

Chongqing Brewery Co. Ltd., Class A

  

Beverages

       200          1,663  

Chongqing Changan Automobile Co. Ltd., Class A

  

Automobiles

       1,000          1,840  

Chongqing Fuling Zhacai Group Co. Ltd., Class A

  

Food Products

       500          839  

Chongqing Rural Commercial Bank Co. Ltd., Class A

  

Banks

       4,000          2,750  

Chongqing Rural Commercial Bank Co. Ltd., Class H

  

Banks

       10,000          4,906  

Chow Tai Fook Jewellery Group Ltd., Class A

  

Specialty Retail

       10,000          10,823  

CITIC Ltd., Class B

  

Industrial Conglomerates

       35,000          31,829  

Citic Pacific Special Steel Group Co. Ltd., Class A

  

Metals & Mining

       1,000          1,859  

COFCO Sugar Holding Co. Ltd., Class A

  

Food Products

       1,000          1,314  

COSCO SHIPPING Development Co. Ltd., Class A

  

Trading Companies & Distributors

       2,000          707  

COSCO SHIPPING Holdings Co. Ltd., Class A

  

Marine Transportation

       5,000          10,608  

COSCO SHIPPING Holdings Co. Ltd., Class H

  

Marine Transportation

       15,000          26,244  

CSPC Pharmaceutical Group Ltd.

  

Pharmaceuticals

       40,000          31,867  

Daqin Railway Co. Ltd., Class A

  

Ground Transportation

       6,500          6,375  

DaShenLin Pharmaceutical Group Co. Ltd., Class A

  

Consumer Staples Distribution & Retail

       500          979  

Do-Fluoride New Materials Co. Ltd., Class A

  

Chemicals

       500          838  

b Easyhome New Retail Group Co. Ltd., Class A

  

Broadline Retail

       3,000          999  

ENN Energy Holdings Ltd.

  

Gas Utilities

       4,000          32,969  

Focus Media Information Technology Co.
Ltd., Class A

  

Media

       5,500          4,565  

Foxconn Industrial Internet Co. Ltd., Class A

  

Electronic Equipment, Instruments & Components

       4,000          15,012  

Fuyao Glass Industry Group Co. Ltd., Class A

  

Automobile Components

       500          3,280  

a Fuyao Glass Industry Group Co. Ltd., Class H

  

Automobile Components

       3,200          18,588  

Ganfeng Lithium Group Co. Ltd., Class A

  

Chemicals

       500          1,962  

a Ganfeng Lithium Group Co. Ltd., Class H

  

Chemicals

       2,000          3,899  

b GCL Technology Holdings Ltd.

  

Semiconductors & Semiconductor Equipment

       115,000          17,086  

Gemdale Corp., Class A

  

Real Estate Management & Development

       2,500          1,164  

Giant Network Group Co. Ltd., Class A

  

Entertainment

       500          647  

Goneo Group Co. Ltd., Class A

  

Electrical Equipment

       290          3,063  

Guanghui Energy Co. Ltd., Class A

  

Oil, Gas & Consumable Fuels

       3,000          2,753  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Guangxi Guiguan Electric Power Co. Ltd., Class A

  

Independent Power Producers & Energy Traders

       2,000          2,101  

Guangzhou Kingmed Diagnostics Group Co. Ltd., Class A

  

Health Care Providers & Services

       500          1,862  

Guangzhou Yuexiu Capital Holdings Group Co. Ltd., Class A

  

Capital Markets

       2,500          1,698  

Guotai Junan Securities Co. Ltd., Class A

  

Capital Markets

       3,000          5,568  

a Guotai Junan Securities Co. Ltd., Class H

  

Capital Markets

       4,000          3,971  

H World Group Ltd.

  

Hotels, Restaurants & Leisure

       500          1,665  

Hangzhou Binjiang Real Estate Group Co. Ltd., Class A

  

Real Estate Management & Development

       1,000          994  

Hangzhou Oxygen Plant Group Co. Ltd., Class A

  

Chemicals

       500          1,524  

Hebei Yangyuan Zhihui Beverage Co. Ltd., Class A

  

Food Products

       500          1,457  

Heilongjiang Agriculture Co. Ltd., Class A

  

Food Products

       1,000          1,711  

Henan Shenhuo Coal Industry & Electricity Power Co. Ltd., Class A

  

Metals & Mining

       1,000          2,771  

Henan Shuanghui Investment & Development Co. Ltd., Class A

  

Food Products

       1,500          4,884  

Hengan International Group Co. Ltd.

  

Personal Care Products

       3,750          11,431  

Hengli Petrochemical Co. Ltd., Class A

  

Chemicals

       2,000          3,821  

HLA Group Corp. Ltd., Class A

  

Specialty Retail

       2,000          2,531  

b Horizon Construction Development Ltd.

  

Trading Companies & Distributors

       1,851          356  

Huaibei Mining Holdings Co. Ltd., Class A

  

Metals & Mining

       1,000          2,293  

Huatai Securities Co. Ltd., Class A

  

Capital Markets

       3,000          5,091  

a Huatai Securities Co. Ltd., Class H

  

Capital Markets

       7,000          7,738  

Huaxia Bank Co. Ltd., Class A

  

Banks

       7,000          6,136  

Huaxin Cement Co. Ltd., Class A

  

Construction Materials

       500          942  

Huayu Automotive Systems Co. Ltd., Class A

  

Automobile Components

       1,500          3,365  

Hubei Xingfa Chemicals Group Co. Ltd., Class A

  

Chemicals

       500          1,307  

Hunan Valin Steel Co. Ltd., Class A

  

Metals & Mining

       3,500          2,124  

Industrial & Commercial Bank of China Ltd., Class H

  

Banks

       245,000          145,605  

b Industrial Bank Co. Ltd., Class A

  

Banks

       8,000          19,307  

Inner Mongolia ERDOS Resources Co. Ltd., Class A

  

Metals & Mining

       700          951  

Inner Mongolia ERDOS Resources Co. Ltd., Class B

  

Metals & Mining

       2,500          2,085  

Inner Mongolia Junzheng Energy & Chemical
Industry Group Co. Ltd., Class A

  

Chemicals

       4,500          2,274  

Inner Mongolia MengDian HuaNeng Thermal Power Corp. Ltd., Class A

  

Independent Power Producers & Energy Traders

       3,000          1,907  

Inner Mongolia Yili Industrial Group Co. Ltd., Class A

  

Food Products

       2,500          8,848  

Inner Mongolia Yitai Coal Co. Ltd., Class B

  

Oil, Gas & Consumable Fuels

       12,000          21,552  

JA Solar Technology Co. Ltd., Class A

  

Semiconductors & Semiconductor Equipment

       1,500          2,301  

Jason Furniture Hangzhou Co. Ltd., Class A

  

Household Durables

       500          2,211  

JD.com, Inc., Class A

  

Broadline Retail

       6,000          79,386  

Jiangsu Expressway Co. Ltd., Class A

  

Transportation Infrastructure

       500          863  

b Jiangsu Expressway Co. Ltd., Class H

  

Transportation Infrastructure

       6,000          6,402  

Jiangsu Financial Leasing Co. Ltd., Class A

  

Financial Services

       2,000          1,383  

Jiangsu Phoenix Publishing & Media Corp. Ltd., Class A

  

Media

       1,000          1,501  

Jiangsu Yanghe Distillery Co. Ltd., Class A

  

Beverages

       500          5,530  

Jointown Pharmaceutical Group Co. Ltd., Class A

  

Health Care Providers & Services

       2,580          1,725  

KE Holdings, Inc., Class A

  

Real Estate Management & Development

       6,000          29,664  

b Keda Industrial Group Co. Ltd., Class A

  

Machinery

       1,000          1,155  

Kingboard Holdings Ltd.

  

Electronic Equipment, Instruments & Components

       3,340          7,863  

b Kingfa Sci & Tech Co. Ltd., Class A

  

Chemicals

       1,000          905  

LB Group Co. Ltd., Class A

  

Chemicals

       1,000          2,544  

Lenovo Group Ltd.

  

Technology Hardware, Storage & Peripherals

       41,000          57,871  

Li Ning Co. Ltd.

  

Textiles, Apparel & Luxury Goods

       12,500          27,058  

Lingyi iTech Guangdong Co., Class A

  

Electronic Equipment, Instruments & Components

       3,000          2,926  

Livzon Pharmaceutical Group, Inc., Class A

  

Pharmaceuticals

       300          1,529  

Livzon Pharmaceutical Group, Inc., Class H

  

Pharmaceuticals

       1,000          3,292  

a Longfor Group Holdings Ltd.

  

Real Estate Management & Development

       9,920          13,621  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Luzhou Laojiao Co. Ltd., Class A

   Beverages        100          1,965  

Meihua Holdings Group Co. Ltd., Class A

   Chemicals        1,000          1,372  

a,b Meituan, Class B

   Hotels, Restaurants & Leisure        3,000          42,690  

b Ming Yang Smart Energy Group Ltd., Class A

   Electrical Equipment        1,000          1,293  

b Minth Group Ltd.

   Automobile Components        3,340          5,193  

Nanjing Iron & Steel Co. Ltd., Class A

   Metals & Mining        3,000          2,046  

NetEase, Inc.

   Entertainment        6,517          124,457  

New China Life Insurance Co. Ltd., Class A

   Insurance        500          2,057  

New China Life Insurance Co. Ltd., Class H

   Insurance        2,000          3,817  

b People’s Insurance Co. Group of China Ltd., Class H

   Insurance        40,000          13,731  

Perfect World Co. Ltd., Class A

   Entertainment        500          521  

PetroChina Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        106,000          107,257  

b PICC Property & Casualty Co. Ltd., Class H

   Insurance        36,000          44,727  

Ping An Insurance Group Co. of China Ltd., Class A

   Insurance        3,000          16,995  

Ping An Insurance Group Co. of China Ltd., Class H

   Insurance        23,700          107,460  

Pingdingshan Tianan Coal Mining Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,000          1,534  

b Poly Developments & Holdings Group Co. Ltd., Class A

   Real Estate Management & Development        5,000          5,999  

Postal Savings Bank of China Co. Ltd., Class A

   Banks        15,000          10,417  

a Postal Savings Bank of China Co. Ltd., Class H

   Banks        50,000          29,331  

Sany Heavy Equipment International Holdings Co. Ltd.

   Machinery        5,000          3,112  

Shaanxi Beiyuan Chemical Industry Group Co. Ltd., Class A

   Chemicals        1,500          762  

Shaanxi Coal Industry Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        4,000          14,119  

b Shan Xi Hua Yang Group New Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,500          2,046  

Shandong Hi-speed Co. Ltd., Class A

   Transportation Infrastructure        500          606  

Shandong Weigao Group Medical Polymer Co. Ltd., Class H

   Health Care Equipment & Supplies        14,000          6,671  

b Shanghai Aiko Solar Energy Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,000          1,240  

Shanghai Bairun Investment Holding Group Co. Ltd., Class A

   Beverages        500          1,153  

Shanghai Baosight Software Co. Ltd., Class A

   Software        500          2,187  

Shanghai Baosight Software Co. Ltd., Class B

   Software        2,000          3,238  

Shanghai Pharmaceuticals Holding Co. Ltd., Class A

   Health Care Providers & Services        1,000          2,618  

Shanghai Pharmaceuticals Holding Co. Ltd., Class H

   Health Care Providers & Services        3,500          5,263  

Shanghai Pudong Development Bank Co. Ltd., Class A

   Banks        11,500          12,964  

Shanghai Putailai New Energy Technology Co. Ltd., Class A

   Chemicals        1,000          1,935  

Shanghai Rural Commercial Bank Co. Ltd., Class A

   Banks        4,500          4,142  

Shanghai Yuyuan Tourist Mart Group Co. Ltd., Class A

   Specialty Retail        2,000          1,411  

Shanxi Coal International Energy Group Co. Ltd., Class A

   Trading Companies & Distributors        1,000          2,003  

b Shanxi Coking Coal Energy Group Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        2,500          3,530  

Shanxi Lu’an Environmental Energy Development Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,000          2,483  

Shengyi Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        1,000          2,885  

Shenzhen Transsion Holdings Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        413          4,330  

Shenzhou International Group Holdings Ltd.

   Textiles, Apparel & Luxury Goods        2,500          24,480  

Shijiazhuang Yiling Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        1,000          2,100  

b Sichuan Road & Bridge Group Co. Ltd., Class A

   Construction & Engineering        2,000          2,161  

Sinochem International Corp., Class A

   Trading Companies & Distributors        1,500          717  

Sinoma Science & Technology Co. Ltd., Class A

   Chemicals        500          883  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Sinomine Resource Group Co. Ltd., Class A

  

Metals & Mining

       500          1,835  

Sinopharm Group Co. Ltd., Class H

  

Health Care Providers & Services

       7,200          19,136  

Sinotrans Ltd., Class A

  

Air Freight & Logistics

       1,500          1,157  

Sinotrans Ltd., Class H

  

Air Freight & Logistics

       10,000          4,867  

Sun Art Retail Group Ltd.

  

Consumer Staples Distribution & Retail

       12,500          2,386  

TBEA Co. Ltd., Class A

  

Electrical Equipment

       2,000          3,800  

Tencent Holdings Ltd.

  

Interactive Media & Services

       6,200          295,730  

Tianqi Lithium Corp., Class A

  

Chemicals

       500          2,048  

Tonghua Dongbao Pharmaceutical Co. Ltd., Class A

  

Pharmaceuticals

       1,000          1,146  

Tongwei Co. Ltd., Class A

  

Semiconductors & Semiconductor Equipment

       2,000          5,235  

a Topsports International Holdings Ltd.

  

Specialty Retail

       10,000          5,315  

Trina Solar Co. Ltd., Class A

  

Semiconductors & Semiconductor Equipment

       790          1,831  

Uni-President China Holdings Ltd.

  

Food Products

       5,000          4,566  

Universal Scientific Industrial Shanghai Co. Ltd., Class A

  

Electronic Equipment, Instruments & Components

       500          1,099  

b Western Superconducting Technologies Co. Ltd.,
 Class A

  

Metals & Mining

       287          1,506  

Wuchan Zhongda Group Co. Ltd., Class A

  

Distributors

       2,500          1,486  

b Wuliangye Yibin Co. Ltd., Class A

  

Beverages

       200          3,508  

Xiamen C & D, Inc., Class A

  

Trading Companies & Distributors

       1,000          1,223  

Xinjiang Daqo New Energy Co. Ltd., Class A

  

Semiconductors & Semiconductor Equipment

       780          2,178  

Xinyi Solar Holdings Ltd.

  

Semiconductors & Semiconductor Equipment

       31,000          15,604  

a Yadea Group Holdings Ltd.

  

Automobiles

       6,000          7,585  

Yankuang Energy Group Co. Ltd., Class A

  

Oil, Gas & Consumable Fuels

       1,500          4,670  

Yankuang Energy Group Co. Ltd., Class H

  

Oil, Gas & Consumable Fuels

       15,600          22,299  

Youngor Fashion Co. Ltd., Class A

  

Real Estate Management & Development

       2,000          1,950  

Yuexiu Property Co. Ltd.

  

Real Estate Management & Development

       5,000          3,266  

Yunnan Baiyao Group Co. Ltd., Class A

  

Pharmaceuticals

       500          3,503  

Yunnan Yuntianhua Co. Ltd., Class A

  

Chemicals

       500          1,330  

Yutong Bus Co. Ltd., Class A

  

Machinery

       1,000          3,534  

Zangge Mining Co. Ltd., Class A

  

Chemicals

       500          1,648  

Zhejiang Dahua Technology Co. Ltd., Class A

  

Electronic Equipment, Instruments & Components

       1,500          3,176  

Zhejiang Weixing New Building Materials Co. Ltd., Class A

  

Building Products

       500          1,056  

Zhongsheng Group Holdings Ltd.

  

Specialty Retail

       4,000          5,851  

Zhuzhou Kibing Group Co. Ltd., Class A

  

Building Products

       1,000          883  

Zoomlion Heavy Industry Science & Technology Co. Ltd., Class A

  

Machinery

       3,000          3,156  

Zoomlion Heavy Industry Science & Technology Co. Ltd., Class H

  

Machinery

       8,000          5,175  

ZTO Express Cayman, Inc.

  

Air Freight & Logistics

       2,000          42,063  
            

 

 

 
                 3,250,034  
            

 

 

 

Colombia 0.3%

            

Bancolombia SA

  

Banks

       1,495          12,734  

Ecopetrol SA

  

Oil, Gas & Consumable Fuels

       25,185          14,099  

Grupo de Inversiones Suramericana SA

  

Financial Services

       295          2,449  

Grupo Energia Bogota SA ESP

  

Gas Utilities

       14,565          8,787  
            

 

 

 
               38,069  
            

 

 

 

Czech Republic 0.3%

            

CEZ AS

  

Electric Utilities

       860          32,385  

Komercni Banka AS

  

Banks

       345          11,552  
            

 

 

 
               43,937  
            

 

 

 

Greece 0.4%

            

Hellenic Telecommunications Organization SA

  

Diversified Telecommunication Services

       1,025          14,765  

Helleniq Energy Holdings SA

  

Oil, Gas & Consumable Fuels

       485          4,054  

Jumbo SA

  

Specialty Retail

       570          16,421  

Motor Oil Hellas Corinth Refineries SA

  

Oil, Gas & Consumable Fuels

       315          7,913  

OPAP SA

  

Hotels, Restaurants & Leisure

       950          14,906  
            

 

 

 
               58,059  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Hong Kong 1.7%

            

Beijing Enterprises Water Group Ltd., Class A

  

Water Utilities

       20,000          6,148  

Bosideng International Holdings Ltd., Class A

  

Textiles, Apparel & Luxury Goods

       20,000          12,475  

China Everbright Environment Group Ltd., Class B

  

Commercial Services & Supplies

       20,000          10,042  

China Gas Holdings Ltd., Class A

  

Gas Utilities

       14,000          12,552  

China Mengniu Dairy Co. Ltd., Class B

  

Food Products

       15,000          26,898  

China Power International Development Ltd., Class H

  

Independent Power Producers & Energy Traders

       25,000          12,968  

China Resources Gas Group Ltd., Class A

  

Gas Utilities

       4,500          15,764  

China Resources Land Ltd., Class H

  

Real Estate Management & Development

       15,000          51,009  

Far East Horizon Ltd.

  

Financial Services

       10,000          6,507  

Geely Automobile Holdings Ltd.

  

Automobiles

       18,000          20,265  

Guangdong Investment Ltd.

  

Water Utilities

       15,000          8,780  

Kingboard Laminates Holdings Ltd.

  

Electronic Equipment, Instruments & Components

       5,000          5,380  

Orient Overseas International Ltd.

  

Marine Transportation

       750          12,171  

Sino Biopharmaceutical Ltd.

  

Pharmaceuticals

       55,000          18,809  

Xinyi Glass Holdings Ltd.

  

Building Products

       10,000          10,964  
            

 

 

 
                  230,732  
            

 

 

 

Hungary 0.3%

            

MOL Hungarian Oil & Gas PLC

  

Oil, Gas & Consumable Fuels

       1,900          14,839  

Richter Gedeon Nyrt

  

Pharmaceuticals

       750          19,499  
            

 

 

 
               34,338  
            

 

 

 

India 16.1%

            

b Adani Green Energy Ltd.

  

Independent Power Producers & Energy Traders

       520          11,155  

Ashok Leyland Ltd.

  

Machinery

       7,090          20,567  

Asian Paints Ltd.

  

Chemicals

       615          21,514  

Bajaj Auto Ltd.

  

Automobiles

       315          35,893  

Bank of Baroda

  

Banks

       5,215          17,223  

Bank of India

  

Banks

       2,380          3,439  

b Bharat Petroleum Corp. Ltd.

  

Oil, Gas & Consumable Fuels

       5,135          18,717  

Bharat Petroleum Corp. Ltd.

  

Oil, Gas & Consumable Fuels

       5,135          18,717  

Bosch Ltd.

  

Automobile Components

       45          18,394  

Canara Bank

  

Banks

       9,215          13,202  

Coal India Ltd.

  

Oil, Gas & Consumable Fuels

       12,245          69,479  

Colgate-Palmolive India Ltd.

  

Personal Care Products

       625          21,310  

Eicher Motors Ltd.

  

Automobiles

       40          2,242  

Embassy Office Parks REIT

  

Office REITs

       3,080          13,124  

GAIL India Ltd.

  

Gas Utilities

       14,350          37,782  

Godrej Consumer Products Ltd.

  

Personal Care Products

       890          14,684  

HCL Technologies Ltd.

  

IT Services

       5,140          89,970  

a HDFC Asset Management Co. Ltd.

  

Capital Markets

       90          4,310  

HDFC Bank Ltd.

  

Banks

       8,370          169,011  

Hero MotoCorp Ltd.

  

Automobiles

       610          40,816  

Hindustan Petroleum Corp. Ltd.

  

Oil, Gas & Consumable Fuels

       3,420          13,620  

b Hindustan Petroleum Corp. Ltd.

  

Oil, Gas & Consumable Fuels

       1,710          6,810  

Hindustan Unilever Ltd.

  

Personal Care Products

       3,365          99,797  

Indian Oil Corp. Ltd.

  

Oil, Gas & Consumable Fuels

       19,505          38,742  

a Indian Railway Finance Corp. Ltd.

  

Financial Services

       6,400          13,340  

Info Edge India Ltd.

  

Interactive Media & Services

       385          31,330  

Infosys Ltd.

  

IT Services

       10,370          194,840  

ITC Ltd.

  

Tobacco

       15,405          78,496  

a LTIMindtree Ltd.

  

IT Services

       465          30,029  

Mahindra & Mahindra Ltd.

  

Automobiles

       80          2,750  

Marico Ltd.

  

Food Products

       3,100          22,789  

Mphasis Ltd.

  

IT Services

       420          12,373  

Muthoot Finance Ltd.

  

Consumer Finance

       220          4,738  

Nestle India Ltd.

  

Food Products

       285          8,721  

NHPC Ltd.

  

Independent Power Producers & Energy Traders

       15,925          19,231  

NMDC Ltd.

  

Metals & Mining

       6,035          17,807  

NTPC Ltd.

  

Independent Power Producers & Energy Traders

       22,300          101,181  

Oil & Natural Gas Corp. Ltd.

  

Oil, Gas & Consumable Fuels

       21,160          69,580  

Oil India Ltd.

  

Oil, Gas & Consumable Fuels

       2,130          18,469  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Oracle Financial Services Software Ltd.

   Software        110          13,036  

Patanjali Foods Ltd.

   Food Products        270          5,153  

b PB Fintech Ltd.

  

Insurance

       1,410          23,626  

Persistent Systems Ltd.

   IT Services        430          21,872  

Petronet LNG Ltd.

   Oil, Gas & Consumable Fuels        2,960          11,723  

Power Finance Corp. Ltd.

   Financial Services        6,985          40,635  

Power Grid Corp. of India Ltd.

   Electric Utilities        23,165          91,938  

REC Ltd.

   Financial Services        6,375          40,167  

Reliance Industries Ltd.

   Oil, Gas & Consumable Fuels        590          22,152  

Shree Cement Ltd.

   Construction Materials        5          1,671  

Shriram Finance Ltd.

   Consumer Finance        1,280          44,692  

State Bank of India

   Banks        4,905          49,937  

b Tata Communications Ltd.

  

Diversified Telecommunication Services

       580          12,899  

Tata Consultancy Services Ltd.

   IT Services        2,565          120,092  

Tata Consumer Products Ltd.

   Food Products        710          9,344  

Tata Steel Ltd.

   Metals & Mining        16,385          34,192  

Tech Mahindra Ltd.

   IT Services        3,340          57,291  

Union Bank of India Ltd.

   Banks        8,745          14,335  

Vedanta Ltd.

   Metals & Mining        7,135          38,846  

b Zomato Ltd.

  

Hotels, Restaurants & Leisure

       28,205          67,837  
            

 

 

 
               2,147,630  
            

 

 

 

Indonesia 2.3%

            

Adaro Energy Indonesia Tbk. PT, Class B

   Oil, Gas & Consumable Fuels        72,000          12,268  

Aneka Tambang Tbk. PT

   Metals & Mining        51,500          3,931  

Astra International Tbk. PT, Class H

   Industrial Conglomerates        94,000          25,602  

Bank Mandiri Persero Tbk. PT, Class A

   Banks        185,500          69,669  

Bank Negara Indonesia Persero Tbk. PT, Class H

   Banks        76,500          21,770  

Bank Rakyat Indonesia Persero Tbk. PT, Class A

   Banks        338,500          95,090  

Bukit Asam Tbk. PT, Class A

   Oil, Gas & Consumable Fuels        19,500          2,918  

Gudang Garam Tbk. PT

   Tobacco        2,500          2,763  

Indofood Sukses Makmur Tbk. PT

   Food Products        23,000          8,533  

Telkom Indonesia Persero Tbk. PT, Class B

   Diversified Telecommunication Services        250,000          47,786  

Tower Bersama Infrastructure Tbk. PT

   Diversified Telecommunication Services        16,500          1,910  

Unilever Indonesia Tbk. PT

   Household Products        33,000          6,086  

United Tractors Tbk. PT

   Oil, Gas & Consumable Fuels        7,000          9,394  
            

 

 

 
               307,720  
            

 

 

 

Kuwait 0.6%

            

Gulf Bank KSCP

   Banks        11,240          10,443  

Mobile Telecommunications Co. KSCP

   Wireless Telecommunication Services        10,800          15,668  

National Bank of Kuwait SAKP

   Banks        18,510          52,015  
            

 

 

 
               78,126  
            

 

 

 

Malaysia 2.4%

            

AMMB Holdings Bhd.

   Banks        12,000          10,912  

Axiata Group Bhd., Class A

   Wireless Telecommunication Services        13,500          7,469  

CIMB Group Holdings Bhd., Class A

   Banks        43,000          61,982  

Genting Malaysia Bhd.

   Hotels, Restaurants & Leisure        16,000          8,649  

HAP Seng Consolidated Bhd.

   Industrial Conglomerates        2,000          1,853  

KLCCP Stapled Group

   Diversified REITs        3,500          5,490  

Malayan Banking Bhd.

   Banks        34,000          71,784  

Maxis Bhd.

   Wireless Telecommunication Services        15,000          11,224  

MISC Bhd.

   Marine Transportation        11,000          19,866  

Petronas Dagangan Bhd.

   Oil, Gas & Consumable Fuels        2,000          7,394  

Petronas Gas Bhd.

   Gas Utilities        4,000          15,110  

Public Bank Bhd.

   Banks        55,500          47,294  

RHB Bank Bhd.

   Banks        20,000          23,360  

Sime Darby Bhd.

   Industrial Conglomerates        14,500          8,053  

Tenaga Nasional Bhd.

   Electric Utilities        6,000          17,526  

Westports Holdings Bhd.

   Transportation Infrastructure        5,000          4,420  
            

 

 

 
               322,386  
            

 

 

 

Mexico 2.5%

            

Coca-Cola Femsa SAB de CV

   Beverages        2,970          25,479  

Fibra Uno Administracion SA de CV

   Diversified REITs        15,970          19,633  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Fomento Economico Mexicano SAB de CV

   Beverages        9,835          105,867  

a GMexico Transportes SAB de CV, Class C

  

Ground Transportation

       3,355          6,726  

Grupo Aeroportuario del Pacifico SAB de CV, Class B

   Transportation Infrastructure        2,290          35,840  

Grupo Financiero Banorte SAB de CV, Class O

   Banks        15,205          118,543  

Kimberly-Clark de Mexico SAB de CV, Class A

   Household Products        9,150          15,838  

Orbia Advance Corp. SAB de CV

   Chemicals        5,375          7,505  
            

 

 

 
               335,431  
            

 

 

 

Peru 0.4%

            

Credicorp Ltd.

   Banks        355          57,272  
            

 

 

 

Philippines 0.2%

            

Aboitiz Power Corp., Class A

   Independent Power Producers & Energy Traders        7,500          4,338  

Manila Electric Co.

   Electric Utilities        1,550          9,680  

PLDT, Inc.

   Wireless Telecommunication Services        475          11,646  
            

 

 

 
               25,664  
            

 

 

 

Russia 0.0%

            

c Alrosa PJSC

  

Metals & Mining

       54,971           

b,c Gazprom PJSC

  

Oil, Gas & Consumable Fuels

       44,709           

c GMK Norilskiy Nickel PAO

  

Metals & Mining

       69,300           

c Inter RAO UES PJSC

  

Electric Utilities

       811,741           

c LUKOIL PJSC

  

Oil, Gas & Consumable Fuels

       2,268           

c Moscow Exchange MICEX-Rates PJSC

  

Capital Markets

       21,224           

c Novolipetsk Steel PJSC

  

Metals & Mining

       35,119           

c PhosAgro PJSC

  

Chemicals

       1,073           

b,c PhosAgro PJSC

  

Chemicals

       21           

b,c,d PhosAgro PJSC, GDR

  

Chemicals

       1           

b,c Polyus PJSC

  

Metals & Mining

       756           

c Rosneft Oil Co. PJSC

  

Oil, Gas & Consumable Fuels

       20,055           

c Severstal PAO

  

Metals & Mining

       6,090           

c Surgutneftegas PJSC

  

Oil, Gas & Consumable Fuels

       132,846           

c Tatneft PJSC

  

Oil, Gas & Consumable Fuels

       29,792           

b,c United Co. RUSAL International PJSC

  

Metals & Mining

       24,749           
            

 

 

 
                
            

 

 

 

Saudi Arabia 4.7%

            

Banque Saudi Fransi

   Banks        2,835          26,827  

Jarir Marketing Co.

   Specialty Retail        3,120          10,545  

Riyad Bank

   Banks        7,610          52,842  

SABIC Agri-Nutrients Co.

   Chemicals        1,185          35,630  

Sahara International Petrochemical Co.

   Chemicals        1,840          14,321  

a Saudi Arabian Oil Co.

  

Oil, Gas & Consumable Fuels

       13,375          98,755  

Saudi Aramco Base Oil Co.

   Chemicals        250          8,756  

Saudi Awwal Bank

   Banks        5,160          53,160  

Saudi Basic Industries Corp.

   Chemicals        4,365          85,517  

Saudi Electricity Co.

   Electric Utilities        725          3,181  

Saudi Industrial Investment Group

   Chemicals        1,885          10,582  

Saudi Investment Bank

   Banks        3,040          10,404  

Saudi National Bank

   Banks        11,855          115,971  

Saudi Telecom Co.

   Diversified Telecommunication Services        9,105          91,011  

Yanbu National Petrochemical Co.

   Chemicals        1,260          12,309  
            

 

 

 
               629,811  
            

 

 

 

South Africa 3.3%

            

Absa Group Ltd.

   Banks        4,190          36,358  

African Rainbow Minerals Ltd.

   Metals & Mining        575          7,148  

Exxaro Resources Ltd.

   Oil, Gas & Consumable Fuels        1,335          13,014  

FirstRand Ltd.

   Financial Services        28,765          121,141  

Kumba Iron Ore Ltd.

   Metals & Mining        310          7,464  

Mr Price Group Ltd.

   Specialty Retail        1,260          14,209  

Nedbank Group Ltd.

   Banks        2,455          34,473  

Northam Platinum Holdings Ltd.

   Metals & Mining        2,220          15,477  

Old Mutual Ltd.

   Insurance        22,920          15,552  

Sanlam Ltd.

   Insurance        9,060          40,150  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Sasol Ltd.

   Chemicals        3,160          23,899  

Standard Bank Group Ltd.

   Banks        6,770          78,159  

Vodacom Group Ltd.

   Wireless Telecommunication Services        2,940          15,700  

Woolworths Holdings Ltd.

   Broadline Retail        4,990          16,883  
            

 

 

 
               439,627  
            

 

 

 

South Korea 6.7%

            

DB Insurance Co. Ltd., Class A

   Insurance        225          18,716  

GS Holdings Corp.

   Industrial Conglomerates        390          13,288  

Hana Financial Group, Inc.

   Banks        1,540          67,910  

Hanon Systems

   Automobile Components        1,000          3,436  

HD Hyundai Co. Ltd.

   Oil, Gas & Consumable Fuels        220          11,907  

HMM Co. Ltd.

   Marine Transportation        1,205          17,184  

Hyundai Motor Co.

   Automobiles        490          105,013  

Industrial Bank of Korea

   Banks        1,340          13,648  

Kangwon Land, Inc.

   Hotels, Restaurants & Leisure        635          6,403  

KB Financial Group, Inc.

   Banks        650          37,069  

Kia Corp.

   Automobiles        990          92,995  

KT&G Corp.

   Tobacco        580          37,164  

LG Corp.

   Industrial Conglomerates        35          2,049  

LG Uplus Corp.

   Diversified Telecommunication Services        1,085          7,741  

NH Investment & Securities Co. Ltd., Class C

   Capital Markets        755          6,960  

Samsung Card Co. Ltd.

   Consumer Finance        125          3,478  

Samsung Electronics Co. Ltd.

   Technology Hardware, Storage & Peripherals        5,659          335,059  

Samsung Fire & Marine Insurance Co. Ltd.

   Insurance        90          25,434  

Samsung Life Insurance Co. Ltd.

   Insurance        85          5,465  

Samsung Securities Co. Ltd.

   Capital Markets        325          9,397  

Shinhan Financial Group Co. Ltd.

   Banks        465          16,266  

SK Hynix, Inc.

   Semiconductors & Semiconductor Equipment        10          1,718  

SK Telecom Co. Ltd.

   Wireless Telecommunication Services        540          20,203  

Woori Financial Group, Inc.

   Banks        3,295          35,164  
            

 

 

 
               893,667  
            

 

 

 

Taiwan 21.7%

            

ASE Technology Holding Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        17,000          88,297  

Asia Cement Corp.

   Construction Materials        15,000          20,275  

Asustek Computer, Inc.

   Technology Hardware, Storage & Peripherals        400          6,140  

AUO Corp., Class H

   Electronic Equipment, Instruments & Components        35,200          19,314  

Catcher Technology Co. Ltd.

   Technology Hardware, Storage & Peripherals        3,770          26,960  

Chailease Holding Co. Ltd., Class A

   Financial Services        8,450          39,982  

Chicony Electronics Co. Ltd.

   Technology Hardware, Storage & Peripherals        3,340          17,605  

b Chunghwa Telecom Co. Ltd.

  

Diversified Telecommunication Services

       20,000          77,370  

Compal Electronics, Inc., Class H

   Technology Hardware, Storage & Peripherals        10,000          10,696  

Delta Electronics, Inc., Class A

   Electronic Equipment, Instruments & Components        8,000          95,557  

Elite Material Co. Ltd.

   Electronic Equipment, Instruments & Components        340          4,978  

Evergreen Marine Corp. Taiwan Ltd.

   Marine Transportation        5,500          32,720  

Far Eastern New Century Corp.

   Industrial Conglomerates        18,000          19,558  

Far EasTone Telecommunications Co. Ltd.

   Wireless Telecommunication Services        10,000          25,924  

Feng TAY Enterprise Co. Ltd.

   Textiles, Apparel & Luxury Goods        3,000          14,333  

b Formosa Plastics Corp.

  

Chemicals

       25,000          44,310  

Giant Manufacturing Co. Ltd.

   Leisure Products        2,000          13,070  

Globalwafers Co. Ltd.

   Semiconductors & Semiconductor Equipment        1,200          19,937  

Hon Hai Precision Industry Co. Ltd.

   Electronic Equipment, Instruments & Components        19,000          125,333  

Inventec Corp.

   Technology Hardware, Storage & Peripherals        4,000          6,880  

Lite-On Technology Corp.

   Technology Hardware, Storage & Peripherals        11,700          38,229  

MediaTek, Inc.

   Semiconductors & Semiconductor Equipment        4,300          185,565  

Micro-Star International Co. Ltd.

   Technology Hardware, Storage & Peripherals        4,400          24,142  

momo.com, Inc.

   Broadline Retail        460          6,090  

b Nan Ya Plastics Corp.

  

Chemicals

       30,040          45,651  

b Nan Ya Printed Circuit Board Corp.

  

Electronic Equipment, Instruments & Components

       1,000          5,733  

Nien Made Enterprise Co. Ltd.

   Household Durables        950          11,421  

Novatek Microelectronics Corp.

   Semiconductors & Semiconductor Equipment        3,100          57,907  

Pegatron Corp.

   Technology Hardware, Storage & Peripherals        10,000          32,212  

Powertech Technology, Inc.

   Semiconductors & Semiconductor Equipment        3,500          20,283  

Quanta Computer, Inc.

   Technology Hardware, Storage & Peripherals        9,000          86,556  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Radiant Opto-Electronics Corp.

   Semiconductors & Semiconductor Equipment        2,000          11,683  

Realtek Semiconductor Corp.

   Semiconductors & Semiconductor Equipment        2,560          43,086  

Shanghai Commercial & Savings Bank Ltd.

   Banks        12,000          17,034  

Simplo Technology Co. Ltd.

   Electronic Equipment, Instruments & Components        1,000          13,178  

Sino-American Silicon Products, Inc.

   Semiconductors & Semiconductor Equipment        3,340          22,393  

Synnex Technology International Corp.

   Electronic Equipment, Instruments & Components        7,500          16,900  

Taiwan Mobile Co. Ltd.

   Wireless Telecommunication Services        8,000          26,386  

Taiwan Semiconductor Manufacturing Co. Ltd.

   Semiconductors & Semiconductor Equipment        37,000          1,101,737  

Tripod Technology Corp.

   Electronic Equipment, Instruments & Components        2,200          14,817  

Unimicron Technology Corp.

   Electronic Equipment, Instruments & Components        7,000          38,839  

Uni-President Enterprises Corp.

   Food Products        25,000          62,651  

b United Microelectronics Corp.

   Semiconductors & Semiconductor Equipment        60,000          103,016  

Vanguard International Semiconductor Corp.

   Semiconductors & Semiconductor Equipment        5,000          19,959  

Voltronic Power Technology Corp.

   Electrical Equipment        350          20,768  

Walsin Lihwa Corp.

   Electrical Equipment        15,000          16,414  

Wan Hai Lines Ltd.

   Marine Transportation        7,200          19,664  

Winbond Electronics Corp.

   Semiconductors & Semiconductor Equipment        15,000          11,883  

Wistron Corp.

   Technology Hardware, Storage & Peripherals        5,000          16,337  

Wiwynn Corp.

   Technology Hardware, Storage & Peripherals        300          24,459  

WPG Holdings Ltd.

   Electronic Equipment, Instruments & Components        9,000          24,913  

WT Microelectronics Co. Ltd.

   Electronic Equipment, Instruments & Components        4,000          15,289  

Yang Ming Marine Transport Corp.

   Marine Transportation        9,000          20,696  

Zhen Ding Technology Holding Ltd.

   Electronic Equipment, Instruments & Components        3,000          11,975  
            

 

 

 
                2,897,105  
            

 

 

 

Thailand 1.4%

            

Advanced Info Service PCL, NVDR

   Wireless Telecommunication Services        5,500          31,324  

Bangkok Bank PCL, Class A, NVDR

   Banks        3,000          10,668  

Home Product Center PCL, NVDR

   Specialty Retail        23,000          5,797  

Intouch Holdings PCL, NVDR

   Wireless Telecommunication Services        4,500          8,768  

Kasikornbank PCL, NVDR

   Banks        6,500          22,229  

Krung Thai Bank PCL, NVDR

   Banks        17,000          7,921  

Land & Houses PCL, NVDR

   Real Estate Management & Development        23,000          3,698  

PTT Exploration & Production PCL, NVDR

   Oil, Gas & Consumable Fuels        7,500          31,065  

PTT PCL, NVDR

   Oil, Gas & Consumable Fuels        45,500          40,296  

Thai Oil PCL, NVDR

   Oil, Gas & Consumable Fuels        5,000          7,221  

Tisco Financial Group PCL, NVDR

   Banks        2,000          5,205  

TMBThanachart Bank PCL, NVDR

   Banks        206,500          9,622  
            

 

 

 
               183,814  
            

 

 

 

Turkey 0.6%

            

Akbank TAS

   Banks        2,020          3,946  

Enka Insaat ve Sanayi AS

   Construction & Engineering        4,100          5,148  

Ford Otomotiv Sanayi AS

   Automobiles        425          14,571  

KOC Holding AS

   Industrial Conglomerates        455          3,148  

Tofas Turk Otomobil Fabrikasi AS

   Automobiles        710          7,363  

Turkiye Petrol Rafinerileri AS

   Oil, Gas & Consumable Fuels        5,235          26,428  

Yapi ve Kredi Bankasi AS

   Banks        16,735          17,254  
            

 

 

 
               77,858  
            

 

 

 

United Arab Emirates 3.3%

            

Abu Dhabi Commercial Bank PJSC

   Banks        15,345          33,506  

Abu Dhabi Islamic Bank PJSC

   Banks        7,860          24,780  

Abu Dhabi National Oil Co. for Distribution PJSC

   Specialty Retail        14,420          13,309  

ADNOC Drilling Co. PJSC

   Energy Equipment & Services        9,045          10,097  

Dubai Electricity & Water Authority PJSC

   Multi-Utilities        47,370          28,373  

Dubai Islamic Bank PJSC

   Banks        14,975          23,402  

Emaar Development PJSC

   Real Estate Management & Development        4,390          9,562  

Emaar Properties PJSC

   Real Estate Management & Development        32,125          71,719  

Emirates NBD Bank PJSC

   Banks        12,195          54,783  

Emirates Telecommunications Group Co. PJSC

   Diversified Telecommunication Services        18,195          79,755  

Fertiglobe PLC

   Chemicals        5,855          3,842  

First Abu Dhabi Bank PJSC

   Banks        22,925          77,769  

Salik Co. PJSC

   Transportation Infrastructure        9,630          8,809  
            

 

 

 
               439,706  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

United States 0.1%

            

b JBS SA

   Food Products        3,500          20,334  
            

 

 

 

Total Common Stocks (Cost $12,702,323)

               13,037,044  
            

 

 

 

Preferred Stocks 2.2%

            

Brazil 1.4%

            

e Cia Energetica de Minas Gerais, 9.565%, pfd.

   Electric Utilities        10,000          17,805  

e Cia Paranaense de Energia - Copel, Class B, Class B, 3.548%, pfd.

   Electric Utilities        3,500          5,860  

e Gerdau SA, 6.055%, pfd.

   Metals & Mining        7,470          24,719  

e Itausa SA, 7.78%, pfd.

   Banks        29,500          52,155  

e Petroleo Brasileiro SA, 13.798%, pfd.

   Oil, Gas & Consumable Fuels        13,500          92,480  
            

 

 

 

Chile 0.1%

               193,019  
            

 

 

 

e Sociedad Quimica y Minera de Chile SA, Class B, 0.002%, pfd.

   Electrical Equipment        200          8,057  
            

 

 

 

Colombia 0.2%

            

e Bancolombia SA, 10.376%, pfd.

   Banks        2,415          19,860  

e Grupo Aval Acciones y Valores SA, 8.499%, pfd.

   Banks        19,195          2,006  

e Grupo de Inversiones Suramericana SA, 5.364%, pfd.

   Financial Services        575          3,388  
            

 

 

 
               25,254  
            

 

 

 

Russia 0.0%

            

c Surgutneftegas PJSC, pfd.

   Oil, Gas & Consumable Fuels        162,582           
            

 

 

 

South Korea 0.5%

            

e Hyundai Motor Co., 7.642%, pfd.

   Automobiles        120          15,971  

e Hyundai Motor Co., 7.664%, pfd.

   Automobiles        75          9,905  

e Hyundai Motor Co., 11.49%, pfd.

   Automobiles        10          1,321  

e Samsung Electronics Co. Ltd., 1.704%, pfd.

   Technology Hardware, Storage & Peripherals        925          42,739  

e Samsung Fire & Marine Insurance Co. Ltd., 5.747%, pfd.

   Insurance        5          1,012  
            

 

 

 
               70,948  
            

 

 

 

Total Preferred Stocks (Cost $355,603)

               297,278  
            

 

 

 

Right 0.0%

            

Brazil 0.0%

            

b Localiza Rent a Car SA

   Ground Transportation        25          41  
            

 

 

 

Total Rights (Cost $0)

            41  
            

 

 

 

Total Investments (Cost $13,057,926) 99.7%

            13,334,363  

Other Assets, less Liabilities 0.3%

            35,322  
            

 

 

 

Net Assets 100.0%

          $ 13,369,685  
            

 

 

 

Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $335,496, representing 2.5% of net assets.

bNon-income producing.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

dSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. At June 30, 2024, the value of was $0, representing 0.0% of net assets.

eVariable rate security. The rate shown represents the yield at period end.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

Equity Contracts

              

MSCI Emerging Markets Index

     Long        1        $54,410        9/20/24        $(77)  

*As of period end.

Abbreviations

Selected Portfolio

 

GDR      Global Depositary Receipt
NVDR       Non-Voting Depositary Receipt
REIT      Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Exponential Data ETF    Country      Shares        Value  

Common Stocks 99.1%

          

Capital Markets 5.4%

          

FactSet Research Systems, Inc.

     United States        190        $ 77,571  

Moody’s Corp.

     United States        82          34,516  

MSCI, Inc.

     United States        186          89,606  

S&P Global, Inc.

     United States        245          109,270  
          

 

 

 
             310,963  
          

 

 

 

Communications Equipment 4.6%

          

a Arista Networks, Inc.

     United States        741          259,706  
          

 

 

 

Electrical Equipment 0.4%

          

Vertiv Holdings Co., Class A

     United States        288          24,932  
          

 

 

 

Electronic Equipment, Instruments & Components 0.8%

          

a Keysight Technologies, Inc.

     United States        346          47,315  
          

 

 

 

Entertainment 0.5%

          

a Netflix, Inc.

     United States        42          28,345  
          

 

 

 

Health Care Equipment & Supplies 1.2%

          

a Dexcom, Inc.

     United States        616          69,842  
          

 

 

 

Interactive Media & Services 9.9%

          

Alphabet, Inc., Class A

     United States        1,686          307,105  

Meta Platforms, Inc., Class A

     United States        497          250,597  

a ZoomInfo Technologies, Inc., Class A

     United States        602          7,688  
          

 

 

 
             565,390  
          

 

 

 

IT Services 13.1%

          

Accenture PLC, Class A

     United States        279          84,652  

a Akamai Technologies, Inc.

     United States        272          24,502  

a Cloudflare, Inc., Class A

     United States        1,488          123,251  

a Gartner, Inc.

     United States        282          126,635  

a Globant SA

     United States        97          17,291  

a MongoDB, Inc.

     United States        869          217,215  

a Snowflake, Inc., Class A

     United States        1,146          154,813  
          

 

 

 
             748,359  
          

 

 

 

Media 2.1%

          

a Trade Desk, Inc., Class A

     United States        1,200          117,204  
          

 

 

 

Professional Services 0.7%

          

TransUnion

     United States        183          13,571  

Verisk Analytics, Inc.

     United States        104          28,033  
          

 

 

 
             41,604  
          

 

 

 

Software 51.6%

          

a Adobe, Inc.

     United States        41          22,777  

a Confluent, Inc., Class A

     United States        1,831          54,069  

a Crowdstrike Holdings, Inc., Class A

     United States        981          375,909  

a Datadog, Inc., Class A

     United States        2,331          302,307  

a Fair Isaac Corp.

     United States        182          270,936  

a Fortinet, Inc.

     United States        1,428          86,066  

a Gitlab, Inc., Class A

     United States        790          39,279  

a HubSpot, Inc.

     United States        167          98,495  

Microsoft Corp.

     United States        1,187          530,530  

a Monday.com Ltd.

     United States        631          151,920  

a Palo Alto Networks, Inc.

     United States        966          327,484  

a Qualys, Inc.

     United States        142          20,249  

Salesforce, Inc.

     United States        376          96,670  

a SentinelOne, Inc., Class A

     United States        3,211          67,592  

a ServiceNow, Inc.

     United States        397          312,308  

a Sprinklr, Inc., Class A

     United States        928          8,927  

a Sprout Social, Inc., Class A

     United States        195          6,958  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Trend Micro, Inc.

     Japan        1,809          73,446  

a Zscaler, Inc.

     United States        502          96,479  
          

 

 

 
          

 

 

 

 

2,942,401

 

 

 

 

          

 

 

 

Specialized REITs 5.8%

          

Crown Castle, Inc.

     United States        670          65,459  

Equinix, Inc.

     United States        272          205,795  

SBA Communications Corp.

     United States        293          57,516  
          

 

 

 
          

 

 

 

 

328,770

 

 

 

 

          

 

 

 

Wireless Telecommunication Services 3.0%

          

T-Mobile U.S., Inc.

     United States        962          169,485  
          

 

 

 

Total Common Stocks (Cost $4,935,337)

             5,654,316  
          

 

 

 

Total Investments before Short-Term Investments
(Cost $4,935,337)

             5,654,316  
          

 

 

 

Short-Term Investments 1.0%

          

Money Market Funds 1.0%

          

b,c Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

     United States        56,265          56,265  
          

 

 

 

Total Short-Term Investments (Cost $56,265)

             56,265  
          

 

 

 

Total Investments (Cost $4,991,602) 100.1%

             5,710,581  

Other Assets, less Liabilities (0.1)%

             (8,066
          

 

 

 

Net Assets 100.0%

           $ 5,702,515  
          

 

 

 

aNon-income producing.

bThe rate shown is the annualized seven-day effective yield at period end.

cSee Note 3 regarding investments in affiliated management investment companies.

Abbreviations

Selected Portfolio

 

REIT 

          Real Estate Investment Trust

SBA

          Small Business Administration


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Focused Growth ETF    Country        Shares      Value  

Common Stocks 98.0%

          

Aerospace & Defense 1.0%

          

a Axon Enterprise, Inc.

     United States          2,700      $ 794,448  
          

 

 

 

Automobiles 2.4%

          

a Tesla, Inc.

     United States          10,125        2,003,535  
          

 

 

 

Broadline Retail 10.3%

          

a Amazon.com, Inc.

     United States          39,260        7,586,995  

a MercadoLibre, Inc.

     Brazil          572        940,025  
          

 

 

 
             8,527,020  
          

 

 

 

Capital Markets 1.0%

          

Tradeweb Markets, Inc., Class A

     United States          8,078        856,268  
          

 

 

 

Consumer Staples Distribution & Retail 4.9%

          

Costco Wholesale Corp.

     United States          4,750        4,037,452  
          

 

 

 

Energy Equipment & Services 0.4%

          

Schlumberger NV

     United States          7,176        338,564  
          

 

 

 

Financial Services 3.7%

          

Mastercard, Inc., Class A

     United States          6,860        3,026,357  
          

 

 

 

Ground Transportation 1.3%

          

a Uber Technologies, Inc.

     United States          14,460        1,050,953  
          

 

 

 

Health Care Equipment & Supplies 3.8%

          

a IDEXX Laboratories, Inc.

     United States          2,024        986,093  

a Intuitive Surgical, Inc.

     United States          4,845        2,155,298  
          

 

 

 
             3,141,391  
          

 

 

 

Interactive Media & Services 11.3%

          

Alphabet, Inc., Class A

     United States          21,375        3,893,456  

Meta Platforms, Inc., Class A

     United States          10,762        5,426,416  
          

 

 

 
             9,319,872  
          

 

 

 

IT Services 1.3%

          

a Shopify, Inc., Class A

     Canada          16,875        1,114,594  
          

 

 

 

Life Sciences Tools & Services 2.8%

          

Danaher Corp.

     United States          6,185        1,545,322  

Thermo Fisher Scientific, Inc.

     United States          1,350        746,550  
          

 

 

 
             2,291,872  
          

 

 

 

Metals & Mining 0.7%

          

Freeport-McMoRan, Inc.

     United States          12,485        606,771  
          

 

 

 

Pharmaceuticals 3.4%

          

Eli Lilly & Co.

     United States          3,150        2,851,947  
          

 

 

 

Semiconductors & Semiconductor Equipment 27.2%

          

a Advanced Micro Devices, Inc.

     United States          6,317        1,024,680  

Analog Devices, Inc.

     United States          7,795        1,779,287  

ASML Holding NV

     Netherlands          3,485        3,564,214  

NVIDIA Corp.

     United States          117,000        14,454,180  

Taiwan Semiconductor Manufacturing Co. Ltd., ADR

     Taiwan          9,481        1,647,893  
          

 

 

 
             22,470,254  
          

 

 

 

Software 22.5%

          

a Cadence Design Systems, Inc.

     United States          10,350        3,185,212  

a HubSpot, Inc.

     United States          1,445        852,247  

Intuit, Inc.

     United States          2,025        1,330,850  

Microsoft Corp.

     United States          22,168        9,907,988  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a ServiceNow, Inc.

   United States      4,160        3,272,547  
        

 

 

 
           18,548,844  
        

 

 

 

Total Common Stocks (Cost $45,225,854)

           80,980,142  
        

 

 

 

Total Investments before Short-Term Investments
(Cost $45,225,854)

           80,980,142  
        

 

 

 

Short-Term Investments 2.0%

        

Money Market Funds 2.0%

        

b,c Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   United States      1,644,192        1,644,192  
        

 

 

 

Total Short-Term Investments (Cost $1,644,192)

           1,644,192  
        

 

 

 

Total Investments (Cost $46,870,046) 100.0%

           82,624,334  

Other Assets, less Liabilities (0.0)%

           (26,266
        

 

 

 

Net Assets 100.0%

         $ 82,598,068  
        

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bThe rate shown is the annualized seven-day effective yield at period end.

cSee Note 3 regarding investments in affiliated management investment companies.

 

Abbreviations  

 

Selected Portfolio  
ADR   –  American Depositary Receipt  


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

 Franklin FTSE Asia ex Japan ETF   Industry   Shares         Value  

Common Stocks 99.8%

        

Cambodia 0.0%

        

a NagaCorp Ltd.

  Hotels, Restaurants & Leisure     6,000        $ 2,943  
        

 

 

 

China 28.2%

        

360 Security Technology, Inc., Class A

  Software     2,400          2,525  

37 Interactive Entertainment Network Technology Group Co. Ltd., Class A

  Entertainment     600          1,072  

a,b 3SBio, Inc., Class A

  Biotechnology     6,000          4,949  

AAC Technologies Holdings, Inc., Class H

  Electronic Equipment, Instruments & Components     2,500          9,830  

Advanced Micro-Fabrication Equipment, Inc.

        

China, Class A

  Semiconductors & Semiconductor Equipment     245          4,740  

AECC Aero-Engine Control Co. Ltd., Class A

  Aerospace & Defense     400          1,100  

AECC Aviation Power Co. Ltd., Class A

  Aerospace & Defense     700          3,504  

Agricultural Bank of China Ltd., Class A

  Banks     22,800          13,616  

Agricultural Bank of China Ltd., Class H

  Banks     120,000          51,336  

Aier Eye Hospital Group Co. Ltd., Class A

  Health Care Providers & Services     2,655          3,753  

a Air China Ltd., Class A

  Passenger Airlines     2,400          2,426  

a Air China Ltd., Class H

  Passenger Airlines     10,000          4,649  

Airtac International Group, Class A

  Machinery     540          16,446  

a,b Akeso, Inc.

  Biotechnology     2,400          11,604  

Alibaba Group Holding Ltd., Class A

  Broadline Retail     64,800          585,137  

Aluminum Corp. of China Ltd., Class A

  Metals & Mining     3,600          3,762  

Aluminum Corp. of China Ltd., Class H

  Metals & Mining     16,000          10,923  

An Hui Wenergy Co. Ltd., Class A

  Independent Power Producers & Energy Traders     600          727  

a Angang Steel Co. Ltd., Class A

  Metals & Mining     1,800          523  

Angel Yeast Co. Ltd., Class A

  Food Products     600          2,295  

b Angelalign Technology, Inc.

  Health Care Equipment & Supplies     200          1,454  

Anhui Anke Biotechnology Group Co. Ltd., Class A

  Biotechnology     600          702  

Anhui Conch Cement Co. Ltd., Class A

  Construction Materials     1,200          3,877  

Anhui Conch Cement Co. Ltd., Class H

  Construction Materials     4,500          10,721  

Anhui Expressway Co. Ltd., Class H

  Transportation Infrastructure     2,000          2,395  

Anhui Gujing Distillery Co. Ltd., Class A

  Beverages     100          2,891  

Anhui Gujing Distillery Co. Ltd., Class B

  Beverages     600          8,928  

a Anhui Jianghuai Automobile Group Corp. Ltd., Class A

  Automobiles     600          1,302  

Anjoy Foods Group Co. Ltd., Class A

  Food Products     100          1,018  

ANTA Sports Products Ltd., Class A

  Textiles, Apparel & Luxury Goods     4,800          46,110  

Autohome, Inc., ADR

  Interactive Media & Services     228          6,259  

AVIC Industry-Finance Holdings Co. Ltd., Class A

  Financial Services     2,400          730  

AviChina Industry & Technology Co. Ltd., Class H

  Aerospace & Defense     6,000          2,697  

Avicopter PLC, Class A

  Aerospace & Defense     200          1,126  

a BAIC BluePark New Energy Technology Co. Ltd., Class A

  Automobiles     1,800          1,992  

b BAIC Motor Corp. Ltd., Class H

  Automobiles     9,000          2,306  

a Baidu, Inc., Class A

  Interactive Media & Services     8,400          91,721  

Bank of Beijing Co. Ltd., Class A

  Banks     6,000          4,799  

Bank of Changsha Co. Ltd., Class A

  Banks     1,200          1,344  

Bank of China Ltd., Class A

  Banks     13,200          8,353  

Bank of China Ltd., Class H

  Banks     318,000          156,813  

Bank of Communications Co. Ltd., Class A

  Banks     11,400          11,664  

Bank of Communications Co. Ltd., Class H

  Banks     30,000          23,555  

Bank of Guiyang Co. Ltd., Class A

  Banks     1,200          866  

Bank of Hangzhou Co. Ltd., Class A

  Banks     1,800          3,217  

Bank of Jiangsu Co. Ltd., Class A

  Banks     4,800          4,885  

Bank of Nanjing Co. Ltd., Class A

  Banks     3,000          4,269  

Bank of Ningbo Co. Ltd., Class A

  Banks     1,800          5,439  

Bank of Shanghai Co. Ltd., Class A

  Banks     4,200          4,176  

Baoshan Iron & Steel Co. Ltd., Class A

  Metals & Mining     5,400          4,919  

BBMG Corp., Class A

  Construction Materials     2,400          450  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

BBMG Corp., Class H

   Construction Materials        12,000          861  

a BeiGene Ltd.

   Biotechnology        2,400          26,498  

Beijing Capital Eco-Environment Protection Group Co. Ltd., Class A

   Water Utilities        2,400          881  

a Beijing Capital International Airport Co. Ltd., Class H

   Transportation Infrastructure        8,000          2,644  

Beijing Dabeinong Technology Group Co. Ltd., Class A

   Food Products        1,800          949  

Beijing Enlight Media Co. Ltd., Class A

   Entertainment        600          691  

Beijing Enterprises Holdings Ltd., Class H

   Gas Utilities        2,000          6,712  

a Beijing Jetsen Technology Co. Ltd., Class A

   Entertainment        600          305  

Beijing Kingsoft Office Software, Inc., Class A

   Software        218          6,793  

Beijing New Building Materials PLC, Class A

   Building Products        600          2,438  

Beijing Originwater Technology Co. Ltd., Class A

   Commercial Services & Supplies        1,200          689  

Beijing Shiji Information Technology Co. Ltd., Class A

   Software        600          471  

a Beijing Shougang Co. Ltd., Class A

   Metals & Mining        2,400          894  

Beijing Sinnet Technology Co. Ltd., Class A

   IT Services        600          694  

Beijing Tiantan Biological Products Corp. Ltd., Class A

   Biotechnology        720          2,406  

Beijing Tongrentang Co. Ltd., Class A

   Pharmaceuticals        600          3,140  

Beijing Ultrapower Software Co. Ltd., Class A

   IT Services        600          667  

Beijing Wantai Biological Pharmacy Enterprise Co. Ltd., Class A

   Biotechnology        203          1,832  

Beijing Yanjing Brewery Co. Ltd., Class A

   Beverages        1,200          1,451  

Beijing-Shanghai High Speed Railway Co. Ltd., Class A

   Ground Transportation        7,800          5,737  

a Bilibili, Inc., Class Z

   Entertainment        1,080          17,554  

Bluefocus Intelligent Communications Group Co. Ltd., Class A

   Media        600          447  

BOC Hong Kong Holdings Ltd.

   Banks        13,500          41,586  

BOE Technology Group Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        11,400          6,386  

BOE Technology Group Co. Ltd., Class B

   Electronic Equipment, Instruments & Components        3,600          1,176  

b Budweiser Brewing Co. APAC Ltd., Class H

   Beverages        6,600          7,777  

BYD Co. Ltd., Class A

   Automobiles        500          17,138  

BYD Co. Ltd., Class H

   Automobiles        3,750          111,433  

BYD Electronic International Co. Ltd.

   Communications Equipment        3,000          14,986  

By-health Co. Ltd., Class A

   Personal Care Products        600          1,114  

C&D International Investment Group Ltd.

   Real Estate Management & Development        3,000          5,579  

Caitong Securities Co. Ltd., Class A

   Capital Markets        1,200          1,086  

a Cambricon Technologies Corp. Ltd., Class A

   Semiconductors & Semiconductor Equipment        150          4,082  

a CECEP Solar Energy Co. Ltd., Class A

   Independent Power Producers & Energy Traders        1,200          774  

CECEP Wind-Power Corp., Class A

   Independent Power Producers & Energy Traders        1,800          737  

CGN Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        2,400          1,522  

b CGN Power Co. Ltd., Class H

   Independent Power Producers & Energy Traders        42,000          18,506  

Changchun High-Tech Industry Group Co. Ltd., Class A

   Pharmaceuticals        100          1,257  

Changjiang Securities Co. Ltd., Class A

   Capital Markets        1,800          1,191  

Changzhou Xingyu Automotive Lighting Systems Co. Ltd., Class A

   Automobile Components        100          1,535  

Chaozhou Three-Circle Group Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          2,399  

Chengdu Xingrong Environment Co. Ltd., Class A

   Water Utilities        1,200          1,236  

China Baoan Group Co. Ltd., Class A

   Industrial Conglomerates        600          707  

a,b China Bohai Bank Co. Ltd., Class H

   Banks        12,000          1,460  

China Cinda Asset Management Co. Ltd., Class H

   Capital Markets        36,000          2,997  

China CITIC Bank Corp. Ltd., Class A

   Banks        6,600          6,057  

a China CITIC Bank Corp. Ltd., Class H

   Banks        36,000          23,101  

a,b China CITIC Financial Asset Management Co. Ltd., Class H

   Capital Markets        60,000          2,690  

China Coal Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,200          2,051  

a China Coal Energy Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        8,000          9,345  

China Communications Services Corp. Ltd., Class H

   Construction & Engineering        12,000          6,471  

a China Conch Venture Holdings Ltd.

   Construction & Engineering        6,000          5,595  

China Construction Bank Corp., Class A

   Banks        3,000          3,041  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

China Construction Bank Corp., Class H

   Banks        354,000          261,621  

China CSSC Holdings Ltd., Class A

   Machinery        1,200          6,691  

a China Eastern Airlines Corp. Ltd., Class A

   Passenger Airlines        5,400          2,966  

a China Energy Engineering Corp. Ltd., Class A

   Construction & Engineering        10,200          2,962  

a China Energy Engineering Corp. Ltd., Class H

   Construction & Engineering        24,000          2,644  

China Everbright Bank Co. Ltd., Class A

   Banks        13,200          5,731  

a China Everbright Bank Co. Ltd., Class H

   Banks        12,000          3,735  

b China Feihe Ltd.

   Food Products        12,000          5,549  

China Galaxy Securities Co. Ltd., Class A

   Capital Markets        1,800          2,677  

China Galaxy Securities Co. Ltd., Class H

   Capital Markets        15,000          7,858  

China Great Wall Securities Co. Ltd., Class A

   Capital Markets        600          551  

China Greatwall Technology Group Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        1,200          1,438  

a China Green Electricity Investment of Tianjin Co. Ltd., Class A

   Real Estate Management & Development        600          783  

China Hongqiao Group Ltd.

   Metals & Mining        9,000          13,626  

China International Capital Corp. Ltd., Class A

   Capital Markets        300          1,217  

b China International Capital Corp. Ltd., Class H

   Capital Markets        4,800          5,343  

China International Marine Containers Group Co. Ltd., Class A

   Machinery        600          761  

China International Marine Containers Group Co. Ltd., Class H

   Machinery        3,000          2,705  

China Jinmao Holdings Group Ltd., Class A

   Real Estate Management & Development        24,000          1,906  

China Jushi Co. Ltd., Class A

   Construction Materials        1,200          1,816  

China Lesso Group Holdings Ltd.

   Building Products        6,000          2,398  

China Life Insurance Co. Ltd., Class H

   Insurance        30,000          42,421  

a,b China Literature Ltd., Class A

   Media        1,200          3,866  

China Longyuan Power Group Corp. Ltd., Class H

   Independent Power Producers & Energy Traders        12,000          10,790  

China Medical System Holdings Ltd.

   Pharmaceuticals        6,000          5,087  

China Merchants Bank Co. Ltd., Class A

   Banks        5,400          25,288  

China Merchants Bank Co. Ltd., Class H

   Banks        14,500          65,838  

a China Merchants Energy Shipping Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        3,000          3,472  

China Merchants Expressway Network & Technology Holdings Co. Ltd., Class A

   Transportation Infrastructure        1,800          2,924  

China Merchants Port Holdings Co. Ltd.

   Transportation Infrastructure        5,100          7,590  

China Merchants Securities Co. Ltd., Class A

   Capital Markets        2,400          4,573  

b China Merchants Securities Co. Ltd., Class H

   Capital Markets        1,200          948  

a China Merchants Shekou Industrial Zone Holdings Co. Ltd.,
  Class A

   Real Estate Management & Development        2,400          2,890  

a China Minsheng Banking Corp. Ltd., Class A

   Banks        10,200          5,295  

China Minsheng Banking Corp. Ltd., Class H

   Banks        24,000          8,300  

China National Building Material Co. Ltd., Class H

   Construction Materials        19,500          6,993  

a China National Chemical Engineering Co. Ltd., Class A

   Construction & Engineering        1,800          2,032  

China National Nuclear Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        4,800          7,008  

a China National Software & Service Co. Ltd., Class A

   Software        260          1,066  

China Northern Rare Earth Group High-Tech Co. Ltd., Class A

   Metals & Mining        1,200          2,827  

China Oilfield Services Ltd., Class A

   Energy Equipment & Services        600          1,414  

China Oilfield Services Ltd., Class H

   Energy Equipment & Services        8,000          7,685  

China Overseas Land & Investment Ltd., Class A

   Real Estate Management & Development        15,000          26,014  

a China Pacific Insurance Group Co. Ltd., Class A

   Insurance        1,800          6,869  

China Pacific Insurance Group Co. Ltd., Class H

   Insurance        9,600          23,436  

China Petroleum & Chemical Corp., Class A

   Oil, Gas & Consumable Fuels        11,400          9,868  

China Petroleum & Chemical Corp., Class H

   Oil, Gas & Consumable Fuels        96,000          62,218  

China Railway Group Ltd., Class A

   Construction & Engineering        6,000          5,358  

China Railway Group Ltd., Class H

   Construction & Engineering        12,000          6,624  

China Railway Signal & Communication Corp. Ltd., Class A

   Electronic Equipment, Instruments & Components        2,000          1,644  

b China Railway Signal & Communication Corp. Ltd., Class H

   Electronic Equipment, Instruments & Components        6,000          2,582  

China Rare Earth Resources & Technology Co. Ltd., Class A

   Metals & Mining        600          2,083  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a China Reinsurance Group Corp., Class H

   Insurance        24,000          1,752  

China Resources Building Materials Technology Holdings Ltd.

   Construction Materials        12,000          2,121  

China Resources Double Crane Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        600          1,609  

China Resources Microelectronics Ltd., Class A

   Semiconductors & Semiconductor Equipment        395          2,026  

b China Resources Mixc Lifestyle Services Ltd.

   Real Estate Management & Development        2,400          7,946  

b China Resources Pharmaceutical Group Ltd., Class A

   Pharmaceuticals        6,000          4,450  

China Resources Power Holdings Co. Ltd.

   Independent Power Producers & Energy Traders        7,200          22,087  

China Resources Sanjiu Medical & Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        360          2,100  

a China Ruyi Holdings Ltd.

   Entertainment        24,000          6,455  

China Shenhua Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,800          10,939  

China Shenhua Energy Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        12,000          55,255  

China South Publishing & Media Group Co. Ltd., Class A

   Media        600          1,021  

a China Southern Airlines Co. Ltd., Class A

   Passenger Airlines        3,600          2,904  

China Southern Power Grid Energy Efficiency&Clean Energy
Co. Ltd., Class A

   Commercial Services & Supplies        600          362  

China State Construction Engineering Corp. Ltd., Class A

   Construction & Engineering        12,600          9,164  

China Suntien Green Energy Corp. Ltd., Class H

   Oil, Gas & Consumable Fuels        6,000          2,720  

China Taiping Insurance Holdings Co. Ltd.

   Insurance        6,000          6,133  

China Three Gorges Renewables Group Co. Ltd., Class A

   Independent Power Producers & Energy Traders        7,200          4,300  

China Tourism Group Duty Free Corp. Ltd., Class A

   Specialty Retail        600          5,136  

b China Tourism Group Duty Free Corp. Ltd., Class H

   Specialty Retail        600          3,677  

b China Tower Corp. Ltd., Class H

   Diversified Telecommunication Services        180,000          23,286  

China Travel International Investment Hong Kong Ltd., Class A

   Hotels, Restaurants & Leisure        12,000          1,783  

China United Network Communications Ltd., Class A

   Wireless Telecommunication Services        8,400          5,408  

China Vanke Co. Ltd., Class A

   Real Estate Management & Development        3,000          2,848  

China Vanke Co. Ltd., Class H

   Real Estate Management & Development        9,000          5,360  

China XD Electric Co. Ltd., Class A

   Electrical Equipment        1,200          1,321  

China Yangtze Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        6,600          26,144  

China Zhenhua Group Science & Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        200          1,138  

China Zheshang Bank Co. Ltd., Class A

   Banks        2,400          907  

Chinese Universe Publishing & Media Group Co. Ltd., Class A

   Media        600          1,220  

Chongqing Changan Automobile Co. Ltd., Class A

   Automobiles        2,400          4,415  

Chongqing Changan Automobile Co. Ltd., Class B

   Automobiles        7,200          3,384  

Chongqing Rural Commercial Bank Co. Ltd., Class A

   Banks        1,200          825  

Chongqing Rural Commercial Bank Co. Ltd., Class H

   Banks        6,000          2,943  

a Chongqing Zhifei Biological Products Co. Ltd., Class A

   Biotechnology        700          2,687  

Chow Tai Fook Jewellery Group Ltd., Class A

   Specialty Retail        7,200          7,793  

CITIC Ltd., Class B

   Industrial Conglomerates        24,000          21,825  

Citic Pacific Special Steel Group Co. Ltd., Class A

   Metals & Mining        1,480          2,751  

CITIC Securities Co. Ltd., Class A

   Capital Markets        3,600          8,989  

CITIC Securities Co. Ltd., Class H

   Capital Markets        6,000          8,838  

CMOC Group Ltd., Class A

   Metals & Mining        3,000          3,493  

CMOC Group Ltd., Class H

   Metals & Mining        18,000          16,461  

CMST Development Co. Ltd., Class A

   Air Freight & Logistics        1,200          791  

CNGR Advanced Material Co. Ltd., Class A

   Chemicals        180          764  

CNOOC Energy Technology & Services Ltd., Class A

   Energy Equipment & Services        1,800          1,016  

CNPC Capital Co. Ltd., Class A

   Banks        1,200          907  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Contemporary Amperex Technology Co. Ltd., Class A

   Electrical Equipment        1,200          29,591  

COSCO SHIPPING Development Co. Ltd., Class A

   Trading Companies & Distributors        3,000          1,060  

COSCO SHIPPING Development Co. Ltd., Class H

   Trading Companies & Distributors        12,000          1,737  

COSCO SHIPPING Energy Transportation Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,200          2,566  

COSCO SHIPPING Energy Transportation Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        6,000          7,793  

COSCO SHIPPING Holdings Co. Ltd., Class A

   Marine Transportation        4,200          8,911  

COSCO SHIPPING Holdings Co. Ltd., Class H

   Marine Transportation        10,500          18,371  

a,c Country Garden Holdings Co. Ltd.

   Real Estate Management & Development        72,000          4,473  

Country Garden Services Holdings Co. Ltd.

   Real Estate Management & Development        9,000          5,556  

CRRC Corp. Ltd., Class A

   Machinery        7,200          7,406  

CRRC Corp. Ltd., Class H

   Machinery        18,000          11,620  

CSC Financial Co. Ltd., Class A

   Capital Markets        1,800          4,744  

b CSC Financial Co. Ltd., Class H

   Capital Markets        3,000          2,225  

CSG Holding Co. Ltd., Class B

   Construction Materials        4,800          1,586  

CSPC Innovation Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        600          2,073  

CSPC Pharmaceutical Group Ltd.

   Pharmaceuticals        36,000          28,680  

a Dada Nexus Ltd., Class A, ADR

   Consumer Staples Distribution & Retail        354          446  

Daqin Railway Co. Ltd., Class A

   Ground Transportation        4,800          4,707  

a Daqo New Energy Corp., ADR

   Semiconductors & Semiconductor Equipment        198          2,891  

Datang International Power Generation Co. Ltd., Class A

   Independent Power Producers & Energy Traders        2,400          989  

Datang International Power Generation Co. Ltd., Class H

   Independent Power Producers & Energy Traders        12,000          2,567  

DHC Software Co. Ltd., Class A

   IT Services        1,200          743  

Dong-E-E-Jiao Co. Ltd., Class A

   Pharmaceuticals        200          1,715  

Dongfang Electric Corp. Ltd., Class A

   Electrical Equipment        600          1,516  

Dongfang Electric Corp. Ltd., Class H

   Electrical Equipment        1,200          1,912  

a Dongfeng Motor Group Co. Ltd., Class H

   Automobiles        9,000          2,571  

Dongxing Securities Co. Ltd., Class A

   Capital Markets        600          654  

a,b East Buy Holding Ltd.

   Consumer Staples Distribution & Retail        2,500          4,041  

East Money Information Co. Ltd., Class A

   Capital Markets        4,200          6,075  

Ecovacs Robotics Co. Ltd., Class A

   Household Durables        200          1,292  

ENN Energy Holdings Ltd.

   Gas Utilities        3,000          24,727  

ENN Natural Gas Co. Ltd., Class A

   Gas Utilities        600          1,709  

a Eoptolink Technology, Inc. Ltd., Class A

   Electronic Equipment, Instruments & Components        200          2,891  

b ESR Group Ltd., Class H

   Real Estate Management & Development        9,600          12,616  

Eve Energy Co. Ltd., Class A

   Electrical Equipment        600          3,281  

Everbright Securities Co. Ltd., Class A

   Capital Markets        1,200          2,403  

a Everdisplay Optronics Shanghai Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,000          814  

a Fangda Carbon New Material Co. Ltd., Class A

   Electrical Equipment        1,200          708  

FAW Jiefang Group Co. Ltd.

   Machinery        600          643  

Fiberhome Telecommunication Technologies Co. Ltd., Class A

   Communications Equipment        400          871  

First Capital Securities Co. Ltd., Class A

   Capital Markets        1,200          837  

Flat Glass Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        600          1,652  

Flat Glass Group Co. Ltd., Class H

   Semiconductors & Semiconductor Equipment        2,000          2,946  

Focus Media Information Technology Co. Ltd., Class A

   Media        4,200          3,486  

Foshan Haitian Flavouring & Food Co. Ltd., Class A

   Food Products        1,200          5,666  

Fosun International Ltd.

   Industrial Conglomerates        6,000          3,228  

Founder Securities Co. Ltd., Class A

   Capital Markets        2,400          2,541  

Foxconn Industrial Internet Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,600          13,511  

Fujian Funeng Co. Ltd., Class A

   Independent Power Producers & Energy Traders        600          958  

Fujian Sunner Development Co. Ltd., Class A

   Food Products        600          1,121  

Full Truck Alliance Co. Ltd., ADR

   Ground Transportation        2,550          20,502  

Fuyao Glass Industry Group Co. Ltd., Class A

   Automobile Components        600          3,937  

b Fuyao Glass Industry Group Co. Ltd., Class H

   Automobile Components        2,400          13,941  

GalaxyCore, Inc., Class A

   Semiconductors & Semiconductor Equipment        1,200          1,990  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Ganfeng Lithium Group Co. Ltd., Class A

   Chemicals        600          2,355  

b Ganfeng Lithium Group Co. Ltd., Class H

   Chemicals        1,800          3,509  

a GCL System Integration Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,800          478  

a GCL Technology Holdings Ltd.

   Semiconductors & Semiconductor Equipment        78,000          11,589  

GD Power Development Co. Ltd., Class A

   Independent Power Producers & Energy Traders        4,800          3,938  

a GDS Holdings Ltd., Class A

   IT Services        2,400          2,868  

GEM Co. Ltd., Class A

   Metals & Mining        1,200          1,047  

Gemdale Corp., Class A

   Real Estate Management & Development        1,200          559  

a Genscript Biotech Corp.

   Life Sciences Tools & Services        6,000          6,394  

GF Securities Co. Ltd., Class A

   Capital Markets        1,800          3,000  

GF Securities Co. Ltd., Class H

   Capital Markets        3,600          2,983  

b Giant Biogene Holding Co. Ltd.

   Personal Care Products        1,200          7,047  

Giant Network Group Co. Ltd., Class A

   Entertainment        600          776  

a GigaDevice Semiconductor, Inc., Class A

   Semiconductors & Semiconductor Equipment        400          5,239  

GoerTek, Inc., Class A

   Electronic Equipment, Instruments & Components        1,200          3,207  

Goldwind Science & Technology Co. Ltd., Class A

   Electrical Equipment        600          552  

Goldwind Science & Technology Co. Ltd., Class H

   Electrical Equipment        2,400          978  

Gotion High-tech Co. Ltd., Class A

   Electrical Equipment        600          1,574  

a Grandjoy Holdings Group Co. Ltd., Class A

   Real Estate Management & Development        1,200          385  

Great Wall Motor Co. Ltd., Class A

   Automobiles        1,200          4,158  

Great Wall Motor Co. Ltd., Class H

   Automobiles        9,000          13,879  

Gree Electric Appliances, Inc. of Zhuhai, Class A

   Household Durables        1,200          6,446  

a Greenland Holdings Corp. Ltd., Class A

   Real Estate Management & Development        3,000          555  

Greentown China Holdings Ltd.

   Real Estate Management & Development        6,000          4,719  

GRG Banking Equipment Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        600          860  

Guangdong Baolihua New Energy Stock Co. Ltd., Class A

   Independent Power Producers & Energy Traders        600          419  

Guangdong Electric Power Development Co. Ltd., Class A

   Independent Power Producers & Energy Traders        600          417  

Guangdong Electric Power Development Co. Ltd., Class B

   Independent Power Producers & Energy Traders        3,600          968  

Guangdong Haid Group Co. Ltd., Class A

   Food Products        600          3,867  

Guangdong HEC Technology Holding Co. Ltd., Class A

   Metals & Mining        1,200          1,157  

Guanghui Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,800          1,652  

a Guangshen Railway Co. Ltd., Class A

   Ground Transportation        1,800          799  

Guangxi Guiguan Electric Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        1,200          1,261  

Guangxi Liugong Machinery Co. Ltd., Class A

   Machinery        600          920  

Guangzhou Automobile Group Co. Ltd., Class A

   Automobiles        1,200          1,272  

Guangzhou Automobile Group Co. Ltd., Class H

   Automobiles        12,000          4,242  

Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd., Class A

   Health Care Providers & Services        600          2,410  

Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd.,
Class H

   Health Care Providers & Services        1,000          2,645  

Guangzhou Haige Communications Group, Inc. Co.,
Class A

   Communications Equipment        600          851  

Guangzhou Tinci Materials Technology Co. Ltd., Class A

   Chemicals        600          1,443  

Guizhou Panjiang Refined Coal Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        600          494  

a Guolian Securities Co. Ltd., Class A

   Capital Markets        600          792  

Guosen Securities Co. Ltd., Class A

   Capital Markets        1,800          2,142  

a Guosheng Financial Holding, Inc., Class A

   Capital Markets        600          696  

Guotai Junan Securities Co. Ltd., Class A

   Capital Markets        2,400          4,454  

b Guotai Junan Securities Co. Ltd., Class H

   Capital Markets        2,400          2,382  

Guoyuan Securities Co. Ltd., Class A

   Capital Markets        1,200          996  

H World Group Ltd.

   Hotels, Restaurants & Leisure        7,200          23,977  

b Haidilao International Holding Ltd.

   Hotels, Restaurants & Leisure        6,000          10,790  

Haier Smart Home Co. Ltd., Class A

   Household Durables        1,800          6,997  

Haier Smart Home Co. Ltd., Class H

   Household Durables        8,400          28,081  

a Hainan Airlines Holding Co. Ltd., Class A

   Passenger Airlines        12,000          1,677  

a Hainan Airport Infrastructure Co. Ltd., Class A

   Real Estate Management & Development        3,000          1,290  

Haitian International Holdings Ltd.

   Machinery        2,000          5,687  

Haitong Securities Co. Ltd., Class A

   Capital Markets        3,000          3,517  

Haitong Securities Co. Ltd., Class H

   Capital Markets        14,400          6,695  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Hang Zhou Great Star Industrial Co. Ltd., Class A

   Household Durables        400          1,353  

Hangzhou Binjiang Real Estate Group Co. Ltd., Class A

   Real Estate Management & Development        1,200          1,193  

Hangzhou First Applied Material Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        634          1,277  

Hangzhou Robam Appliances Co. Ltd., Class A

   Household Durables        600          1,816  

a Hangzhou Silan Microelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        600          1,439  

Hangzhou Tigermed Consulting Co. Ltd., Class A

   Life Sciences Tools & Services        300          1,997  

b Hangzhou Tigermed Consulting Co. Ltd., Class H

   Life Sciences Tools & Services        600          2,121  

Han’s Laser Technology Industry Group Co. Ltd., Class A

   Machinery        600          1,709  

b Hansoh Pharmaceutical Group Co. Ltd.

   Pharmaceuticals        3,000          6,271  

Heilongjiang Agriculture Co. Ltd., Class A

   Food Products        600          1,026  

Henan Shenhuo Coal Industry & Electricity Power Co. Ltd., Class A

   Metals & Mining        600          1,663  

Henan Shuanghui Investment & Development Co. Ltd., Class A

   Food Products        1,200          3,907  

Hengan International Group Co. Ltd.

   Personal Care Products        2,700          8,231  

Hengdian Group DMEGC Magnetics Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          1,025  

Hengli Petrochemical Co. Ltd., Class A

   Chemicals        1,200          2,293  

Hengtong Optic-electric Co. Ltd., Class A

   Communications Equipment        600          1,296  

Hengyi Petrochemical Co. Ltd., Class A

   Chemicals        1,200          1,165  

Hesteel Co. Ltd., Class A

   Metals & Mining        3,600          957  

Hisense Home Appliances Group Co. Ltd., Class H

   Household Durables        2,000          6,583  

Hithink RoyalFlush Information Network Co. Ltd., Class A

   Capital Markets        200          2,841  

HLA Group Corp. Ltd., Class A

   Specialty Retail        1,200          1,519  

Hongta Securities Co. Ltd., Class A

   Capital Markets        600          528  

a Hopson Development Holdings Ltd.

   Real Estate Management & Development        4,200          1,926  

a Horizon Construction Development Ltd.

   Trading Companies & Distributors        1,296          249  

a Hoshine Silicon Industry Co. Ltd., Class A

   Chemicals        200          1,280  

b Hua Hong Semiconductor Ltd.

   Semiconductors & Semiconductor Equipment        2,000          5,648  

Huaan Securities Co. Ltd., Class A

   Capital Markets        1,200          692  

Huadian Power International Corp. Ltd., Class A

   Independent Power Producers & Energy Traders        2,400          2,281  

Huadian Power International Corp. Ltd., Class H

   Independent Power Producers & Energy Traders        6,000          3,635  

Huadong Medicine Co. Ltd., Class A

   Health Care Providers & Services        600          2,285  

a Huafon Chemical Co. Ltd., Class A

   Chemicals        1,200          1,178  

Huagong Tech Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          2,460  

Huaibei Mining Holdings Co. Ltd., Class A

   Metals & Mining        600          1,376  

Hualan Biological Engineering, Inc., Class A

   Biotechnology        600          1,298  

Huaneng Lancang River Hydropower, Inc., Class A

   Independent Power Producers & Energy Traders        1,800          2,658  

a Huaneng Power International, Inc., Class A

   Independent Power Producers & Energy Traders        1,800          2,372  

a Huaneng Power International, Inc., Class H

   Independent Power Producers & Energy Traders        18,000          13,349  

Huatai Securities Co. Ltd., Class A

   Capital Markets        2,400          4,073  

b Huatai Securities Co. Ltd., Class H

   Capital Markets        4,800          5,306  

Huaxia Bank Co. Ltd., Class A

   Banks        4,800          4,208  

Huaxin Cement Co. Ltd., Class H

   Construction Materials        1,200          1,159  

Huayu Automotive Systems Co. Ltd., Class A

   Automobile Components        1,200          2,692  

Hubei Energy Group Co. Ltd., Class A

   Independent Power Producers & Energy Traders        1,800          1,482  

Hubei Xingfa Chemicals Group Co. Ltd., Class A

   Chemicals        600          1,568  

Huizhou Desay Sv Automotive Co. Ltd., Class A

   Automobile Components        200          2,386  

Humanwell Healthcare Group Co. Ltd., Class A

   Pharmaceuticals        600          1,411  

Hunan Valin Steel Co. Ltd., Class A

   Metals & Mining        2,400          1,456  

Hundsun Technologies, Inc., Class A

   Software        600          1,451  

a HUTCHMED China Ltd.

   Pharmaceuticals        2,000          7,045  

a,b Hygeia Healthcare Holdings Co. Ltd., Class C

   Health Care Providers & Services        1,200          4,327  

Hygon Information Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        600          5,779  

IEIT Systems Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        600          2,989  

Iflytek Co. Ltd., Class A

   Software        600          3,530  

Imeik Technology Development Co. Ltd., Class A

   Biotechnology        140          3,300  

Industrial & Commercial Bank of China Ltd., Class A

   Banks        20,400          15,927  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Industrial & Commercial Bank of China Ltd., Class H

   Banks        300,000          178,292  

a Industrial Bank Co. Ltd., Class A

   Banks        5,400          13,032  

Industrial Securities Co. Ltd., Class A

   Capital Markets        2,400          1,663  

a Inner Mongolia BaoTou Steel Union Co. Ltd., Class A

   Metals & Mining        11,400          2,186  

Inner Mongolia Dian Tou Energy Corp. Ltd., Class A

   Oil, Gas & Consumable Fuels        600          1,734  

Inner Mongolia ERDOS Resources Co. Ltd., Class B

   Metals & Mining        2,400          2,002  

Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd., Class A

   Chemicals        2,400          1,213  

Inner Mongolia MengDian HuaNeng Thermal Power Corp. Ltd., Class A

   Independent Power Producers & Energy Traders        1,800          1,144  

Inner Mongolia Yili Industrial Group Co. Ltd., Class A

   Food Products        1,800          6,371  

Inner Mongolia Yitai Coal Co. Ltd., Class B

   Oil, Gas & Consumable Fuels        4,200          7,543  

Inner Mongolia Yuan Xing Energy Co. Ltd., Class A

   Chemicals        1,200          1,136  

a,b Innovent Biologics, Inc., Class B

   Biotechnology        6,000          28,281  

a iQIYI, Inc., ADR

   Entertainment        1,788          6,562  

a IRICO Display Devices Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        1,200          1,119  

Isoftstone Information Technology Group Co. Ltd., Class A

   IT Services        600          2,894  

JA Solar Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,136          1,743  

Jafron Biomedical Co. Ltd., Class A

   Health Care Equipment & Supplies        200          745  

JCET Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        600          2,606  

a,b JD Health International, Inc.

   Consumer Staples Distribution & Retail        4,200          11,431  

a,b JD Logistics, Inc.

   Air Freight & Logistics        6,600          7,084  

JD.com, Inc., Class A

   Broadline Retail        9,300          123,049  

Jiangsu Eastern Shenghong Co. Ltd., Class A

   Chemicals        1,200          1,310  

Jiangsu Expressway Co. Ltd., Class A

   Transportation Infrastructure        600          1,035  

a Jiangsu Expressway Co. Ltd., Class H

   Transportation Infrastructure        6,000          6,402  

Jiangsu Financial Leasing Co. Ltd., Class A

   Financial Services        1,200          830  

Jiangsu Hengli Hydraulic Co. Ltd., Class A

   Machinery        496          3,165  

a Jiangsu Hengrui Pharmaceuticals Co. Ltd., Class A

   Pharmaceuticals        1,800          9,482  

Jiangsu King’s Luck Brewery JSC Ltd., Class A

   Beverages        600          3,797  

Jiangsu Linyang Energy Co. Ltd., Class A

   Electrical Equipment        600          515  

Jiangsu Phoenix Publishing & Media Corp. Ltd., Class A

   Media        600          901  

Jiangsu Yanghe Distillery Co. Ltd., Class A

   Beverages        600          6,635  

Jiangsu Yuyue Medical Equipment & Supply Co. Ltd., Class A

   Health Care Equipment & Supplies        300          1,545  

Jiangsu Zhongtian Technology Co. Ltd., Class A

   Electrical Equipment        1,200          2,605  

Jiangxi Copper Co. Ltd., Class A

   Metals & Mining        600          1,946  

Jiangxi Copper Co. Ltd., Class H

   Metals & Mining        5,000          9,978  

a Jiangxi Special Electric Motor Co. Ltd., Class A

   Electrical Equipment        600          670  

Jinduicheng Molybdenum Co. Ltd., Class A

   Metals & Mining        600          856  

a,d Jinke Smart Services Group Co. Ltd., Class H

   Real Estate Management & Development        1,200          1,136  

Jinko Solar Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,800          1,750  

b Jinxin Fertility Group Ltd.

   Health Care Providers & Services        9,000          3,205  

b Jiumaojiu International Holdings Ltd.

   Hotels, Restaurants & Leisure        3,600          1,867  

Jizhong Energy Resources Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        600          551  

Joincare Pharmaceutical Group Industry Co. Ltd., Class A

   Pharmaceuticals        600          918  

b Joinn Laboratories China Co. Ltd., Class H

   Life Sciences Tools & Services        600          576  

Jointown Pharmaceutical Group Co. Ltd., Class A

   Health Care Providers & Services        1,606          1,073  

JOYY, Inc., ADR

   Interactive Media & Services        102          3,069  

Juneyao Airlines Co. Ltd., Class A

   Passenger Airlines        600          903  

a J-Yuan Trust Co. Ltd., Class A

   Capital Markets        3,000          1,114  

Kanzhun Ltd., ADR

   Interactive Media & Services        1,242          23,362  

KE Holdings, Inc., ADR

   Real Estate Management & Development        2,406          34,045  

a Keda Industrial Group Co. Ltd., Class A

   Machinery        600          693  

Kingboard Holdings Ltd.

   Electronic Equipment, Instruments & Components        3,000          7,063  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Kingdee International Software Group Co. Ltd.

   Software        12,000          11,251  

Kingnet Network Co. Ltd., Class A

   Entertainment        600          785  

Kingsoft Corp. Ltd.

   Entertainment        3,600          10,398  

a,b Kuaishou Technology, Class B

   Interactive Media & Services        10,800          63,839  

a Kuang-Chi Technologies Co. Ltd., Class A

   Aerospace & Defense        600          1,426  

Kunlun Tech Co. Ltd., Class A

   Entertainment        600          2,650  

Kweichow Moutai Co. Ltd., Class A

   Beverages        350          70,346  

Lao Feng Xiang Co. Ltd., Class B

   Textiles, Apparel & Luxury Goods        1,200          4,408  

LB Group Co. Ltd., Class A

   Chemicals        600          1,526  

Lee & Man Paper Manufacturing Ltd.

   Paper & Forest Products        6,000          1,775  

b Legend Holdings Corp., Class H

   Technology Hardware, Storage & Peripherals        2,400          1,808  

Lenovo Group Ltd.

   Technology Hardware, Storage & Peripherals        30,000          42,344  

Lens Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        1,800          4,499  

Leo Group Co. Ltd., Class A

   Media        1,800          353  

Lepu Medical Technology Beijing Co. Ltd., Class A

   Health Care Equipment & Supplies        600          1,220  

Leyard Optoelectronic Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          370  

a Li Auto, Inc., Class A

   Automobiles        4,200          37,818  

Li Ning Co. Ltd.

   Textiles, Apparel & Luxury Goods        9,000          19,482  

Liaoning Port Co. Ltd., Class A

   Transportation Infrastructure        5,400          910  

Lingyi iTech Guangdong Co., Class A

   Electronic Equipment, Instruments & Components        2,400          2,341  

Livzon Pharmaceutical Group, Inc., Class A

   Pharmaceuticals        200          1,019  

Livzon Pharmaceutical Group, Inc., Class H

   Pharmaceuticals        600          1,975  

b Longfor Group Holdings Ltd.

   Real Estate Management & Development        9,000          12,357  

a LONGi Green Energy Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        2,400          4,609  

Lufax Holding Ltd., ADR

   Consumer Finance        732          1,735  

Luxi Chemical Group Co. Ltd., Class A

   Chemicals        600          952  

a Luxshare Precision Industry Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        2,400          12,922  

a,b Luye Pharma Group Ltd.

   Pharmaceuticals        9,000          3,112  

Luzhou Laojiao Co. Ltd., Class A

   Beverages        400          7,862  

Maanshan Iron & Steel Co. Ltd., Class A

   Metals & Mining        1,800          498  

Mango Excellent Media Co. Ltd., Class A

   Entertainment        600          1,718  

Maxscend Microelectronics Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        260          2,768  

Meihua Holdings Group Co. Ltd., Class A

   Chemicals        1,200          1,647  

a Meinian Onehealth Healthcare Holdings Co. Ltd., Class A

   Health Care Providers & Services        1,200          621  

a,b Meituan, Class B

   Hotels, Restaurants & Leisure        20,400          290,294  

Metallurgical Corp. of China Ltd., Class A

   Construction & Engineering        4,800          2,038  

Metallurgical Corp. of China Ltd., Class H

   Construction & Engineering        12,000          2,459  

a Microport Scientific Corp.

   Health Care Equipment & Supplies        3,600          2,430  

a Ming Yang Smart Energy Group Ltd., Class A

   Electrical Equipment        600          776  

MINISO Group Holding Ltd.

   Broadline Retail        1,200          5,756  

Minmetals Capital Co. Ltd., Class A

   Capital Markets        1,200          666  

a Minth Group Ltd.

   Automobile Components        3,000          4,665  

a MMG Ltd.

   Metals & Mining        12,000          4,580  

Montage Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        306          2,396  

Muyuan Foods Co. Ltd., Class A

   Food Products        1,596          9,531  

Nanjing Iron & Steel Co. Ltd., Class A

   Metals & Mining        1,800          1,228  

Nanjing Securities Co. Ltd., Class A

   Capital Markets        1,200          1,262  

NARI Technology Co. Ltd., Class A

   Electrical Equipment        2,400          8,205  

a National Silicon Industry Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,200          2,270  

NAURA Technology Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        200          8,763  

a NavInfo Co. Ltd., Class A

   Software        600          511  

NetEase, Inc.

   Entertainment        6,900          131,771  

New China Life Insurance Co. Ltd., Class A

   Insurance        600          2,468  

New China Life Insurance Co. Ltd., Class H

   Insurance        3,000          5,725  

a New Hope Liuhe Co. Ltd., Class A

   Food Products        1,200          1,502  

a New Oriental Education & Technology Group, Inc.

   Diversified Consumer Services        6,000          45,880  

Newland Digital Technology Co. Ltd., Class A

   Software        600          1,143  

a Nine Dragons Paper Holdings Ltd.

   Paper & Forest Products        6,000          2,498  

a Ninestar Corp., Class A

   Technology Hardware, Storage & Peripherals        600          2,171  

Ningbo Deye Technology Co. Ltd., Class A

   Machinery        80          815  

Ningbo Joyson Electronic Corp., Class A

   Automobile Components        600          1,218  

Ningbo Orient Wires & Cables Co. Ltd., Class A

   Electrical Equipment        200          1,337  

Ningbo Sanxing Medical Electric Co. Ltd., Class A

   Electrical Equipment        400          1,918  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Ningbo Shanshan Co. Ltd., Class A

   Chemicals        600          667  

Ningbo Tuopu Group Co. Ltd., Class A

   Automobile Components        600          4,406  

Ningbo Zhoushan Port Co. Ltd., Class A

   Transportation Infrastructure        1,800          838  

a Ningxia Baofeng Energy Group Co. Ltd., Class A

   Chemicals        600          1,424  

a NIO, Inc., Class A

   Automobiles        5,160          22,504  

b Nongfu Spring Co. Ltd., Class H

   Beverages        6,000          28,473  

Northeast Securities Co. Ltd., Class A

   Capital Markets        600          459  

Offshore Oil Engineering Co. Ltd., Class A

   Energy Equipment & Services        1,200          971  

a OFILM Group Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        1,200          1,284  

ORG Technology Co. Ltd., Class A

   Containers & Packaging        600          342  

Orient Securities Co. Ltd., Class A

   Capital Markets        1,800          1,874  

b Orient Securities Co. Ltd., Class H

   Capital Markets        2,400          941  

a Oriental Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        600          675  

a Ourpalm Co. Ltd., Class A

   Entertainment        1,200          685  

a Pacific Securities Co. Ltd., Class A

   Capital Markets        1,800          752  

a Pangang Group Vanadium Titanium & Resources Co. Ltd., Class A

   Metals & Mining        2,400          822  

a PDD Holdings, Inc., ADR

   Broadline Retail        2,694          358,167  

People.cn Co. Ltd., Class A

   Media        600          1,643  

People’s Insurance Co. Group of China Ltd., Class A

   Insurance        3,000          2,116  

a People’s Insurance Co. Group of China Ltd., Class H

   Insurance        30,000          10,298  

PetroChina Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        7,200          10,177  

PetroChina Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        80,000          80,949  

Pharmaron Beijing Co. Ltd., Class A

   Life Sciences Tools & Services        600          1,527  

b Pharmaron Beijing Co. Ltd., Class H

   Life Sciences Tools & Services        1,200          1,299  

a PICC Property & Casualty Co. Ltd., Class H

   Insurance        24,000          29,818  

Ping An Bank Co. Ltd., Class A

   Banks        5,400          7,507  

a,b Ping An Healthcare & Technology Co. Ltd.

   Consumer Staples Distribution & Retail        2,400          3,517  

Ping An Insurance Group Co. of China Ltd., Class A

   Insurance        3,000          16,995  

Ping An Insurance Group Co. of China Ltd., Class H

   Insurance        24,000          108,820  

Pingdingshan Tianan Coal Mining Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        600          920  

a Polaris Bay Group Co. Ltd., Class A

   Capital Markets        600          486  

a Poly Developments & Holdings Group Co. Ltd., Class A

   Real Estate Management & Development        3,000          3,600  

d Poly Property Services Co. Ltd., Class H

   Real Estate Management & Development        600          2,221  

b Pop Mart International Group Ltd.

   Specialty Retail        2,400          11,758  

Postal Savings Bank of China Co. Ltd., Class A

   Banks        6,600          4,583  

b Postal Savings Bank of China Co. Ltd., Class H

   Banks        42,000          24,638  

Power Construction Corp. of China Ltd., Class A

   Construction & Engineering        4,800          3,675  

Qifu Technology, Inc., ADR

   Consumer Finance        456          8,997  

Qingdao TGOOD Electric Co. Ltd., Class A

   Electrical Equipment        600          1,654  

a Qinghai Salt Lake Industry Co. Ltd., Class A

   Chemicals        1,800          4,302  

a,b Remegen Co. Ltd., Class H

   Biotechnology        500          1,569  

RLX Technology, Inc., ADR

   Tobacco        3,396          6,249  

Rongsheng Petrochemical Co. Ltd., Class A

   Chemicals        2,450          3,242  

SAIC Motor Corp. Ltd., Class A

   Automobiles        2,400          4,556  

Sailun Group Co. Ltd., Class A

   Automobile Components        1,200          2,301  

Sanan Optoelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,800          2,890  

Sany Heavy Equipment International Holdings Co. Ltd.

   Machinery        5,000          3,112  

Sany Heavy Industry Co. Ltd., Class A

   Machinery        2,400          5,424  

Satellite Chemical Co. Ltd., Class A

   Chemicals        1,200          2,955  

a SDIC Capital Co. Ltd., Class A

   Capital Markets        1,800          1,393  

SDIC Power Holdings Co. Ltd., Class A

   Independent Power Producers & Energy Traders        1,800          4,497  

Sealand Securities Co. Ltd., Class A

   Capital Markets        1,800          717  

a Seazen Group Ltd.

   Real Estate Management & Development        12,000          2,090  

a Seazen Holdings Co. Ltd., Class A

   Real Estate Management & Development        600          729  

a,b SenseTime Group, Inc., Class B

   Software        84,000          14,202  

a Seres Group Co. Ltd., Class A

   Automobiles        400          4,992  

SF Holding Co. Ltd., Class A

   Air Freight & Logistics        1,200          5,866  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

SG Micro Corp., Class A

   Semiconductors & Semiconductor Equipment        195          2,211  

Shaanxi Coal Industry Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        2,400          8,471  

Shaanxi Energy Investment Co. Ltd., Class A

   Independent Power Producers & Energy Traders        600          948  

Shaanxi International Trust Co. Ltd., Class A

   Capital Markets        1,800          678  

a Shan Xi Hua Yang Group New Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,200          1,637  

a Shandong Chenming Paper Holdings Ltd., Class B

   Paper & Forest Products        3,000          565  

Shandong Gold Mining Co. Ltd., Class A

   Metals & Mining        1,200          4,500  

b Shandong Gold Mining Co. Ltd., Class H

   Metals & Mining        3,000          5,971  

Shandong Hi-speed Co. Ltd., Class A

   Transportation Infrastructure        600          727  

Shandong Hualu Hengsheng Chemical Co. Ltd., Class A

   Chemicals        600          2,189  

Shandong Humon Smelting Co. Ltd., Class A

   Metals & Mining        600          946  

Shandong Nanshan Aluminum Co. Ltd., Class A

   Metals & Mining        3,600          1,879  

Shandong Sun Paper Industry JSC Ltd., Class A

   Paper & Forest Products        600          1,146  

Shandong Weigao Group Medical Polymer Co. Ltd., Class H

   Health Care Equipment & Supplies        9,600          4,574  

a Shanghai Aiko Solar Energy Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        600          744  

Shanghai Baosight Software Co. Ltd., Class A

   Software        792          3,464  

Shanghai Baosight Software Co. Ltd., Class B

   Software        2,880          4,663  

Shanghai Construction Group Co. Ltd., Class A

   Construction & Engineering        1,800          530  

a Shanghai Electric Group Co. Ltd., Class A

   Electrical Equipment        2,400          1,216  

a Shanghai Electric Group Co. Ltd., Class H

   Electrical Equipment        12,000          2,352  

Shanghai Electric Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        600          813  

Shanghai Fosun Pharmaceutical Group Co. Ltd., Class A

   Pharmaceuticals        600          1,820  

Shanghai Fosun Pharmaceutical Group Co. Ltd., Class H

   Pharmaceuticals        3,000          5,080  

Shanghai Fudan Microelectronics Group Co. Ltd., Class H

   Semiconductors & Semiconductor Equipment        1,000          1,557  

Shanghai Huayi Group Co. Ltd., Class B

   Chemicals        1,200          487  

a Shanghai International Airport Co. Ltd., Class A

   Transportation Infrastructure        600          2,650  

Shanghai International Port Group Co. Ltd., Class A

   Transportation Infrastructure        3,000          2,375  

a Shanghai Jinjiang International Hotels Co. Ltd., Class B

   Hotels, Restaurants & Leisure        600          809  

Shanghai Jinqiao Export Processing Zone Development Co. Ltd., Class B

   Real Estate Management & Development        1,200          1,066  

a Shanghai Lingang Holdings Corp. Ltd., Class A

   Real Estate Management & Development        600          749  

Shanghai Lujiazui Finance & Trade Zone

            

Development Co. Ltd., Class A

   Real Estate Management & Development        600          725  

Shanghai Lujiazui Finance & Trade Zone

            

Development Co. Ltd., Class B

   Real Estate Management & Development        4,800          1,886  

Shanghai Mechanical & Electrical Industry Co. Ltd., Class B

   Machinery        1,200          1,022  

Shanghai Moons’ Electric Co. Ltd., Class A

   Electrical Equipment        200          1,102  

Shanghai Pharmaceuticals Holding Co. Ltd., Class A

   Health Care Providers & Services        1,200          3,141  

Shanghai Pharmaceuticals Holding Co. Ltd., Class H

   Health Care Providers & Services        3,000          4,511  

Shanghai Pudong Development Bank Co. Ltd., Class A

   Banks        8,400          9,469  

Shanghai Putailai New Energy Technology Co. Ltd., Class A

   Chemicals        600          1,161  

Shanghai RAAS Blood Products Co. Ltd., Class A

   Biotechnology        1,800          1,928  

Shanghai Rural Commercial Bank Co. Ltd., Class A

   Banks        1,200          1,105  

Shanghai Stonehill Technology Co. Ltd., Class A

   Software        1,200          413  

Shanghai Tunnel Engineering Co. Ltd., Class A

   Construction & Engineering        1,200          1,073  

Shanghai Waigaoqiao Free Trade Zone Group Co. Ltd., Class B

   Trading Companies & Distributors        1,200          882  

Shanghai Yuyuan Tourist Mart Group Co. Ltd., Class A

   Specialty Retail        1,200          846  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Shanghai Zhangjiang High-Tech Park Development Co. Ltd., Class A

   Real Estate Management & Development        600          1,519  

a Shanghai Zhenhua Heavy Industries Co. Ltd., Class B

   Machinery        4,200          823  

Shangri-La Asia Ltd.

   Hotels, Restaurants & Leisure        4,000          2,751  

Shanxi Coal International Energy Group Co. Ltd., Class A

   Trading Companies & Distributors        600          1,201  

a Shanxi Coking Coal Energy Group Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,800          2,542  

Shanxi Lu’an Environmental Energy Development Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,200          2,980  

a Shanxi Meijin Energy Co. Ltd., Class A

   Metals & Mining        1,200          782  

Shanxi Securities Co. Ltd., Class A

   Capital Markets        1,200          773  

a Shanxi Taigang Stainless Steel Co. Ltd., Class A

   Metals & Mining        1,800          833  

a Shanxi Xinghuacun Fen Wine Factory Co. Ltd., Class A

   Beverages        400          11,554  

Shenergy Co. Ltd., Class A

   Independent Power Producers & Energy Traders        1,200          1,451  

Shenghe Resources Holding Co. Ltd., Class A

   Metals & Mining        600          708  

Shengyi Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          1,731  

Shenwan Hongyuan Group Co. Ltd., Class A

   Capital Markets        6,600          3,896  

a,b Shenwan Hongyuan Group Co. Ltd., Class H

   Capital Markets        4,800          910  

Shenzhen Airport Co. Ltd., Class A

   Transportation Infrastructure        600          525  

Shenzhen Energy Group Co. Ltd., Class A

   Independent Power Producers & Energy Traders        1,200          1,200  

Shenzhen Expressway Corp. Ltd., Class H

   Transportation Infrastructure        2,000          1,865  

Shenzhen Gas Corp. Ltd., Class A

   Gas Utilities        600          549  

Shenzhen Inovance Technology Co. Ltd., Class A

   Machinery        700          4,919  

Shenzhen International Holdings Ltd.

   Transportation Infrastructure        6,000          4,788  

Shenzhen Kaifa Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          1,243  

Shenzhen Kangtai Biological Products Co. Ltd., Class A

   Biotechnology        680          1,454  

Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A

   Health Care Equipment & Supplies        300          11,954  

Shenzhen MTC Co. Ltd., Class A

   Household Durables        1,800          1,186  

a Shenzhen Overseas Chinese Town Co. Ltd., Class A

   Real Estate Management & Development        2,400          671  

Shenzhen Salubris Pharmaceuticals Co. Ltd., Class A

   Pharmaceuticals        300          1,094  

Shenzhen SED Industry Co. Ltd., Class A

   Construction & Engineering        600          1,231  

Shenzhen Sunway Communication Co. Ltd., Class A

   Communications Equipment        400          1,073  

Shenzhen Transsion Holdings Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        374          3,921  

Shenzhen Yan Tian Port Holding Co. Ltd., Class A

   Transportation Infrastructure        600          372  

a Shenzhen Zhongjin Lingnan Nonfemet Co. Ltd., Class A

   Metals & Mining        1,200          697  

Shenzhou International Group Holdings Ltd.

   Textiles, Apparel & Luxury Goods        3,000          29,376  

Shijiazhuang Yiling Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        620          1,302  

a Siasun Robot & Automation Co. Ltd., Class A

   Machinery        600          800  

Sichuan Chuantou Energy Co. Ltd., Class A

   Independent Power Producers & Energy Traders        1,200          3,082  

a Sichuan Hebang Biotechnology Co. Ltd., Class A

   Chemicals        3,000          678  

Sichuan Kelun Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        600          2,493  

a Sichuan Road & Bridge Group Co. Ltd., Class A

   Construction & Engineering        1,800          1,945  

Sieyuan Electric Co. Ltd., Class A

   Electrical Equipment        400          3,665  

Silergy Corp.

   Semiconductors & Semiconductor Equipment        1,200          17,089  

a Sinolink Securities Co. Ltd., Class A

   Capital Markets        1,200          1,241  

Sinoma International Engineering Co., Class A

   Construction & Engineering        600          991  

Sinoma Science & Technology Co. Ltd., Class A

   Chemicals        600          1,060  

Sinopec Engineering Group Co. Ltd., Class H

   Construction & Engineering        6,000          4,150  

a Sinopec Oilfield Service Corp., Class A

   Energy Equipment & Services        1,200          286  

a Sinopec Shanghai Petrochemical Co. Ltd., Class A

   Chemicals        1,800          643  

a Sinopec Shanghai Petrochemical Co. Ltd., Class H

   Chemicals        12,000          1,691  

Sinopharm Group Co. Ltd., Class H

   Health Care Providers & Services        4,800          12,757  

Sinotrans Ltd., Class A

   Air Freight & Logistics        1,200          925  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Sinotrans Ltd., Class H

   Air Freight & Logistics        6,000          2,920  

Sinotruk Hong Kong Ltd.

   Machinery        3,000          7,800  

SITC International Holdings Co. Ltd.

   Marine Transportation        5,000          13,577  

Skshu Paint Co. Ltd., Class A

   Chemicals        140          696  

b Smoore International Holdings Ltd.

   Tobacco        6,960          8,442  

Songcheng Performance Development Co. Ltd., Class A

   Hotels, Restaurants & Leisure        600          660  

SooChow Securities Co. Ltd., Class A

   Capital Markets        1,200          970  

Southwest Securities Co. Ltd., Class A

   Capital Markets        2,400          1,177  

a Spring Airlines Co. Ltd., Class A

   Passenger Airlines        200          1,543  

StarPower Semiconductor Ltd., Class A

   Semiconductors & Semiconductor Equipment        140          1,651  

Sun Art Retail Group Ltd.

   Consumer Staples Distribution & Retail        9,000          1,718  

Sungrow Power Supply Co. Ltd., Class A

   Electrical Equipment        660          5,608  

Sunny Optical Technology Group Co. Ltd.

   Electronic Equipment, Instruments & Components        2,400          14,832  

Sunwoda Electronic Co. Ltd., Class A

   Electrical Equipment        600          1,247  

SUPCON Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        358          1,849  

Suzhou Dongshan Precision Manufacturing Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          1,701  

Suzhou TFC Optical Communication Co. Ltd., Class A

   Communications Equipment        140          1,696  

a TAL Education Group, ADR

   Diversified Consumer Services        1,500          16,005  

a Tangshan Jidong Cement Co. Ltd., Class A

   Construction Materials        600          334  

TangShan Port Group Co. Ltd., Class A

   Transportation Infrastructure        1,800          1,159  

Tangshan Sanyou Chemical Industries Co. Ltd., Class A

   Chemicals        600          413  

TBEA Co. Ltd., Class A

   Electrical Equipment        1,420          2,698  

TCL Technology Group Corp., Class A

   Electronic Equipment, Instruments & Components        5,400          3,195  

a TCL Zhonghuan Renewable Energy Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,200          1,422  

Tencent Holdings Ltd.

   Interactive Media & Services        24,000          1,144,760  

Tencent Music Entertainment Group, ADR

   Entertainment        2,400          33,720  

Thunder Software Technology Co. Ltd., Class A

   Software        200          1,249  

Tian Di Science & Technology Co. Ltd., Class A

   Machinery        1,200          1,132  

a Tianfeng Securities Co. Ltd., Class A

   Capital Markets        2,400          717  

Tianjin Chase Sun Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        1,200          501  

a Tianma Microelectronics Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          598  

Tianqi Lithium Corp., Class A

   Chemicals        600          2,458  

Tianqi Lithium Corp., Class H

   Chemicals        800          2,295  

Tianshan Aluminum Group Co. Ltd., Class A

   Metals & Mining        600          666  

TianShan Material Co. Ltd., Class A

   Construction Materials        600          444  

Tianshui Huatian Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,200          1,340  

Tingyi Cayman Islands Holding Corp.

   Food Products        6,000          7,232  

a Titan Wind Energy Suzhou Co. Ltd., Class A

   Electrical Equipment        600          735  

d Tongcheng Travel Holdings Ltd.

   Hotels, Restaurants & Leisure        4,800          9,554  

TongFu Microelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        600          1,840  

a Tongkun Group Co. Ltd., Class A

   Chemicals        600          1,312  

Tongling Nonferrous Metals Group Co. Ltd., Class A

   Metals & Mining        3,600          1,780  

Tongwei Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,200          3,141  

a Topchoice Medical Corp., Class A

   Health Care Providers & Services        100          740  

b Topsports International Holdings Ltd.

   Specialty Retail        12,000          6,379  

TravelSky Technology Ltd., Class H

   Hotels, Restaurants & Leisure        5,000          5,866  

Trina Solar Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,200          2,781  

a Trip.com Group Ltd.

   Hotels, Restaurants & Leisure        2,000          95,960  

a Tsinghua Tongfang Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        1,200          837  

Tsingtao Brewery Co. Ltd., Class A

   Beverages        400          3,987  

a Tsingtao Brewery Co. Ltd., Class H

   Beverages        2,400          16,016  

a Tuya, Inc., ADR

   Software        864          1,477  

Unigroup Guoxin Microelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        319          2,298  

Uni-President China Holdings Ltd.

   Food Products        5,000          4,566  

Unisplendour Corp. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          1,837  

Vipshop Holdings Ltd., ADR

   Broadline Retail        1,308          17,030  

Walvax Biotechnology Co. Ltd., Class A

   Biotechnology        600          935  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Wanda Film Holding Co. Ltd., Class A

   Entertainment        600          994  

Wangsu Science & Technology Co. Ltd., Class A

   IT Services        600          649  

Wanhua Chemical Group Co. Ltd., Class A

   Chemicals        800          8,860  

Want Want China Holdings Ltd.

   Food Products        18,000          10,882  

Wanxiang Qianchao Co. Ltd., Class A

   Automobile Components        1,200          733  

Weibo Corp., ADR

   Interactive Media & Services        300          2,304  

Weichai Power Co. Ltd., Class A

   Machinery        1,800          4,004  

Weichai Power Co. Ltd., Class H

   Machinery        8,000          15,309  

Weifu High-Technology Group Co. Ltd., Class B

   Automobile Components        600          895  

Wens Foodstuffs Group Co. Ltd., Class A

   Food Products        1,800          4,887  

Western Mining Co. Ltd., Class A

   Metals & Mining        600          1,475  

Western Securities Co. Ltd., Class A

   Capital Markets        1,200          1,017  

Will Semiconductor Co. Ltd. Shanghai, Class A

   Semiconductors & Semiconductor Equipment        600          8,166  

a Wingtech Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          2,322  

Winning Health Technology Group Co. Ltd., Class A

   Health Care Technology        600          485  

a Wintime Energy Group Co. Ltd., Class A

   Independent Power Producers & Energy Traders        6,000          970  

Wuchan Zhongda Group Co. Ltd., Class A

   Distributors        1,800          1,070  

Wuhan Guide Infrared Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        1,200          968  

a Wuliangye Yibin Co. Ltd., Class A

   Beverages        1,200          21,045  

WUS Printed Circuit Kunshan Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          3,000  

WuXi AppTec Co. Ltd., Class A

   Life Sciences Tools & Services        800          4,294  

b WuXi AppTec Co. Ltd., Class H

   Life Sciences Tools & Services        1,200          4,488  

a,b Wuxi Biologics Cayman, Inc.

   Life Sciences Tools & Services        14,440          21,344  

a XCMG Construction Machinery Co. Ltd., Class A

   Machinery        3,600          3,526  

Xiamen C & D, Inc., Class A

   Trading Companies & Distributors        600          734  

Xiamen ITG Group Corp. Ltd., Class A

   Trading Companies & Distributors        600          589  

Xiamen Tungsten Co. Ltd., Class A

   Metals & Mining        600          1,418  

Xiangcai Co. Ltd., Class A

   Real Estate Management & Development        600          490  

a,b Xiaomi Corp., Class B

   Technology Hardware, Storage & Peripherals        55,200          116,517  

Xinxing Ductile Iron Pipes Co. Ltd., Class A

   Metals & Mining        1,800          858  

Xinyi Solar Holdings Ltd.

   Semiconductors & Semiconductor Equipment        16,500          8,306  

a XPeng, Inc., Class A

   Automobiles        4,800          18,167  

Xtep International Holdings Ltd.

   Textiles, Apparel & Luxury Goods        3,000          1,848  

Xuji Electric Co. Ltd., Class A

   Electrical Equipment        400          1,885  

b Yadea Group Holdings Ltd.

   Automobiles        4,200          5,310  

a,c Yango Group Co. Ltd., Class A

   Real Estate Management & Development        2,100           

Yangzijiang Shipbuilding Holdings Ltd.

   Machinery        10,200          18,515  

Yankuang Energy Group Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        1,200          3,736  

Yankuang Energy Group Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        11,700          16,724  

Yantai Changyu Pioneer Wine Co. Ltd., Class B

   Beverages        1,200          1,446  

Yealink Network Technology Corp. Ltd., Class A

   Communications Equipment        420          2,115  

Yifeng Pharmacy Chain Co. Ltd., Class A

   Consumer Staples Distribution & Retail        316          1,063  

Yihai International Holding Ltd.

   Food Products        2,000          3,356  

Yihai Kerry Arawana Holdings Co. Ltd., Class A

   Food Products        600          2,248  

Yintai Gold Co. Ltd., Class A

   Metals & Mining        900          2,008  

a Yonghui Superstores Co. Ltd., Class A

   Consumer Staples Distribution & Retail        2,400          815  

a Yonyou Network Technology Co. Ltd., Class A

   Software        1,200          1,644  

Youngor Fashion Co. Ltd., Class A

   Real Estate Management & Development        1,200          1,170  

YTO Express Group Co. Ltd., Class A

   Air Freight & Logistics        1,200          2,572  

a Yuan Longping High-tech Agriculture Co. Ltd., Class A

   Food Products        600          808  

Yuexiu Property Co. Ltd.

   Real Estate Management & Development        6,000          3,919  

Yum China Holdings, Inc.

   Hotels, Restaurants & Leisure        1,500          46,379  

Yunnan Aluminium Co. Ltd., Class A

   Metals & Mining        1,200          2,221  

Yunnan Baiyao Group Co. Ltd., Class A

   Pharmaceuticals        600          4,204  

Yunnan Chihong Zinc&Germanium Co. Ltd., Class A

   Metals & Mining        1,200          878  

Yunnan Copper Co. Ltd., Class A

   Metals & Mining        600          1,024  

Yunnan Energy New Material Co. Ltd., Class A

   Chemicals        400          1,734  

Yunnan Tin Co. Ltd., Class A

   Metals & Mining        600          1,273  

Yunnan Yuntianhua Co. Ltd., Class A

   Chemicals        600          1,596  

Yutong Bus Co. Ltd., Class A

   Machinery        600          2,120  

a Zai Lab Ltd.

   Biotechnology        3,600          6,179  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Zhangzhou Pientzehuang Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        200          5,675  

Zhaojin Mining Industry Co. Ltd., Class H

   Metals & Mining        6,000          10,067  

Zhefu Holding Group Co. Ltd., Class A

   Commercial Services & Supplies        1,800          688  

a Zhejiang Century Huatong Group Co. Ltd., Class A

   Entertainment        2,400          1,128  

Zhejiang China Commodities City Group Co. Ltd., Class A

   Broadline Retail        1,800          1,829  

Zhejiang Chint Electrics Co. Ltd., Class A

   Electrical Equipment        600          1,566  

Zhejiang Crystal-Optech Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          1,395  

Zhejiang Dahua Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        1,200          2,541  

Zhejiang Expressway Co. Ltd., Class H

   Transportation Infrastructure        6,000          4,050  

Zhejiang Huahai Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        600          1,401  

Zhejiang Huayou Cobalt Co. Ltd., Class A

   Metals & Mining        600          1,819  

Zhejiang Jingsheng Mechanical & Electrical Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        600          2,361  

Zhejiang Juhua Co. Ltd., Class A

   Chemicals        1,200          3,966  

a,b Zhejiang Leapmotor Technology Co. Ltd.

   Automobiles        2,400          8,238  

Zhejiang Longsheng Group Co. Ltd., Class A

   Chemicals        1,200          1,412  

Zhejiang NHU Co. Ltd., Class A

   Chemicals        1,200          3,156  

Zhejiang Sanhua Intelligent Controls Co. Ltd., Class A

   Machinery        600          1,568  

Zhejiang Wanfeng Auto Wheel Co. Ltd., Class A

   Automobile Components        600          1,088  

Zhejiang Weixing New Building Materials Co. Ltd., Class A

   Building Products        600          1,267  

a Zhejiang Zheneng Electric Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        2,400          2,337  

Zhengzhou Coal Mining Machinery Group Co.

            

Ltd., Class A

   Machinery        600          1,216  

a,b ZhongAn Online P&C Insurance Co. Ltd., Class H

   Insurance        3,000          5,218  

Zhongji Innolight Co. Ltd., Class A

   Communications Equipment        280          5,288  

Zhongjin Gold Corp. Ltd., Class A

   Metals & Mining        1,200          2,433  

Zhongshan Public Utilities Group Co. Ltd., Class A

   Water Utilities        600          593  

Zhongsheng Group Holdings Ltd.

   Specialty Retail        3,000          4,388  

Zhongtai Securities Co. Ltd., Class A

   Capital Markets        600          466  

a Zhuhai Huafa Properties Co. Ltd., Class A

   Real Estate Management & Development        600          534  

a Zhuzhou CRRC Times Electric Co. Ltd., Class H

   Machinery        1,800          7,101  

Zhuzhou Kibing Group Co. Ltd., Class A

   Building Products        600          530  

Zijin Mining Group Co. Ltd., Class A

   Metals & Mining        5,400          12,995  

Zijin Mining Group Co. Ltd., Class H

   Metals & Mining        22,000          46,438  

Zoomlion Heavy Industry Science & Technology Co. Ltd., Class A

   Machinery        2,400          2,525  

Zoomlion Heavy Industry Science & Technology Co. Ltd., Class H

   Machinery        6,000          3,881  

a ZTE Corp., Class A

   Communications Equipment        1,200          4,597  

a ZTE Corp., Class H

   Communications Equipment        2,400          5,312  
            

 

 

 
                 7,773,245  
            

 

 

 

Hong Kong 4.7%

            

AIA Group Ltd.

   Insurance        42,800          290,545  

a Alibaba Health Information Technology Ltd., Class A

   Consumer Staples Distribution & Retail        24,000          9,622  

a Alibaba Pictures Group Ltd., Class A

   Entertainment        60,000          3,189  

ASMPT Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,200          16,738  

Bank of East Asia Ltd., Class A

   Banks        4,800          6,099  

Beijing Enterprises Water Group Ltd., Class A

   Water Utilities        12,000          3,689  

Bosideng International Holdings Ltd., Class A

   Textiles, Apparel & Luxury Goods        14,000          8,733  

Cathay Pacific Airways Ltd., Class A

   Passenger Airlines        4,000          4,094  

Champion REIT, Class A

   Office REITs        6,000          1,207  

China Everbright Environment Group Ltd., Class B

   Commercial Services & Supplies        12,000          6,025  

China Everbright Ltd., Class A

   Capital Markets        4,000          2,024  

China Gas Holdings Ltd., Class A

   Gas Utilities        10,800          9,683  

China Mengniu Dairy Co. Ltd., Class B

   Food Products        12,000          21,518  

China Power International Development Ltd., Class H

   Independent Power Producers & Energy Traders        18,000          9,337  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

China Resources Beer Holdings Co. Ltd., Class A

   Beverages        6,000          20,173  

China Resources Gas Group Ltd., Class A

   Gas Utilities        3,600          12,611  

China Resources Land Ltd., Class H

   Real Estate Management & Development        10,800          36,727  

China State Construction International Holdings Ltd., Class A

   Construction & Engineering        8,000          10,923  

a China Traditional Chinese Medicine Holdings Co. Ltd.

   Pharmaceuticals        12,000          5,579  

CK Asset Holdings Ltd.

   Real Estate Management & Development        7,200          26,974  

CK Infrastructure Holdings Ltd., Class A

   Electric Utilities        2,400          13,556  

CLP Holdings Ltd.

   Electric Utilities        6,000          48,493  

COSCO SHIPPING Ports Ltd., Class B

   Transportation Infrastructure        6,000          4,142  

DFI Retail Group Holdings Ltd., Class A

   Consumer Staples Distribution & Retail        1,200          2,280  

Far East Horizon Ltd.

   Financial Services        6,000          3,904  

Geely Automobile Holdings Ltd.

   Automobiles        21,000          23,643  

Guangdong Investment Ltd.

   Water Utilities        12,000          7,024  

Hang Lung Group Ltd.

   Real Estate Management & Development        3,000          3,266  

Hang Lung Properties Ltd.

   Real Estate Management & Development        7,000          5,971  

Hang Seng Bank Ltd.

   Banks        3,000          38,579  

Henderson Land Development Co. Ltd.

   Real Estate Management & Development        5,000          13,417  

Hong Kong & China Gas Co. Ltd.

   Gas Utilities        42,000          31,954  

Hong Kong Exchanges & Clearing Ltd.

   Capital Markets        4,800          153,823  

Hongkong Land Holdings Ltd.

   Real Estate Management & Development        4,200          13,566  

Hutchison Port Holdings Trust

   Transportation Infrastructure        19,800          2,534  

Hysan Development Co. Ltd.

   Real Estate Management & Development        2,000          2,874  

a J&T Global Express Ltd.

   Air Freight & Logistics        26,400          24,109  

Jardine Matheson Holdings Ltd.

   Industrial Conglomerates        750          26,535  

Johnson Electric Holdings Ltd.

   Automobile Components        1,000          1,506  

Kerry Properties Ltd.

   Real Estate Management & Development        2,500          4,348  

Kingboard Laminates Holdings Ltd.

   Electronic Equipment, Instruments & Components        3,000          3,228  

Kunlun Energy Co. Ltd.

   Gas Utilities        14,000          14,525  

Link REIT

   Retail REITs        9,600          37,318  

Man Wah Holdings Ltd.

   Household Durables        4,800          3,295  

a Melco International Development Ltd.

   Hotels, Restaurants & Leisure        4,000          2,690  

MTR Corp. Ltd.

   Ground Transportation        5,500          17,365  

New World Development Co. Ltd.

   Real Estate Management & Development        6,000          5,618  

NWS Holdings Ltd.

   Industrial Conglomerates        3,000          2,663  

Orient Overseas International Ltd.

   Marine Transportation        600          9,737  

PCCW Ltd.

   Diversified Telecommunication Services        18,000          9,015  

Power Assets Holdings Ltd.

   Electric Utilities        6,000          32,469  

Shanghai Industrial Holdings Ltd.

   Industrial Conglomerates        2,000          2,987  

Sino Biopharmaceutical Ltd.

   Pharmaceuticals        36,000          12,311  

Sino Land Co. Ltd.

   Real Estate Management & Development        13,300          13,713  

Sun Hung Kai Properties Ltd.

   Real Estate Management & Development        5,400          46,721  

Swire Pacific Ltd., Class A

   Real Estate Management & Development        1,500          13,257  

Swire Pacific Ltd., Class B

   Real Estate Management & Development        2,500          3,356  

Swire Properties Ltd.

   Real Estate Management & Development        3,600          5,736  

Techtronic Industries Co. Ltd.

   Machinery        5,000          57,125  

United Energy Group Ltd.

   Oil, Gas & Consumable Fuels        24,000          938  

Vitasoy International Holdings Ltd.

   Food Products        3,000          2,267  

VTech Holdings Ltd.

   Communications Equipment        600          4,488  

b WH Group Ltd.

   Food Products        30,000          19,751  

Wharf Holdings Ltd.

   Real Estate Management & Development        3,600          10,121  

Wharf Real Estate Investment Co. Ltd.

   Real Estate Management & Development        6,000          15,908  

Xinyi Glass Holdings Ltd.

   Building Products        8,400          9,210  

Yue Yuen Industrial Holdings Ltd.

   Textiles, Apparel & Luxury Goods        3,000          5,802  
            

 

 

 
               1,292,628  
            

 

 

 

India 23.8%

            

3M India Ltd.

   Industrial Conglomerates        12          5,296  

Aarti Industries Ltd.

   Chemicals        798          6,567  

ABB India Ltd.

   Electrical Equipment        204          20,772  

ACC Ltd.

   Construction Materials        318          9,988  

a Adani Energy Solutions Ltd.

   Electric Utilities        1,320          15,788  

Adani Enterprises Ltd.

   Trading Companies & Distributors        1,194          45,493  

a Adani Green Energy Ltd.

   Independent Power Producers & Energy Traders        1,596          34,237  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Adani Ports & Special Economic Zone Ltd.

   Transportation Infrastructure        2,814          49,880  

a Adani Power Ltd.

   Independent Power Producers & Energy Traders        4,416          38,055  

Adani Total Gas Ltd.

   Gas Utilities        1,080          11,605  

a Adani Wilmar Ltd.

   Food Products        618          2,461  

a Aditya Birla Capital Ltd.

   Financial Services        1,920          5,496  

AIA Engineering Ltd.

   Machinery        150          7,517  

Alkem Laboratories Ltd.

   Pharmaceuticals        204          12,211  

Ambuja Cements Ltd.

   Construction Materials        2,760          22,184  

APL Apollo Tubes Ltd.

   Metals & Mining        756          14,101  

Apollo Hospitals Enterprise Ltd.

   Health Care Providers & Services        378          28,040  

Ashok Leyland Ltd.

   Machinery        5,304          15,386  

Asian Paints Ltd.

   Chemicals        1,734          60,659  

Astral Ltd.

   Building Products        462          13,191  

b AU Small Finance Bank Ltd.

   Banks        1,404          11,315  

Aurobindo Pharma Ltd.

   Pharmaceuticals        1,008          14,598  

a,b Avenue Supermarts Ltd.

   Consumer Staples Distribution & Retail        564          31,902  

Axis Bank Ltd.

   Banks        8,730          132,462  

Bajaj Auto Ltd.

   Automobiles        258          29,398  

Bajaj Finance Ltd.

   Consumer Finance        954          81,406  

Bajaj Finserv Ltd.

   Financial Services        1,446          27,540  

Bajaj Holdings & Investment Ltd.

   Financial Services        102          10,442  

Balkrishna Industries Ltd.

   Automobile Components        312          12,082  

b Bandhan Bank Ltd.

   Banks        3,078          7,522  

Bank of Baroda

   Banks        3,912          12,920  

Bank of India

   Banks        3,552          5,133  

Bata India Ltd.

   Textiles, Apparel & Luxury Goods        252          4,575  

Bayer CropScience Ltd.

   Chemicals        48          3,864  

Berger Paints India Ltd.

   Chemicals        1,134          6,857  

Bharat Electronics Ltd.

   Aerospace & Defense        13,650          50,074  

Bharat Forge Ltd.

   Automobile Components        954          19,110  

Bharat Heavy Electricals Ltd.

   Electrical Equipment        4,896          17,664  

a Bharat Petroleum Corp. Ltd.

   Oil, Gas & Consumable Fuels        3,888          14,172  

Bharat Petroleum Corp. Ltd.

   Oil, Gas & Consumable Fuels        3,888          14,172  

Bharti Airtel Ltd.

   Wireless Telecommunication Services        570          7,129  

Bharti Airtel Ltd.

   Wireless Telecommunication Services        10,152          175,806  

Biocon Ltd.

   Biotechnology        1,740          7,326  

Bosch Ltd.

   Automobile Components        30          12,262  

a Britannia Industries Ltd.

   Food Products        450          29,549  

Canara Bank

   Banks        7,080          10,144  

Castrol India Ltd.

   Chemicals        1,842          4,431  

CG Power & Industrial Solutions Ltd.

   Electrical Equipment        2,406          20,333  

Cholamandalam Investment & Finance Co. Ltd.

   Consumer Finance        1,554          26,528  

Cipla Ltd.

   Pharmaceuticals        2,040          36,226  

Coal India Ltd.

   Oil, Gas & Consumable Fuels        8,658          49,126  

Coforge Ltd.

   IT Services        222          14,533  

Colgate-Palmolive India Ltd.

   Personal Care Products        516          17,593  

Container Corp. of India Ltd.

   Ground Transportation        1,068          13,351  

Coromandel International Ltd.

   Chemicals        498          9,560  

Cummins India Ltd.

   Machinery        510          24,261  

Dabur India Ltd.

   Personal Care Products        2,268          16,338  

Dalmia Bharat Ltd.

   Construction Materials        324          7,046  

Deepak Nitrite Ltd.

   Chemicals        270          8,101  

Divi’s Laboratories Ltd.

   Life Sciences Tools & Services        486          26,789  

d Dixon Technologies India Ltd.

   Household Durables        138          19,812  

DLF Ltd.

   Real Estate Management & Development        2,364          23,381  

b Dr Lal PathLabs Ltd.

   Health Care Providers & Services        132          4,402  

Dr Reddy’s Laboratories Ltd.

   Pharmaceuticals        462          35,472  

Eicher Motors Ltd.

   Automobiles        528          29,589  

Emami Ltd.

   Personal Care Products        810          6,696  

Embassy Office Parks REIT

   Office REITs        3,408          14,522  

Exide Industries Ltd.

   Automobile Components        1,788          12,104  

Federal Bank Ltd.

   Banks        7,002          14,884  

a FSN E-Commerce Ventures Ltd.

   Specialty Retail        5,292          11,197  

GAIL India Ltd.

   Gas Utilities        10,272          27,045  

b General Insurance Corp. of India

   Insurance        378          1,717  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

GlaxoSmithKline Pharmaceuticals Ltd.

   Pharmaceuticals        162          5,150  

Glenmark Pharmaceuticals Ltd.

   Pharmaceuticals        570          8,411  

a GMR Airports Infrastructure Ltd.

   Transportation Infrastructure        9,456          10,951  

Godrej Consumer Products Ltd.

   Personal Care Products        1,374          22,670  

a Godrej Industries Ltd.

   Industrial Conglomerates        258          2,648  

a Godrej Properties Ltd.

   Real Estate Management & Development        396          15,234  

Grasim Industries Ltd.

   Construction Materials        1,470          47,076  

Gujarat Fluorochemicals Ltd.

   Chemicals        156          5,972  

Gujarat Gas Ltd.

   Gas Utilities        798          6,014  

Havells India Ltd.

   Electrical Equipment        900          19,669  

HCL Technologies Ltd.

   IT Services        4,038          70,680  

b HDFC Asset Management Co. Ltd.

   Capital Markets        390          18,677  

HDFC Bank Ltd.

   Banks        21,492          433,977  

b HDFC Life Insurance Co. Ltd.

   Insurance        3,732          26,631  

Hero MotoCorp Ltd.

   Automobiles        504          33,724  

Hindalco Industries Ltd.

   Metals & Mining        5,274          43,865  

d Hindustan Aeronautics Ltd.

   Aerospace & Defense        720          45,454  

Hindustan Petroleum Corp. Ltd.

   Oil, Gas & Consumable Fuels        2,364          9,415  

a Hindustan Petroleum Corp. Ltd.

   Oil, Gas & Consumable Fuels        1,182          4,707  

Hindustan Unilever Ltd.

   Personal Care Products        3,390          100,538  

Hindustan Zinc Ltd.

   Metals & Mining        918          7,372  

Honeywell Automation India Ltd.

   Electronic Equipment, Instruments & Components        6          4,081  

ICICI Bank Ltd.

   Banks        12,078          173,752  

b ICICI Lombard General Insurance Co. Ltd.

   Insurance        936          20,087  

b ICICI Prudential Life Insurance Co. Ltd.

   Insurance        1,494          10,852  

IDBI Bank Ltd.

   Banks        2,400          2,417  

a IDFC First Bank Ltd.

   Banks        13,488          13,289  

Indian Bank

   Banks        1,050          6,869  

Indian Hotels Co. Ltd.

   Hotels, Restaurants & Leisure        3,228          24,196  

Indian Oil Corp. Ltd.

   Oil, Gas & Consumable Fuels        15,984          31,749  

Indian Railway Catering & Tourism Corp. Ltd.

   Commercial Services & Supplies        1,170          13,880  

b Indian Railway Finance Corp. Ltd.

   Financial Services        6,948          14,482  

a Indian Renewable Energy Development Agency Ltd.

   Financial Services        2,592          5,920  

Indraprastha Gas Ltd.

   Gas Utilities        1,362          8,227  

a Indus Towers Ltd.

   Diversified Telecommunication Services        5,046          22,710  

Info Edge India Ltd.

   Interactive Media & Services        288          23,437  

Infosys Ltd.

   IT Services        13,398          251,732  

a,b InterGlobe Aviation Ltd.

   Passenger Airlines        624          31,641  

Ipca Laboratories Ltd.

   Pharmaceuticals        516          6,991  

ITC Ltd.

   Tobacco        11,448          58,333  

Jindal Stainless Ltd.

   Metals & Mining        1,212          11,955  

Jindal Steel & Power Ltd.

   Metals & Mining        1,470          18,411  

a Jio Financial Services Ltd.

   Financial Services        12,054          51,772  

JSW Energy Ltd.

   Independent Power Producers & Energy Traders        2,052          18,075  

a JSW Infrastructure Ltd.

   Transportation Infrastructure        948          3,733  

JSW Steel Ltd.

   Metals & Mining        3,840          42,896  

Jubilant Foodworks Ltd.

   Hotels, Restaurants & Leisure        1,410          9,524  

Kalyan Jewellers India Ltd.

   Textiles, Apparel & Luxury Goods        1,518          9,123  

Kansai Nerolac Paints Ltd.

   Chemicals        798          2,585  

Kotak Mahindra Bank Ltd.

   Banks        1,878          40,595  

KPIT Technologies Ltd.

   Software        618          12,115  

L&T Finance Ltd.

   Financial Services        3,252          7,065  

b L&T Technology Services Ltd.

   Professional Services        102          6,005  

Larsen & Toubro Ltd.

   Construction & Engineering        2,574          109,533  

b Laurus Labs Ltd.

   Pharmaceuticals        1,548          7,881  

LIC Housing Finance Ltd.

   Financial Services        1,176          11,237  

Linde India Ltd.

   Chemicals        84          8,360  

b LTIMindtree Ltd.

   IT Services        348          22,473  

Lupin Ltd.

   Pharmaceuticals        918          17,849  

b Macrotech Developers Ltd.

   Real Estate Management & Development        1,002          18,067  

Mahindra & Mahindra Financial Services Ltd.

   Consumer Finance        2,310          8,327  

Mahindra & Mahindra Ltd.

   Automobiles        3,702          127,265  

Mangalore Refinery & Petrochemicals Ltd.

   Oil, Gas & Consumable Fuels        672          1,727  

a Mankind Pharma Ltd.

   Pharmaceuticals        372          9,499  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Marico Ltd.

   Food Products        2,022          14,864  

Maruti Suzuki India Ltd.

   Automobiles        528          76,197  

a Max Financial Services Ltd.

   Insurance        924          10,767  

Max Healthcare Institute Ltd.

   Health Care Providers & Services        2,490          28,088  

Mazagon Dock Shipbuilders Ltd.

   Aerospace & Defense        120          6,161  

Metro Brands Ltd.

   Specialty Retail        120          1,768  

Mphasis Ltd.

   IT Services        390          11,489  

MRF Ltd.

   Automobile Components        12          18,630  

Muthoot Finance Ltd.

   Consumer Finance        414          8,916  

Nestle India Ltd.

   Food Products        1,368          41,861  

b New India Assurance Co. Ltd.

   Insurance        852          2,421  

NHPC Ltd.

   Independent Power Producers & Energy Traders        11,610          14,020  

b Nippon Life India Asset Management Ltd.

   Capital Markets        558          4,312  

NLC India Ltd.

   Independent Power Producers & Energy Traders        678          1,953  

NMDC Ltd.

   Metals & Mining        4,482          13,225  

NTPC Ltd.

   Independent Power Producers & Energy Traders        18,078          82,024  

Oberoi Realty Ltd.

   Real Estate Management & Development        456          9,656  

Oil & Natural Gas Corp. Ltd.

   Oil, Gas & Consumable Fuels        14,808          48,693  

Oil India Ltd.

   Oil, Gas & Consumable Fuels        1,284          11,134  

a One 97 Communications Ltd.

   Financial Services        1,374          6,620  

Oracle Financial Services Software Ltd.

   Software        84          9,955  

Page Industries Ltd.

   Textiles, Apparel & Luxury Goods        24          11,253  

Patanjali Foods Ltd.

   Food Products        372          7,099  

a PB Fintech Ltd.

   Insurance        1,188          19,906  

Persistent Systems Ltd.

   IT Services        384          19,532  

Petronet LNG Ltd.

   Oil, Gas & Consumable Fuels        2,922          11,572  

Phoenix Mills Ltd.

   Real Estate Management & Development        366          15,750  

PI Industries Ltd.

   Chemicals        306          13,940  

Pidilite Industries Ltd.

   Chemicals        576          21,821  

a Piramal Enterprises Ltd.

   Financial Services        462          5,136  

a Polycab India Ltd.

   Electrical Equipment        186          15,033  

Poonawalla Fincorp Ltd.

   Consumer Finance        1,062          5,210  

Power Finance Corp. Ltd.

   Financial Services        5,532          32,182  

Power Grid Corp. of India Ltd.

   Electric Utilities        16,002          63,509  

Prestige Estates Projects Ltd.

   Real Estate Management & Development        486          11,030  

Punjab National Bank

   Banks        8,586          12,691  

d Rail Vikas Nigam Ltd.

   Construction & Engineering        2,160          10,791  

a Rajesh Exports Ltd.

   Textiles, Apparel & Luxury Goods        528          1,786  

b RBL Bank Ltd.

   Banks        1,722          5,431  

REC Ltd.

   Financial Services        4,740          29,865  

Relaxo Footwears Ltd.

   Textiles, Apparel & Luxury Goods        282          2,798  

Reliance Industries Ltd.

   Oil, Gas & Consumable Fuels        12,684          476,223  

Samvardhana Motherson International Ltd.

   Automobile Components        10,260          23,416  

SBI Cards & Payment Services Ltd.

   Consumer Finance        1,122          9,750  

b SBI Life Insurance Co. Ltd.

   Insurance        1,590          28,448  

Schaeffler India Ltd.

   Machinery        156          8,868  

Shree Cement Ltd.

   Construction Materials        54          18,048  

Shriram Finance Ltd.

   Consumer Finance        1,062          37,080  

Siemens Ltd.

   Industrial Conglomerates        336          31,044  

SJVN Ltd.

   Electric Utilities        2,814          4,442  

a Solar Industries India Ltd.

   Chemicals        90          10,815  

b Sona Blw Precision Forgings Ltd.

   Automobile Components        1,374          10,562  

SRF Ltd.

   Chemicals        528          15,425  

a Star Health & Allied Insurance Co. Ltd.

   Insurance        888          5,949  

State Bank of India

   Banks        6,822          69,453  

Steel Authority of India Ltd.

   Metals & Mining        5,640          10,054  

Sun Pharmaceutical Industries Ltd.

   Pharmaceuticals        4,152          75,726  

Sun TV Network Ltd.

   Media        330          2,977  

Sundaram Finance Ltd.

   Consumer Finance        252          14,179  

Supreme Industries Ltd.

   Chemicals        246          17,570  

a Suzlon Energy Ltd.

   Electrical Equipment        45,804          29,036  

b Syngene International Ltd.

   Life Sciences Tools & Services        660          5,620  

a Tata Communications Ltd.

   Diversified Telecommunication Services        444          9,874  

Tata Consultancy Services Ltd.

   IT Services        3,942          184,562  

Tata Consumer Products Ltd.

   Food Products        2,370          31,191  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Tata Elxsi Ltd.

   Software        126          10,579  

Tata Motors Ltd., Class A

   Automobiles        7,044          83,607  

Tata Motors Ltd., Class A

   Automobiles        1,488          11,877  

a Tata Power Co. Ltd.

   Electric Utilities        5,592          29,547  

Tata Steel Ltd.

   Metals & Mining        32,130          67,048  

Tata Technologies Ltd.

   IT Services        288          3,530  

a Tata Teleservices Maharashtra Ltd.

   Diversified Telecommunication Services        1,956          1,823  

Tech Mahindra Ltd.

   IT Services        2,322          39,829  

Thermax Ltd.

   Machinery        126          8,085  

Titan Co. Ltd.

   Textiles, Apparel & Luxury Goods        1,560          63,685  

Torrent Pharmaceuticals Ltd.

   Pharmaceuticals        372          12,452  

Torrent Power Ltd.

   Electric Utilities        840          15,094  

Trent Ltd.

   Specialty Retail        690          45,344  

Tube Investments of India Ltd.

   Automobile Components        330          16,856  

TVS Motor Co. Ltd.

   Automobiles        894          25,354  

UltraTech Cement Ltd.

   Construction Materials        438          61,287  

Union Bank of India Ltd.

   Banks        5,778          9,471  

United Breweries Ltd.

   Beverages        270          6,431  

United Spirits Ltd.

   Beverages        1,128          17,268  

UNO Minda Ltd.

   Automobile Components        606          7,936  

UPL Ltd.

   Chemicals        2,052          14,048  

Varun Beverages Ltd.

   Beverages        1,776          34,705  

Vedant Fashions Ltd.

   Textiles, Apparel & Luxury Goods        234          2,951  

Vedanta Ltd.

   Metals & Mining        5,358          29,171  

a Vodafone Idea Ltd.

   Wireless Telecommunication Services        80,814          17,338  

Voltas Ltd.

   Construction & Engineering        894          15,784  

Whirlpool of India Ltd.

   Household Durables        132          3,163  

Wipro Ltd.

   IT Services        5,370          33,155  

a Yes Bank Ltd.

   Banks        77,802          22,103  

a Zee Entertainment Enterprises Ltd.

   Media        3,228          5,876  

a Zomato Ltd.

   Hotels, Restaurants & Leisure        26,202          63,020  

Zydus Lifesciences Ltd.

   Pharmaceuticals        960          12,364  
            

 

 

 
               6,543,122  
            

 

 

 

Indonesia 1.9%

            

Adaro Energy Indonesia Tbk. PT, Class B

   Oil, Gas & Consumable Fuels        40,800          6,952  

a Amman Mineral Internasional PT

   Metals & Mining        48,000          32,244  

Astra Agro Lestari Tbk. PT, Class H

   Food Products        1,800          594  

Astra International Tbk. PT, Class H

   Industrial Conglomerates        78,600          21,408  

Avia Avian Tbk. PT

   Chemicals        55,200          1,736  

Bank Central Asia Tbk. PT, Class A

   Banks        211,200          128,010  

Bank Mandiri Persero Tbk. PT, Class A

   Banks        169,200          63,547  

Bank Negara Indonesia Persero Tbk. PT, Class H

   Banks        58,200          16,562  

Bank Rakyat Indonesia Persero Tbk. PT, Class A

   Banks        266,400          74,836  

Bank Syariah Indonesia Tbk. PT

   Banks        12,000          1,920  

Barito Pacific Tbk. PT, Class A

   Chemicals        101,562          6,140  

Bukit Asam Tbk. PT, Class A

   Oil, Gas & Consumable Fuels        15,600          2,334  

a Bumi Serpong Damai Tbk. PT, Class A

   Real Estate Management & Development        34,800          2,030  

Charoen Pokphand Indonesia Tbk. PT, Class A

   Food Products        28,200          8,740  

Dayamitra Telekomunikasi PT

   Diversified Telecommunication Services        69,600          2,741  

Elang Mahkota Teknologi Tbk. PT

   Media        97,200          2,303  

First Pacific Co. Ltd.

   Food Products        12,000          5,579  

a GoTo Gojek Tokopedia Tbk. PT

   Broadline Retail        3,714,000          11,340  

Gudang Garam Tbk. PT

   Tobacco        1,800          1,990  

Hanjaya Mandala Sampoerna Tbk. PT

   Tobacco        34,800          1,509  

Indah Kiat Pulp & Paper Tbk. PT

   Paper & Forest Products        10,200          5,544  

Indocement Tunggal Prakarsa Tbk. PT

   Construction Materials        5,400          2,391  

Indofood CBP Sukses Makmur Tbk. PT

   Food Products        9,000          5,661  

Indofood Sukses Makmur Tbk. PT

   Food Products        16,800          6,233  

Indosat Tbk. PT

   Wireless Telecommunication Services        5,400          3,528  

Jasa Marga Persero Tbk. PT

   Transportation Infrastructure        8,400          2,555  

Kalbe Farma Tbk. PT

   Pharmaceuticals        73,200          6,817  

Mayora Indah Tbk. PT

   Food Products        13,800          1,980  

a Merdeka Copper Gold Tbk. PT

   Metals & Mining        48,600          7,064  

Perusahaan Gas Negara Tbk. PT

   Gas Utilities        42,000          3,950  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Petrindo Jaya Kreasi Tbk. PT

   Oil, Gas & Consumable Fuels        6,600          3,527  

Sarana Menara Nusantara Tbk. PT

   Diversified Telecommunication Services        72,600          3,259  

Semen Indonesia Persero Tbk. PT

   Construction Materials        13,200          3,007  

a Smartfren Telecom Tbk. PT

   Wireless Telecommunication Services        498,600          1,157  

Sumber Alfaria Trijaya Tbk. PT

   Consumer Staples Distribution & Retail        73,200          12,293  

Telkom Indonesia Persero Tbk. PT, Class B

   Diversified Telecommunication Services        177,000          33,833  

Tower Bersama Infrastructure Tbk. PT

   Diversified Telecommunication Services        14,400          1,666  

Trimegah Bangun Persada Tbk. PT

   Metals & Mining        31,200          1,924  

Unilever Indonesia Tbk. PT

   Household Products        22,800          4,205  

United Tractors Tbk. PT

   Oil, Gas & Consumable Fuels        6,000          8,052  

a Vale Indonesia Tbk. PT

   Metals & Mining        8,400          2,165  

XL Axiata Tbk. PT

   Wireless Telecommunication Services        16,800          2,216  
            

 

 

 
               515,542  
            

 

 

 

Italy 0.0%

            

PRADA SpA

   Textiles, Apparel & Luxury Goods        1,800          13,464  
            

 

 

 

Luxembourg 0.0%

            

L’Occitane International SA

   Personal Care Products        1,500          6,379  
            

 

 

 

Macau 0.3%

            

Galaxy Entertainment Group Ltd.

   Hotels, Restaurants & Leisure        8,400          39,163  

MGM China Holdings Ltd.

   Hotels, Restaurants & Leisure        2,400          3,738  

a Sands China Ltd.

   Hotels, Restaurants & Leisure        9,600          20,018  

a SJM Holdings Ltd.

   Hotels, Restaurants & Leisure        6,000          2,036  

Wynn Macau Ltd.

   Hotels, Restaurants & Leisure        4,800          3,935  
            

 

 

 
               68,890  
            

 

 

 

Malaysia 1.9%

            

Alliance Bank Malaysia Bhd., Class A

   Banks        4,200          3,374  

AMMB Holdings Bhd.

   Banks        10,800          9,821  

Axiata Group Bhd., Class A

   Wireless Telecommunication Services        17,400          9,627  

CELCOMDIGI Bhd.

   Wireless Telecommunication Services        15,600          12,169  

CIMB Group Holdings Bhd., Class A

   Banks        31,800          45,838  

Dialog Group Bhd., Class A

   Energy Equipment & Services        15,000          7,599  

FGV Holdings Bhd.

   Food Products        1,800          488  

Fraser & Neave Holdings Bhd.

   Beverages        600          4,042  

Gamuda Bhd.

   Construction & Engineering        9,600          13,390  

Genting Bhd.

   Hotels, Restaurants & Leisure        8,400          8,387  

Genting Malaysia Bhd.

   Hotels, Restaurants & Leisure        10,800          5,838  

a Hartalega Holdings Bhd.

   Health Care Equipment & Supplies        6,600          4,589  

Hong Leong Bank Bhd.

   Banks        2,400          9,768  

Hong Leong Financial Group Bhd.

   Banks        600          2,198  

IHH Healthcare Bhd.

   Health Care Providers & Services        11,400          15,224  

IJM Corp. Bhd.

   Construction & Engineering        13,800          8,922  

IOI Corp. Bhd.

   Food Products        11,400          8,941  

Kuala Lumpur Kepong Bhd.

   Food Products        2,400          10,501  

Malayan Banking Bhd.

   Banks        28,800          60,805  

Malaysia Airports Holdings Bhd.

   Transportation Infrastructure        4,200          8,814  

Maxis Bhd.

   Wireless Telecommunication Services        11,400          8,530  

MISC Bhd.

   Marine Transportation        7,800          14,087  

b MR DIY Group M Bhd.

   Specialty Retail        15,600          6,415  

Nestle Malaysia Bhd.

   Food Products        240          6,181  

Petronas Chemicals Group Bhd.

   Chemicals        10,800          14,446  

Petronas Dagangan Bhd.

   Oil, Gas & Consumable Fuels        1,200          4,436  

Petronas Gas Bhd.

   Gas Utilities        3,600          13,599  

PPB Group Bhd.

   Food Products        2,400          7,275  

Press Metal Aluminium Holdings Bhd.

   Metals & Mining        13,800          16,850  

Public Bank Bhd.

   Banks        56,400          48,061  

QL Resources Bhd.

   Food Products        4,200          5,805  

RHB Bank Bhd.

   Banks        8,400          9,811  

SD Guthrie Bhd.

   Food Products        13,800          12,345  

Sime Darby Bhd.

   Industrial Conglomerates        15,000          8,331  

Telekom Malaysia Bhd.

   Diversified Telecommunication Services        4,200          6,018  

Tenaga Nasional Bhd.

   Electric Utilities        16,800          49,073  

a Top Glove Corp. Bhd.

   Health Care Equipment & Supplies        20,400          4,757  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

YTL Corp. Bhd.

   Multi-Utilities        18,600          13,603  

YTL Power International Bhd.

   Multi-Utilities        9,600          9,809  
            

 

 

 
               509,767  
            

 

 

 

Pakistan 0.0%

            

Oil & Gas Development Co. Ltd.

   Oil, Gas & Consumable Fuels        2,502          1,217  
            

 

 

 

Philippines 0.7%

            

ACEN Corp.

   Independent Power Producers & Energy Traders        35,400          3,020  

Ayala Corp., Class A

   Industrial Conglomerates        1,260          12,512  

Ayala Land, Inc., Class A

   Real Estate Management & Development        28,800          14,005  

Bank of the Philippine Islands, Class A

   Banks        8,236          16,736  

BDO Unibank, Inc., Class A

   Banks        8,820          19,293  

a Bloomberry Resorts Corp., Class H

   Hotels, Restaurants & Leisure        16,800          2,726  

a Converge Information & Communications

            

Technology Solutions, Inc.

   Diversified Telecommunication Services        9,600          1,884  

DMCI Holdings, Inc., Class A

   Industrial Conglomerates        16,200          3,079  

Globe Telecom, Inc.

   Wireless Telecommunication Services        132          4,730  

GT Capital Holdings, Inc.

   Industrial Conglomerates        360          3,808  

International Container Terminal Services, Inc.

   Transportation Infrastructure        4,260          25,425  

JG Summit Holdings, Inc.

   Industrial Conglomerates        11,400          5,067  

Jollibee Foods Corp.

   Hotels, Restaurants & Leisure        1,636          6,308  

LT Group, Inc.

   Industrial Conglomerates        11,400          1,896  

Manila Electric Co.

   Electric Utilities        1,020          6,370  

Megaworld Corp.

   Real Estate Management & Development        42,000          1,254  

Metropolitan Bank & Trust Co.

   Banks        7,020          8,091  

b Monde Nissin Corp.

   Food Products        28,200          4,523  

PLDT, Inc.

   Wireless Telecommunication Services        360          8,827  

Puregold Price Club, Inc.

   Consumer Staples Distribution & Retail        4,060          1,676  

San Miguel Corp.

   Industrial Conglomerates        1,920          3,286  

Semirara Mining & Power Corp.

   Oil, Gas & Consumable Fuels        4,800          2,760  

SM Prime Holdings, Inc.

   Real Estate Management & Development        40,200          19,411  

Universal Robina Corp.

   Food Products        3,420          6,489  
            

 

 

 
               183,176  
            

 

 

 

Singapore 3.1%

            

b BOC Aviation Ltd., Class A

   Trading Companies & Distributors        600          4,304  

CapitaLand Ascendas REIT, Class A

   Industrial REITs        13,800          26,068  

CapitaLand Ascott Trust, Class A

   Hotel & Resort REITs        9,600          6,198  

CapitaLand Integrated Commercial Trust, Class A

   Retail REITs        19,200          28,051  

CapitaLand Investment Ltd.

   Real Estate Management & Development        9,600          18,842  

City Developments Ltd., Class H

   Real Estate Management & Development        1,800          6,853  

ComfortDelGro Corp. Ltd., Class H

   Ground Transportation        7,800          7,712  

DBS Group Holdings Ltd., Class A

   Banks        7,800          205,986  

d Frasers Logistics & Commercial Trust

   Industrial REITs        10,800          7,571  

Genting Singapore Ltd.

   Hotels, Restaurants & Leisure        21,600          13,786  

Jardine Cycle & Carriage Ltd.

   Industrial Conglomerates        400          7,851  

Keppel DC REIT

   Specialized REITs        4,800          6,375  

Keppel Ltd.

   Industrial Conglomerates        5,400          25,780  

Keppel REIT

   Office REITs        8,400          5,175  

Mapletree Industrial Trust

   Industrial REITs        7,800          12,144  

Mapletree Logistics Trust

   Industrial REITs        12,600          11,993  

Mapletree Pan Asia Commercial Trust

   Retail REITs        9,000          8,102  

d Netlink NBN Trust

   Diversified Telecommunication Services        11,400          6,982  

Olam Group Ltd.

   Consumer Staples Distribution & Retail        4,200          3,564  

Oversea-Chinese Banking Corp. Ltd.

   Banks        13,200          140,547  

a SATS Ltd.

   Transportation Infrastructure        3,600          7,571  

a Seatrium Ltd.

   Machinery        7,800          7,942  

Sembcorp Industries Ltd.

   Multi-Utilities        3,600          12,777  

SIA Engineering Co. Ltd.

   Transportation Infrastructure        600          1,027  

Singapore Airlines Ltd.

   Passenger Airlines        5,400          27,493  

Singapore Exchange Ltd.

   Capital Markets        3,000          20,985  

Singapore Post Ltd.

   Air Freight & Logistics        6,000          1,904  

Singapore Technologies Engineering Ltd.

   Aerospace & Defense        6,000          19,170  

Singapore Telecommunications Ltd.

   Diversified Telecommunication Services        28,800          58,439  

StarHub Ltd.

   Wireless Telecommunication Services        2,400          2,143  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Suntec Real Estate Investment Trust

   Diversified REITs        8,400          6,508  

United Overseas Bank Ltd.

   Banks        4,800          110,964  

UOL Group Ltd.

   Real Estate Management & Development        1,800          6,906  

Venture Corp. Ltd.

   Electronic Equipment, Instruments & Components        600          6,296  

Wilmar International Ltd.

   Food Products        7,200          16,469  

Yangzijiang Financial Holding Ltd.

   Capital Markets        10,200          2,634  

a Yanlord Land Group Ltd.

   Real Estate Management & Development        2,400          779  
            

 

 

 
               863,891  
            

 

 

 

South Korea 12.4%

            

a Alteogen, Inc., Class A

   Biotechnology        162          33,012  

Amorepacific Corp., Class H

   Personal Care Products        108          13,126  

AMOREPACIFIC Group, Class A

   Personal Care Products        96          2,256  

BGF retail Co. Ltd.

   Consumer Staples Distribution & Retail        30          2,251  

BNK Financial Group, Inc., Class H

   Banks        1,074          6,609  

a Celltrion Pharm, Inc., Class A

   Pharmaceuticals        66          4,258  

Celltrion, Inc., Class A

   Biotechnology        546          69,137  

Cheil Worldwide, Inc., Class A

   Media        270          3,609  

CJ CheilJedang Corp., Class A

   Food Products        30          8,402  

CJ Corp., Class A

   Industrial Conglomerates        48          4,237  

a CJ ENM Co. Ltd., Class A

   Entertainment        42          2,569  

CJ Logistics Corp., Class A

   Air Freight & Logistics        30          2,073  

a CosmoAM&T Co. Ltd.

   Technology Hardware, Storage & Peripherals        84          8,800  

Coway Co. Ltd.

   Household Durables        216          10,074  

a Daewoo Engineering & Construction Co. Ltd., Class A

   Construction & Engineering        786          2,124  

DB Insurance Co. Ltd., Class A

   Insurance        168          13,975  

DGB Financial Group, Inc., Class A

   Banks        588          3,426  

DL E&C Co. Ltd., Class A

   Construction & Engineering        90          2,118  

DL Holdings Co. Ltd., Class A

   Chemicals        48          2,061  

Dongsuh Cos., Inc., Class A

   Consumer Staples Distribution & Retail        120          1,674  

Doosan Bobcat, Inc., Class A

   Machinery        192          7,156  

a Doosan Enerbility Co. Ltd., Class H

   Electrical Equipment        1,596          23,305  

a Ecopro BM Co. Ltd.

   Electrical Equipment        174          23,133  

a Ecopro Co. Ltd.

   Electrical Equipment        372          24,350  

a Ecopro Materials Co. Ltd.

   Electrical Equipment        42          2,774  

E-MART, Inc., Class A

   Consumer Staples Distribution & Retail        78          3,202  

F&F Co. Ltd.

   Textiles, Apparel & Luxury Goods        60          2,720  

Fila Holdings Corp.

   Textiles, Apparel & Luxury Goods        198          5,768  

Green Cross Corp.

   Biotechnology        24          1,993  

a GS Engineering & Construction Corp.

   Construction & Engineering        246          2,686  

GS Holdings Corp.

   Industrial Conglomerates        174          5,928  

GS Retail Co. Ltd.

   Consumer Staples Distribution & Retail        150          2,272  

Hana Financial Group, Inc.

   Banks        1,002          44,186  

Hanjin Kal Corp.

   Passenger Airlines        120          5,632  

Hankook Tire & Technology Co. Ltd.

   Automobile Components        288          9,457  

Hanmi Pharm Co. Ltd.

   Pharmaceuticals        30          5,895  

Hanmi Science Co. Ltd.

   Pharmaceuticals        96          2,165  

Hanmi Semiconductor Co. Ltd.

   Semiconductors & Semiconductor Equipment        168          21,029  

Hanon Systems

   Automobile Components        624          2,144  

Hanwha Aerospace Co. Ltd.

   Aerospace & Defense        132          23,926  

Hanwha Corp.

   Industrial Conglomerates        174          3,394  

Hanwha Life Insurance Co. Ltd.

   Insurance        1,386          3,021  

a Hanwha Ocean Co. Ltd., Class A

   Machinery        342          7,590  

Hanwha Solutions Corp.

   Chemicals        402          8,060  

HD Hyundai Co. Ltd.

   Oil, Gas & Consumable Fuels        162          8,768  

a HD Hyundai Heavy Industries Co. Ltd.

   Machinery        72          8,144  

HD Hyundai Infracore Co. Ltd.

   Machinery        540          2,997  

a HD Korea Shipbuilding & Offshore Engineering Co. Ltd.

   Machinery        162          18,689  

Hite Jinro Co. Ltd.

   Beverages        120          1,852  

HL Mando Co. Ltd.

   Automobile Components        126          4,018  

a HLB, Inc.

   Health Care Equipment & Supplies        456          19,380  

HMM Co. Ltd.

   Marine Transportation        1,104          15,744  

Hotel Shilla Co. Ltd.

   Specialty Retail        120          4,673  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

HYBE Co. Ltd.

   Entertainment        78          11,475  

Hyundai Autoever Corp.

   IT Services        24          2,866  

Hyundai Department Store Co. Ltd.

   Broadline Retail        54          1,910  

Hyundai Engineering & Construction Co. Ltd.

   Construction & Engineering        282          6,566  

Hyundai Glovis Co. Ltd.

   Air Freight & Logistics        72          11,455  

Hyundai Marine & Fire Insurance Co. Ltd.

   Insurance        228          5,714  

a Hyundai Mipo Dockyard Co. Ltd.

   Machinery        78          5,270  

Hyundai Mobis Co. Ltd.

   Automobile Components        258          47,139  

Hyundai Motor Co.

   Automobiles        504          108,013  

Hyundai Steel Co.

   Metals & Mining        324          6,838  

Hyundai Wia Corp.

   Automobile Components        60          2,524  

Industrial Bank of Korea

   Banks        1,056          10,756  

Kakao Corp.

   Interactive Media & Services        1,266          37,387  

a Kakao Games Corp.

   Entertainment        156          2,323  

KakaoBank Corp.

   Banks        834          12,299  

a Kakaopay Corp.

   Financial Services        84          1,642  

Kangwon Land, Inc.

   Hotels, Restaurants & Leisure        414          4,175  

KB Financial Group, Inc.

   Banks        1,284          73,225  

KCC Corp.

   Chemicals        18          4,034  

KEPCO Plant Service & Engineering Co. Ltd.

   Commercial Services & Supplies        84          2,316  

Kia Corp.

   Automobiles        948          89,049  

Korea Aerospace Industries Ltd.

   Aerospace & Defense        270          10,396  

Korea Electric Power Corp.

   Electric Utilities        990          14,075  

a Korea Gas Corp.

   Gas Utilities        102          3,868  

Korea Investment Holdings Co. Ltd.

   Capital Markets        150          7,628  

Korea Zinc Co. Ltd.

   Metals & Mining        42          15,714  

Korean Air Lines Co. Ltd.

   Passenger Airlines        720          12,161  

a Krafton, Inc.

   Entertainment        138          28,222  

KT&G Corp.

   Tobacco        372          23,836  

a Kum Yang Co. Ltd.

   Chemicals        132          8,247  

Kumho Petrochemical Co. Ltd.

   Chemicals        60          6,386  

a L&F Co. Ltd.

   Electrical Equipment        96          9,436  

LG Chem Ltd.

   Chemicals        180          45,180  

LG Corp.

   Industrial Conglomerates        330          19,323  

a LG Display Co. Ltd.

   Electronic Equipment, Instruments & Components        1,188          9,899  

LG Electronics, Inc.

   Household Durables        408          32,871  

a LG Energy Solution Ltd.

   Electrical Equipment        150          35,579  

LG H&H Co. Ltd.

   Personal Care Products        36          9,036  

LG Innotek Co. Ltd.

   Electronic Equipment, Instruments & Components        54          10,671  

LG Uplus Corp.

   Diversified Telecommunication Services        822          5,864  

Lotte Chemical Corp.

   Chemicals        72          6,000  

Lotte Chilsung Beverage Co. Ltd.

   Beverages        12          1,158  

Lotte Corp.

   Industrial Conglomerates        102          1,867  

Lotte Energy Materials Corp.

   Electronic Equipment, Instruments & Components        78          2,992  

LOTTE Fine Chemical Co. Ltd.

   Chemicals        60          1,940  

Lotte Shopping Co. Ltd.

   Broadline Retail        42          1,937  

LS Corp.

   Electrical Equipment        66          6,900  

Meritz Financial Group, Inc.

   Financial Services        348          19,998  

Mirae Asset Securities Co. Ltd.

   Capital Markets        1,002          5,328  

NAVER Corp.

   Interactive Media & Services        516          62,565  

NCSoft Corp.

   Entertainment        60          7,842  

a,b Netmarble Corp.

   Entertainment        84          3,277  

NH Investment & Securities Co. Ltd., Class C

   Capital Markets        528          4,868  

NongShim Co. Ltd.

   Food Products        12          4,263  

OCI Holdings Co. Ltd.

   Chemicals        60          3,858  

Orion Corp.

   Food Products        84          5,626  

Ottogi Corp.

   Food Products        6          1,887  

Pan Ocean Co. Ltd.

   Marine Transportation        954          2,970  

Paradise Co. Ltd.

   Hotels, Restaurants & Leisure        180          1,844  

a Pearl Abyss Corp.

   Entertainment        126          4,041  

Posco DX Co. Ltd.

   IT Services        204          5,684  

POSCO Future M Co. Ltd.

   Electrical Equipment        108          20,282  

POSCO Holdings, Inc.

   Metals & Mining        288          75,949  

Posco International Corp.

   Trading Companies & Distributors        174          8,267  

S-1 Corp.

   Commercial Services & Supplies        72          3,034  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a,b Samsung Biologics Co. Ltd.

   Life Sciences Tools & Services        66          34,858  

Samsung C&T Corp.

   Industrial Conglomerates        312          32,186  

Samsung Card Co. Ltd.

   Consumer Finance        114          3,172  

a Samsung E&A Co. Ltd.

   Construction & Engineering        612          10,737  

Samsung Electro-Mechanics Co. Ltd.

   Electronic Equipment, Instruments & Components        210          24,105  

Samsung Electronics Co. Ltd.

   Technology Hardware, Storage & Peripherals        18,174          1,076,049  

Samsung Fire & Marine Insurance Co. Ltd.

   Insurance        126          35,608  

a Samsung Heavy Industries Co. Ltd.

   Machinery        2,418          16,424  

Samsung Life Insurance Co. Ltd.

   Insurance        288          18,516  

Samsung SDI Co. Ltd.

   Electronic Equipment, Instruments & Components        198          50,920  

Samsung SDS Co. Ltd.

   IT Services        138          14,888  

Samsung Securities Co. Ltd.

   Capital Markets        246          7,113  

a SD Biosensor, Inc.

   Health Care Equipment & Supplies        156          1,116  

Seegene, Inc.

   Biotechnology        102          1,482  

Shinhan Financial Group Co. Ltd.

   Banks        1,896          66,322  

Shinsegae, Inc.

   Broadline Retail        24          2,736  

a SK Biopharmaceuticals Co. Ltd.

   Pharmaceuticals        102          5,743  

a SK Bioscience Co. Ltd.

   Biotechnology        96          3,668  

SK Chemicals Co. Ltd.

   Chemicals        36          1,276  

SK Hynix, Inc.

   Semiconductors & Semiconductor Equipment        2,058          353,590  

a,b SK IE Technology Co. Ltd.

   Electrical Equipment        102          3,268  

a SK Innovation Co. Ltd.

   Oil, Gas & Consumable Fuels        234          19,737  

SK Networks Co. Ltd.

   Trading Companies & Distributors        372          1,301  

a SK Square Co. Ltd.

   Industrial Conglomerates        354          25,717  

SK, Inc.

   Industrial Conglomerates        138          15,870  

a SKC Co. Ltd.

   Chemicals        72          8,819  

S-Oil Corp.

   Oil, Gas & Consumable Fuels        156          7,536  

Solus Advanced Materials Co. Ltd.

   Electronic Equipment, Instruments & Components        102          1,352  

a Wemade Co. Ltd.

   Entertainment        66          2,045  

Woori Financial Group, Inc.

   Banks        2,274          24,268  

Yuhan Corp.

   Pharmaceuticals        192          11,284  
            

 

 

 
               3,423,293  
            

 

 

 

Taiwan 20.7%

            

Accton Technology Corp.

   Communications Equipment        1,800          30,794  

Acer, Inc., Class H

   Technology Hardware, Storage & Peripherals        12,000          17,330  

Advantech Co. Ltd.

   Technology Hardware, Storage & Peripherals        1,620          18,476  

Alchip Technologies Ltd.

   Semiconductors & Semiconductor Equipment        280          21,189  

ASE Technology Holding Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        12,600          65,444  

Asia Cement Corp.

   Construction Materials        9,600          12,976  

Asia Vital Components Co. Ltd.

   Technology Hardware, Storage & Peripherals        1,200          28,297  

ASMedia Technology, Inc.

   Semiconductors & Semiconductor Equipment        160          11,048  

ASPEED Technology, Inc.

   Semiconductors & Semiconductor Equipment        106          15,814  

Asustek Computer, Inc.

   Technology Hardware, Storage & Peripherals        2,700          41,447  

AUO Corp., Class H

   Electronic Equipment, Instruments & Components        24,000          13,168  

Capital Securities Corp., Class A

   Capital Markets        6,000          4,642  

Catcher Technology Co. Ltd.

   Technology Hardware, Storage & Peripherals        2,280          16,305  

a Cathay Financial Holding Co. Ltd., Class A

   Insurance        36,000          65,472  

Chailease Holding Co. Ltd., Class A

   Financial Services        5,340          25,267  

Chang Hwa Commercial Bank Ltd., Class A

   Banks        24,000          13,649  

Cheng Shin Rubber Industry Co. Ltd., Class A

   Automobile Components        7,200          10,975  

Chicony Electronics Co. Ltd.

   Technology Hardware, Storage & Peripherals        2,260          11,913  

China Airlines Ltd., Class A

   Passenger Airlines        12,000          8,767  

a China Development Financial Holding Corp.,
 Class A

   Insurance        60,000          27,927  

China Motor Corp., Class A

   Automobiles        800          3,058  

China Steel Corp., Class A

   Metals & Mining        48,000          34,178  

a Chunghwa Telecom Co. Ltd.

   Diversified Telecommunication Services        14,500          56,093  

Compal Electronics, Inc., Class H

   Technology Hardware, Storage & Peripherals        18,000          19,253  

CTBC Financial Holding Co. Ltd., Class A

   Banks        72,000          84,004  

Delta Electronics, Inc., Class A

   Electronic Equipment, Instruments & Components        8,400          100,334  

E Ink Holdings, Inc.

   Electronic Equipment, Instruments & Components        3,000          23,304  

E.Sun Financial Holding Co. Ltd., Class A

   Banks        54,000          47,522  

Eclat Textile Co. Ltd., Class A

   Textiles, Apparel & Luxury Goods        780          12,719  

Elite Material Co. Ltd.

   Electronic Equipment, Instruments & Components        1,050          15,374  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a eMemory Technology, Inc.

   Semiconductors & Semiconductor Equipment        252          19,963  

Ennostar, Inc., Class H

   Semiconductors & Semiconductor Equipment        2,520          3,375  

Eternal Materials Co. Ltd., Class H

   Chemicals        3,000          2,857  

Eva Airways Corp., Class H

   Passenger Airlines        12,000          14,112  

Evergreen Marine Corp. Taiwan Ltd.

   Marine Transportation        3,900          23,202  

Far Eastern International Bank

   Banks        6,000          3,070  

Far Eastern New Century Corp.

   Industrial Conglomerates        12,000          13,039  

Far EasTone Telecommunications Co. Ltd.

   Wireless Telecommunication Services        6,000          15,554  

Feng TAY Enterprise Co. Ltd.

   Textiles, Apparel & Luxury Goods        1,980          9,460  

First Financial Holding Co. Ltd.

   Banks        42,000          36,379  

a,b FIT Hon Teng Ltd.

   Electronic Equipment, Instruments & Components        6,000          2,667  

a Formosa Chemicals & Fibre Corp.

   Chemicals        13,200          20,507  

a Formosa Petrochemical Corp.

   Oil, Gas & Consumable Fuels        5,260          10,507  

a Formosa Plastics Corp.

   Chemicals        14,160          25,098  

Formosa Sumco Technology Corp.

   Semiconductors & Semiconductor Equipment        300          1,609  

Formosa Taffeta Co. Ltd.

   Textiles, Apparel & Luxury Goods        6,000          4,161  

Foxconn Technology Co. Ltd.

   Electronic Equipment, Instruments & Components        4,500          9,890  

Fubon Financial Holding Co. Ltd.

   Insurance        30,600          74,799  

Genius Electronic Optical Co. Ltd.

   Electronic Equipment, Instruments & Components        360          7,346  

Giant Manufacturing Co. Ltd.

   Leisure Products        1,200          7,842  

Gigabyte Technology Co. Ltd.

   Technology Hardware, Storage & Peripherals        1,800          16,951  

Global Unichip Corp.

   Semiconductors & Semiconductor Equipment        300          14,842  

Globalwafers Co. Ltd.

   Semiconductors & Semiconductor Equipment        820          13,624  

Hiwin Technologies Corp.

   Machinery        1,200          7,879  

Hon Hai Precision Industry Co. Ltd.

   Electronic Equipment, Instruments & Components        45,600          300,800  

Hotai Motor Co. Ltd.

   Specialty Retail        1,260          24,158  

a HTC Corp.

   Technology Hardware, Storage & Peripherals        3,000          4,268  

Hua Nan Financial Holdings Co. Ltd., Class C

   Banks        36,000          29,296  

Innolux Corp.

   Electronic Equipment, Instruments & Components        30,000          13,270  

Inventec Corp.

   Technology Hardware, Storage & Peripherals        10,000          17,200  

Largan Precision Co. Ltd.

   Electronic Equipment, Instruments & Components        400          33,846  

Lite-On Technology Corp.

   Technology Hardware, Storage & Peripherals        8,400          27,446  

MediaTek, Inc.

   Semiconductors & Semiconductor Equipment        5,640          243,392  

Mega Financial Holding Co. Ltd.

   Banks        42,000          52,303  

Micro-Star International Co. Ltd.

   Technology Hardware, Storage & Peripherals        2,400          13,168  

momo.com, Inc.

   Broadline Retail        245          3,244  

a Nan Ya Plastics Corp.

   Chemicals        20,260          30,788  

a Nan Ya Printed Circuit Board Corp.

   Electronic Equipment, Instruments & Components        780          4,472  

a Nanya Technology Corp.

   Semiconductors & Semiconductor Equipment        4,750          10,205  

Nien Made Enterprise Co. Ltd.

   Household Durables        600          7,213  

Novatek Microelectronics Corp.

   Semiconductors & Semiconductor Equipment        2,160          40,348  

a Oneness Biotech Co. Ltd.

   Pharmaceuticals        1,392          7,037  

Pegatron Corp.

   Technology Hardware, Storage & Peripherals        7,800          25,125  

a PharmaEssentia Corp.

   Biotechnology        840          14,500  

Pou Chen Corp.

   Textiles, Apparel & Luxury Goods        6,000          6,473  

a Powerchip Semiconductor Manufacturing Corp.

   Semiconductors & Semiconductor Equipment        12,000          9,913  

Powertech Technology, Inc.

   Semiconductors & Semiconductor Equipment        3,000          17,385  

President Chain Store Corp.

   Consumer Staples Distribution & Retail        2,220          18,716  

Quanta Computer, Inc.

   Technology Hardware, Storage & Peripherals        10,120          97,327  

Realtek Semiconductor Corp.

   Semiconductors & Semiconductor Equipment        1,800          30,295  

Ruentex Development Co. Ltd.

   Real Estate Management & Development        6,000          8,064  

Shanghai Commercial & Savings Bank Ltd.

   Banks        12,000          17,034  

a Shin Kong Financial Holding Co. Ltd.

   Insurance        54,000          16,379  

Sino-American Silicon Products, Inc.

   Semiconductors & Semiconductor Equipment        1,920          12,872  

SinoPac Financial Holdings Co. Ltd.

   Banks        42,000          32,884  

Synnex Technology International Corp.

   Electronic Equipment, Instruments & Components        5,200          11,717  

Taishin Financial Holding Co. Ltd.

   Banks        48,000          27,890  

Taiwan Business Bank

   Banks        18,000          10,098  

Taiwan Cooperative Financial Holding Co. Ltd.

   Banks        42,000          33,661  

Taiwan Fertilizer Co. Ltd.

   Chemicals        3,000          5,946  

a Taiwan Glass Industry Corp.

   Building Products        6,000          3,579  

Taiwan High Speed Rail Corp.

   Transportation Infrastructure        6,000          5,622  

Taiwan Mobile Co. Ltd.

   Wireless Telecommunication Services        6,000          19,789  

Taiwan Secom Co. Ltd.

   Commercial Services & Supplies        1,020          4,135  

Taiwan Semiconductor Manufacturing Co. Ltd.

   Semiconductors & Semiconductor Equipment        91,680          2,729,926  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Tatung Co. Ltd.

   Electrical Equipment        9,000          15,813  

TCC Group Holdings

   Construction Materials        24,000          25,301  

Teco Electric & Machinery Co. Ltd.

   Electrical Equipment        6,000          9,895  

Transcend Information, Inc.

   Technology Hardware, Storage & Peripherals        1,020          3,616  

U-Ming Marine Transport Corp.

   Marine Transportation        1,800          3,096  

Unimicron Technology Corp.

   Electronic Equipment, Instruments & Components        4,920          27,298  

Uni-President Enterprises Corp.

   Food Products        18,000          45,109  

a United Microelectronics Corp.

   Semiconductors & Semiconductor Equipment        45,000          77,262  

Vanguard International Semiconductor Corp.

   Semiconductors & Semiconductor Equipment        3,600          14,371  

Voltronic Power Technology Corp.

   Electrical Equipment        250          14,834  

Walsin Lihwa Corp.

   Electrical Equipment        12,000          13,131  

Walsin Technology Corp.

   Electronic Equipment, Instruments & Components        1,200          4,365  

Wan Hai Lines Ltd.

   Marine Transportation        3,600          9,832  

Win Semiconductors Corp.

   Semiconductors & Semiconductor Equipment        1,500          8,068  

Winbond Electronics Corp.

   Semiconductors & Semiconductor Equipment        12,000          9,506  

Wistron Corp.

   Technology Hardware, Storage & Peripherals        10,800          35,288  

Wiwynn Corp.

   Technology Hardware, Storage & Peripherals        360          29,351  

WPG Holdings Ltd.

   Electronic Equipment, Instruments & Components        6,000          16,608  

Yageo Corp.

   Electronic Equipment, Instruments & Components        1,500          33,753  

Yang Ming Marine Transport Corp.

   Marine Transportation        6,600          15,177  

Yuanta Financial Holding Co. Ltd.

   Financial Services        48,000          47,421  

Yulon Motor Co. Ltd.

   Automobiles        2,400          4,942  

Zhen Ding Technology Holding Ltd.

   Electronic Equipment, Instruments & Components        2,260          9,021  
            

 

 

 
               5,710,314  
            

 

 

 

Thailand 1.8%

            

Advanced Info Service PCL, NVDR

   Wireless Telecommunication Services        4,200          23,920  

Airports of Thailand PCL, Class H, NVDR

   Transportation Infrastructure        16,200          25,494  

Asset World Corp. PCL, Class H, NVDR

   Hotels, Restaurants & Leisure        27,600          2,617  

B Grimm Power PCL, Class A, NVDR

   Independent Power Producers & Energy Traders        3,000          1,766  

Bangkok Bank PCL, Class A, fgn.

   Banks        1,200          4,267  

Bangkok Bank PCL, Class A, NVDR

   Banks        1,200          4,267  

Bangkok Dusit Medical Services PCL, Class A,
NVDR

   Health Care Providers & Services        41,400          30,178  

Bangkok Expressway & Metro PCL, Class H,
NVDR

   Transportation Infrastructure        31,200          6,504  

Bangkok Life Assurance PCL, Class A, NVDR

   Insurance        1,800          922  

Banpu PCL, Class A, NVDR

   Oil, Gas & Consumable Fuels        34,800          4,666  

Berli Jucker PCL, Class A, NVDR

   Consumer Staples Distribution & Retail        4,200          2,438  

BTS Group Holdings PCL, Class A, NVDR

   Ground Transportation        33,000          4,029  

Bumrungrad Hospital PCL, NVDR

   Health Care Providers & Services        2,400          16,154  

Carabao Group PCL, Class A, NVDR

   Beverages        1,200          2,175  

Central Pattana PCL, Class A, NVDR

   Real Estate Management & Development        12,000          18,067  

Central Retail Corp. PCL, Class A, NVDR

   Broadline Retail        10,800          9,050  

a Charoen Pokphand Foods PCL, Class A, NVDR

   Food Products        15,600          9,735  

CP ALL PCL, Class B, NVDR

   Consumer Staples Distribution & Retail        22,800          34,171  

CP Axtra PCL, NVDR

   Consumer Staples Distribution & Retail        6,000          4,455  

Delta Electronics Thailand PCL, Class A, NVDR

   Electronic Equipment, Instruments & Components        10,800          24,500  

Digital Telecommunications Infrastructure Fund,
Class A, UNIT

   Telecommunications        20,400          4,364  

Electricity Generating PCL, Class A, NVDR

   Independent Power Producers & Energy Traders        600          1,692  

Energy Absolute PCL, Class A, NVDR

   Independent Power Producers & Energy Traders        6,600          2,014  

Global Power Synergy PCL, NVDR

   Independent Power Producers & Energy Traders        2,400          2,600  

Gulf Energy Development PCL, NVDR

   Independent Power Producers & Energy Traders        11,400          12,581  

Home Product Center PCL, NVDR

   Specialty Retail        21,600          5,444  

Indorama Ventures PCL, NVDR

   Chemicals        7,200          3,826  

Intouch Holdings PCL, NVDR

   Wireless Telecommunication Services        3,600          7,014  

IRPC PCL, NVDR

   Oil, Gas & Consumable Fuels        39,600          1,770  

Kasikornbank PCL, fgn.

   Banks        4,800          16,415  

Kasikornbank PCL, NVDR

   Banks        1,600          5,472  

Krung Thai Bank PCL, NVDR

   Banks        23,400          10,904  

Krungthai Card PCL, NVDR

   Consumer Finance        4,200          4,664  

Land & Houses PCL, NVDR

   Real Estate Management & Development        31,800          5,113  

Minor International PCL, NVDR

   Hotels, Restaurants & Leisure        15,600          12,753  

Muangthai Capital PCL, NVDR

   Consumer Finance        2,400          2,845  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Osotspa PCL, NVDR

   Beverages        5,400          3,384  

PTT Exploration & Production PCL, NVDR

   Oil, Gas & Consumable Fuels        5,400          22,367  

PTT Global Chemical PCL, NVDR

   Chemicals        7,800          6,483  

PTT Oil & Retail Business PCL, NVDR

   Specialty Retail        10,800          4,709  

PTT PCL, NVDR

   Oil, Gas & Consumable Fuels        54,600          48,355  

Ratch Group PCL, NVDR

   Independent Power Producers & Energy Traders        4,800          3,466  

SCB X PCL, NVDR

   Banks        6,600          18,524  

SCG Packaging PCL, NVDR

   Containers & Packaging        4,800          4,414  

Siam Cement PCL, NVDR

   Construction Materials        3,000          18,394  

Siam City Cement PCL, NVDR

   Construction Materials        600          2,125  

Srisawad Corp. PCL, NVDR

   Consumer Finance        2,680          2,519  

Thai Beverage PCL

   Beverages        31,800          10,559  

Thai Life Insurance PCL, NVDR

   Insurance        9,600          2,014  

Thai Oil PCL, NVDR

   Oil, Gas & Consumable Fuels        4,200          6,066  

Thai Union Group PCL, NVDR

   Food Products        10,200          4,141  

TMBThanachart Bank PCL, NVDR

   Banks        168,000          7,828  

a True Corp. PCL, NVDR

   Diversified Telecommunication Services        40,800          9,728  
            

 

 

 
               503,922  
            

 

 

 

United Kingdom 0.2%

            

CK Hutchison Holdings Ltd., Class A

   Industrial Conglomerates        10,000          47,903  
            

 

 

 

United States 0.1%

            

Parade Technologies Ltd.

   Semiconductors & Semiconductor Equipment        300          7,749  

b Samsonite International SA

   Textiles, Apparel & Luxury Goods        5,400          16,116  
            

 

 

 
               23,865  
            

 

 

 

Total Common Stocks (Cost $25,129,383)

               27,483,561  
            

 

 

 

Preferred Stocks 0.7%

            

South Korea 0.7%

            

e Amorepacific Corp., 1.951%, pfd.

   Personal Care Products        42          1,431  

e Hanwha Corp., 5.309%, pfd.

   Industrial Conglomerates        78          854  

e Hyundai Motor Co., 7.642%, pfd.

   Automobiles        132          17,568  

e Hyundai Motor Co., 7.664%, pfd.

   Automobiles        84          11,094  

e LG Chem Ltd., 1.473%, pfd.

   Chemicals        30          5,252  

e LG Electronics, Inc., 2.772%, pfd.

   Household Durables        66          2,335  

e Samsung Electronics Co. Ltd., 1.704%, pfd.

   Technology Hardware, Storage & Peripherals        3,144          145,266  

e Samsung Fire & Marine Insurance Co. Ltd.,
 5.747%, pfd.

   Insurance        12          2,428  

e Samsung SDI Co. Ltd., 0.478%, pfd.

   Electronic Equipment, Instruments & Components        6          957  
            

 

 

 

Total Preferred Stocks (Cost $146,962)

               187,185  
            

 

 

 

Right 0.0%

            

China 0.0%

            

a MMG Ltd.

   Metals & Mining        4,800          212  
            

 

 

 

Total Rights (Cost $0)

               212  
            

 

 

 

Total Investments (Cost $25,276,345) 100.5%

               27,670,958  

Other Assets, less Liabilities (0.5)%

               (133,728
            

 

 

 

Net Assets 100.0%

             $ 27,537,230  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $1,267,312, representing 4.6% of net assets.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

dSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. At June 30, 2024, the value of was $103,521, representing 0.4% of net assets.

eVariable rate security. The rate shown represents the yield at period end.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description

 

  

Type

 

    

Number of
Contracts

 

    

Notional
Amount*

 

    

Expiration
Date

 

    

Value/Unrealized
Appreciation
(Depreciation)

 

 

Equity Contracts

              

MSCI China Futures

     Long        5      $ 112,550        9/20/24        $(2,969)  

*As of period end.

Abbreviations

Selected Portfolio

 

ADR   – American Depositary Receipt
NVDR   – Non-Voting Depositary Receipt
REIT   – Real Estate Investment Trust
SF   – Single Family
SPA   – Standby Purchase Agreement
SRF   – State Revolving Fund


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Australia ETF    Industry      Shares        Value  

Common Stocks 99.6%

            

Australia 96.5%

            

AGL Energy Ltd.

   Multi-Utilities        20,128        $ 145,582  

ALS Ltd.

   Professional Services        16,032          150,005  

Altium Ltd.

   Software        3,968          180,282  

a Alumina Ltd.

   Metals & Mining        84,800          95,994  

AMP Ltd.

   Financial Services        89,696          65,594  

Ampol Ltd.

   Oil, Gas & Consumable Fuels        7,936          171,404  

Ansell Ltd.

   Health Care Equipment & Supplies        4,832          85,678  

ANZ Group Holdings Ltd.

   Banks        100,800           1,901,097  

APA Group

   Gas Utilities        42,976          229,325  

Aristocrat Leisure Ltd.

   Hotels, Restaurants & Leisure        21,280          707,182  

ASX Ltd.

   Capital Markets        6,496          260,301  

Atlas Arteria Ltd.

   Transportation Infrastructure        38,272          130,611  

Aurizon Holdings Ltd.

   Ground Transportation        58,784          143,295  

Bank of Queensland Ltd.

   Banks        22,336          86,668  

Beach Energy Ltd.

   Oil, Gas & Consumable Fuels        59,936          59,642  

Bendigo & Adelaide Bank Ltd.

   Banks        18,816          144,386  

BHP Group Ltd.

   Metals & Mining        168,800          4,811,449  

BlueScope Steel Ltd.

   Metals & Mining        14,816          202,152  

Brambles Ltd.

   Commercial Services & Supplies        46,688          453,054  

CAR Group Ltd.

   Interactive Media & Services        12,320          290,034  

Challenger Ltd.

   Financial Services        15,168          71,011  

Charter Hall Group

   Diversified REITs        15,872          118,509  

Cleanaway Waste Management Ltd.

   Commercial Services & Supplies        74,112          137,103  

Cochlear Ltd.

   Health Care Equipment & Supplies        2,144          475,596  

Coles Group Ltd.

   Consumer Staples Distribution & Retail        43,616          496,066  

Commonwealth Bank of Australia

   Banks        56,096          4,772,129  

Computershare Ltd.

   Professional Services        19,648          345,631  

CSL Ltd.

   Biotechnology        16,160          3,186,041  

Deterra Royalties Ltd.

   Metals & Mining        14,208          37,860  

Dexus

   Office REITs        35,872          155,242  

Domain Holdings Australia Ltd.

   Interactive Media & Services        8,320          16,947  

Domino’s Pizza Enterprises Ltd.

   Hotels, Restaurants & Leisure        2,112          50,623  

Downer EDI Ltd.

   Commercial Services & Supplies        22,720          70,405  

Endeavour Group Ltd.

   Consumer Staples Distribution & Retail        48,576          163,830  

Evolution Mining Ltd.

   Metals & Mining        62,592          146,307  

Flight Centre Travel Group Ltd.

   Hotels, Restaurants & Leisure        6,816          91,861  

Fortescue Ltd.

   Metals & Mining        53,280          761,833  

Goodman Group

   Industrial REITs        62,464          1,449,651  

GPT Group

   Diversified REITs        64,032          171,055  

Harvey Norman Holdings Ltd.

   Broadline Retail        19,840          55,253  

IDP Education Ltd.

   Diversified Consumer Services        9,312          94,218  

IGO Ltd.

   Metals & Mining        20,800          78,347  

Iluka Resources Ltd.

   Metals & Mining        14,176          62,012  

Incitec Pivot Ltd.

   Chemicals        64,992          125,874  

Insignia Financial Ltd.

   Capital Markets        21,856          33,426  

Insurance Australia Group Ltd.

   Insurance        80,032          381,629  

JB Hi-Fi Ltd.

   Specialty Retail        3,680          150,435  

Lendlease Corp. Ltd.

   Real Estate Management & Development        23,232          83,939  

a Liontown Resources Ltd.

   Metals & Mining        52,096          31,487  

Lottery Corp. Ltd.

   Hotels, Restaurants & Leisure        74,496          252,243  

a Lynas Rare Earths Ltd.

   Metals & Mining        31,232          123,690  

Macquarie Group Ltd.

   Capital Markets        12,160          1,662,299  

Magellan Financial Group Ltd.

   Capital Markets        4,576          25,732  

Medibank Pvt Ltd.

   Insurance        92,224          229,737  

Metcash Ltd.

   Consumer Staples Distribution & Retail        36,576          86,473  

Mineral Resources Ltd.

   Metals & Mining        5,792          208,573  

Mirvac Group

   Diversified REITs        131,424          164,133  

National Australia Bank Ltd.

   Banks        104,000          2,516,406  

New Hope Corp. Ltd.

   Oil, Gas & Consumable Fuels        17,184          56,005  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a NEXTDC Ltd.

   IT Services        22,144          260,728  

Northern Star Resources Ltd.

   Metals & Mining        37,600          326,445  

Nufarm Ltd.

   Chemicals        12,704          39,028  

Orica Ltd.

   Chemicals        16,288          194,389  

Origin Energy Ltd.

   Electric Utilities        57,600          417,764  

Orora Ltd.

   Containers & Packaging        45,440          59,784  

Perpetual Ltd.

   Capital Markets        3,776          53,740  

Pilbara Minerals Ltd.

   Metals & Mining        96,672          198,207  

Pro Medicus Ltd.

   Health Care Technology        1,696          162,267  

a Qantas Airways Ltd.

   Passenger Airlines        26,752          104,518  

QBE Insurance Group Ltd.

   Insurance        50,400          585,341  

Qube Holdings Ltd.

   Transportation Infrastructure        58,752          143,217  

Ramsay Health Care Ltd.

   Health Care Providers & Services        5,888          186,627  

REA Group Ltd.

   Interactive Media & Services        1,696          222,752  

Reece Ltd.

   Trading Companies & Distributors        7,072          118,879  

Region RE Ltd.

   Retail REITs        39,392          55,247  

Rio Tinto Ltd.

   Metals & Mining        12,448          989,294  

Santos Ltd.

   Oil, Gas & Consumable Fuels        108,768          556,428  

Scentre Group

   Retail REITs        173,792          362,129  

SEEK Ltd.

   Interactive Media & Services        11,840          168,901  

Seven Group Holdings Ltd.

   Trading Companies & Distributors        6,048          152,195  

Sonic Healthcare Ltd.

   Health Care Providers & Services        16,064          282,155  

South32 Ltd.

   Metals & Mining        151,680          370,756  

a Star Entertainment Group Ltd.

   Hotels, Restaurants & Leisure        88,352          28,913  

Steadfast Group Ltd.

   Insurance        36,736          151,621  

Stockland

   Diversified REITs        79,808          222,260  

Suncorp Group Ltd.

   Insurance        42,592          495,229  

Tabcorp Holdings Ltd.

   Hotels, Restaurants & Leisure        75,872          35,470  

Telstra Group Ltd.

   Diversified Telecommunication Services        135,584          327,790  

TPG Telecom Ltd.

   Diversified Telecommunication Services        12,352          37,782  

Transurban Group

   Transportation Infrastructure        103,520          857,284  

Treasury Wine Estates Ltd.

   Beverages        27,072          224,916  

Vicinity Ltd.

   Retail REITs        126,976          156,882  

Washington H Soul Pattinson & Co. Ltd.

   Financial Services        8,128          178,156  

Wesfarmers Ltd.

   Broadline Retail        37,952          1,652,068  

Westpac Banking Corp.

   Banks        116,288          2,114,762  

Whitehaven Coal Ltd.

   Oil, Gas & Consumable Fuels        23,232          118,694  

WiseTech Global Ltd.

   Software        5,408          362,257  

Woodside Energy Group Ltd.

   Oil, Gas & Consumable Fuels        63,328          1,193,103  

Woolworths Group Ltd.

   Consumer Staples Distribution & Retail        40,928          923,608  

Worley Ltd.

   Construction & Engineering        16,064          160,711  

Yancoal Australia Ltd.

   Oil, Gas & Consumable Fuels        11,072          48,951  
            

 

 

 
               44,754,594  
            

 

 

 

Ireland 1.0%

            

a James Hardie Industries PLC, CDI

   Construction Materials        14,528          458,929  
            

 

 

 

New Zealand 1.0%

            

a Xero Ltd.

   Software        5,056          460,575  
            

 

 

 

United Kingdom 1.0%

            

Amcor PLC, CDI

   Containers & Packaging        48,128          478,599  
            

 

 

 

United States 0.1%

            

Sims Ltd.

   Metals & Mining        5,344          36,761  
            

 

 

 

Total Common Stocks (Cost $44,238,121)

               46,189,458  
            

 

 

 

Total Investments before Short-Term Investments
(Cost $44,238,121)

            46,189,458  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Short-Term Investments 0.0%

            

Money Market Funds 0.0%

            

United States 0.0%

            

b,c Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        105          105  
            

 

 

 

Total Short-Term Investments (Cost $105)

               105  
            

 

 

 

Total Investments (Cost $44,238,226) 99.6%

               46,189,563  

Other Assets, less Liabilities 0.4%

               198,308  
            

 

 

 

Net Assets 100.0%

             $ 46,387,871  
            

 

 

 

†Rounds to less than 0.1% of net assets.

aNon-income producing.

bThe rate shown is the annualized seven-day effective yield at period end.

cSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type     

Number of

Contracts

    

Notional

Amount*

    

Expiration

Date

    

Value/Unrealized

Appreciation

(Depreciation)

 

 

 

Index Contracts

              

SPI 200 Index

     Long        1        $129,763        9/19/24        $132  

*As of period end.

Abbreviations

Selected Portfolio

 

CDI     –   

Clearing House Electronic Subregister

System Depositary Interest

REIT     –    Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Brazil ETF    Industry      Shares        Value  

Common Stocks 69.4%

            

Brazil 67.3%

            

Allos SA

   Real Estate Management & Development        199,500        $ 758,570  

Alupar Investimento SA, UNIT

   Electric Utilities        49,180          263,588  

Ambev SA

   Beverages        1,871,500          3,844,452  

a Atacadao SA

   Consumer Staples Distribution & Retail        228,000          370,255  

Auren Energia SA

   Independent Power Producers & Energy Traders        152,043          337,785  

B3 SA - Brasil Bolsa Balcao

   Capital Markets        2,384,500          4,395,985  

Banco Bradesco SA

   Banks        655,500          1,320,571  

Banco BTG Pactual SA

   Capital Markets        541,500          3,013,397  

Banco do Brasil SA

   Banks        731,500          3,517,606  

Banco Santander Brasil SA

   Banks        161,500          798,421  

BB Seguridade Participacoes SA

   Insurance        285,000          1,689,645  

Bradespar SA

   Metals & Mining        19,000          61,401  

a BRF SA

   Food Products        285,000          1,163,203  

Caixa Seguridade Participacoes SA

   Insurance        199,500          513,974  

CCR SA

   Transportation Infrastructure        475,000          995,418  

Centrais Eletricas Brasileiras SA

   Electric Utilities        560,500          3,617,626  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

   Water Utilities        148,300          2,001,648  

Cia Energetica de Minas Gerais

   Electric Utilities        24,160          53,153  

Cia Paranaense de Energia - Copel

   Electric Utilities        342,000          510,434  

Cia Siderurgica Nacional SA

   Metals & Mining        266,000          618,254  

Cielo SA

   Financial Services        503,500          510,348  

Cosan SA

   Oil, Gas & Consumable Fuels        513,000          1,250,532  

CPFL Energia SA

   Electric Utilities        76,000          447,836  

CSN Mineracao SA

   Metals & Mining        228,000          213,040  

Dexco SA

   Paper & Forest Products        152,060          179,588  

a Diagnosticos da America SA

   Health Care Providers & Services        114,000          56,852  

a Embraer SA

   Aerospace & Defense        313,500          2,040,351  

Energisa SA

   Electric Utilities        123,580          1,014,992  

a Eneva SA

   Independent Power Producers & Energy Traders        247,000          564,754  

Engie Brasil Energia SA

   Independent Power Producers & Energy Traders        76,000          606,008  

Equatorial Energia SA

   Electric Utilities        384,200          2,122,820  

a Equatorial Energia SA

   Electric Utilities        5,378          30,102  

b GPS Participacoes e Empreendimentos SA

   Commercial Services & Supplies        180,500          560,239  

Grupo Mateus SA

   Consumer Staples Distribution & Retail        171,000          213,348  

a,b Hapvida Participacoes e Investimentos SA

   Health Care Providers & Services        2,042,500          1,408,380  

Hypera SA

   Pharmaceuticals        171,000          883,562  

Intelbras SA Industria de Telecomunicacao Eletronica Brasileira

   Communications Equipment        28,500          118,475  

Itau Unibanco Holding SA

   Banks        190,000          960,869  

Klabin SA

   Containers & Packaging        380,080          1,467,097  

Localiza Rent a Car SA

   Ground Transportation        361,079          2,730,301  

Lojas Renner SA

   Specialty Retail        408,530          917,904  

M Dias Branco SA

   Food Products        57,000          300,986  

a Magazine Luiza SA

   Broadline Retail        142,567          309,290  

Multiplan Empreendimentos Imobiliarios SA

   Real Estate Management & Development        114,000          462,613  

Natura & Co. Holding SA

   Personal Care Products        408,516          1,142,928  

Neoenergia SA

   Electric Utilities        95,000          317,610  

Petroleo Brasileiro SA

   Oil, Gas & Consumable Fuels        1,586,500           11,533,612  

Porto Seguro SA

   Insurance        76,000          423,480  

PRIO SA

   Oil, Gas & Consumable Fuels        285,000          2,245,335  

Raia Drogasil SA

   Consumer Staples Distribution & Retail        475,044          2,196,280  

b Rede D’Or Sao Luiz SA

   Health Care Providers & Services        332,500          1,628,244  

Rumo SA

   Ground Transportation        541,500          2,019,980  

Sao Martinho SA

   Food Products        66,500          391,856  

a Sendas Distribuidora SA

   Consumer Staples Distribution & Retail        579,500          1,078,780  

SLC Agricola SA

   Food Products        84,080          264,148  

Smartfit Escola de Ginastica e Danca SA

   Hotels, Restaurants & Leisure        47,500          184,717  

Suzano SA

   Paper & Forest Products        294,500          3,022,702  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Telefonica Brasil SA

   Diversified Telecommunication Services        186,000          1,518,285  

TIM SA

   Wireless Telecommunication Services        351,500          1,004,928  

TOTVS SA

   Software        190,000          1,040,913  

Transmissora Alianca de Energia Eletrica SA

   Electric Utilities        95,000          585,450  

Ultrapar Participacoes SA

   Oil, Gas & Consumable Fuels        361,000          1,403,847  

Usinas Siderurgicas de Minas Gerais SA Usiminas

   Metals & Mining        76,000          104,399  

Vale SA

   Metals & Mining        1,662,580          18,623,937  

Vamos Locacao de Caminhoes Maquinas e Equipamentos SA

   Ground Transportation        161,500          220,104  

Vibra Energia SA

   Specialty Retail        484,500          1,823,052  

WEG SA

   Electrical Equipment        636,500          4,834,670  
            

 

 

 
               106,824,930  
            

 

 

 

United States 2.1%

            

a JBS SA

   Food Products        579,500          3,366,754  
            

 

 

 

Total Common Stocks (Cost $105,340,891)

            110,191,684  
            

 

 

 

Preferred Stocks 28.3%

            

Brazil 28.3%

            

a Alpargatas SA, pfd.

   Textiles, Apparel & Luxury Goods        104,500          171,581  

c Banco Bradesco SA, 9.006%, pfd.

   Banks        2,223,000          4,954,719  

c Bradespar SA, 15.084%, pfd.

   Metals & Mining        114,000          379,901  

a Braskem SA, Class A, pfd.

   Chemicals        85,500          274,920  

c Centrais Eletricas Brasileiras SA, Class B, 4.546%, pfd.

   Electric Utilities        123,500          891,601  

c Cia Energetica de Minas Gerais, 9.565%, pfd.

   Electric Utilities        703,040          1,251,801  

c Cia Paranaense de Energia - Copel, Class B, Class B, 3.548%, pfd.

   Electric Utilities        570,000          954,370  

c CTEEP-Cia de Transmissao de Energia Eletrica Paulista, 7.133%, pfd.

   Electric Utilities        76,000          359,308  

c Gerdau SA, 6.055%, pfd.

   Metals & Mining        551,000          1,823,291  

c Itau Unibanco Holding SA, 6.674%, pfd.

   Banks        2,080,500          12,139,637  

c Itausa SA, 7.78%, pfd.

   Banks        2,327,567          4,115,026  

c Metalurgica Gerdau SA, 13.427%, pfd.

   Metals & Mining        294,500          564,669  

c Petroleo Brasileiro SA, 13.798%, pfd.

   Oil, Gas & Consumable Fuels        2,403,500          16,464,848  

c Unipar Carbocloro SA, Class B, 5.675%, pfd.

   Chemicals        20,724          182,039  

c Usinas Siderurgicas de Minas Gerais SA Usiminas, Class A, 3.578%, pfd.

   Metals & Mining        209,000          297,633  
            

 

 

 

Total Preferred Stocks (Cost $40,892,772)

            44,825,344  
         

 

 

 

Right 0.0%

         

Brazil 0.0%

            

a Localiza Rent a Car SA

   Ground Transportation        3,648          5,911  
            

 

 

 

Total Rights (Cost $0)

            5,911  
         

 

 

 

Total Investments before Short-Term Investments (Cost $146,233,663)

               155,022,939  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Short-Term Investments 0.0%

            

Money Market Funds 0.0%

            

United States 0.0%

            

d,e Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        61,192          61,192  
            

 

 

 

Total Short-Term Investments (Cost $61,192)

            61,192  
            

 

 

 

Total Investments (Cost $146,294,855) 97.7%

            155,084,131  

Other Assets, less Liabilities 2.3%

               3,674,209  
            

 

 

 

Net Assets 100.0%

             $ 158,758,340  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $3,596,863, representing 2.3% of net assets.

cVariable rate security. The rate shown represents the yield at period end.

dThe rate shown is the annualized seven-day effective yield at period end.

eSee Note 3 regarding investments in affiliated management investment companies.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

 

Futures Contracts               
Description    Type     

Number of

Contracts

    

Notional

Amount*

    

Expiration

Date

    

Value/Unrealized

Appreciation

(Depreciation)

 

Equity Contracts

              

Bovespa Index

     Long        170        $3,838,034        8/14/24        $69,130  

*As of period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Canada ETF    Industry      Shares        Value  

Common Stocks 99.5%

            

Canada 96.8%

            

Agnico Eagle Mines Ltd.

   Metals & Mining        112,266        $ 7,341,369  

Alimentation Couche-Tard, Inc.

   Consumer Staples Distribution & Retail        163,317          9,162,748  

Bank of Montreal

   Banks        163,779          13,744,102  

Bank of Nova Scotia

   Banks        275,814          12,614,053  

Barrick Gold Corp.

   Metals & Mining        396,396          6,610,704  

BCE, Inc.

   Diversified Telecommunication Services        68,607          2,221,636  

Brookfield Asset Management Ltd., Class A

   Capital Markets        93,324          3,551,952  

Brookfield Corp.

   Capital Markets        335,412          13,947,413  

Cameco Corp.

   Oil, Gas & Consumable Fuels        97,944          4,817,927  

Canadian Imperial Bank of Commerce, Class A

   Banks        211,596          10,059,064  

Canadian National Railway Co.

   Ground Transportation        126,819          14,982,687  

Canadian Natural Resources Ltd.

   Oil, Gas & Consumable Fuels        474,243          16,888,853  

Canadian Pacific Kansas City Ltd.

   Ground Transportation        210,672          16,587,716  

Cenovus Energy, Inc.

   Oil, Gas & Consumable Fuels        293,832          5,774,212  

a CGI, Inc., Class A

   IT Services        45,969          4,587,326  

Constellation Software, Inc.

   Software        4,476          12,894,256  

Dollarama, Inc.

   Broadline Retail        61,215          5,588,019  

Enbridge, Inc.

   Oil, Gas & Consumable Fuels        479,787          17,065,249  

Fairfax Financial Holdings Ltd.

   Insurance        4,826          5,488,982  

Fortis, Inc.

   Electric Utilities        111,111          4,317,442  

Franco-Nevada Corp.

   Metals & Mining        43,197          5,120,440  

George Weston Ltd.

   Consumer Staples Distribution & Retail        12,705          1,827,176  

Great-West Lifeco, Inc.

   Insurance        62,139          1,812,378  

b Hydro One Ltd.

   Electric Utilities        71,610          2,085,474  

Imperial Oil Ltd.

   Oil, Gas & Consumable Fuels        36,729          2,503,805  

Intact Financial Corp.

   Insurance        40,194          6,697,580  

Loblaw Cos. Ltd.

   Consumer Staples Distribution & Retail        33,033          3,831,138  

Magna International, Inc.

   Automobile Components        60,522          2,536,143  

Manulife Financial Corp.

   Insurance        407,715          10,854,721  

Metro, Inc., Class A

   Consumer Staples Distribution & Retail        46,431          2,571,714  

National Bank of Canada

   Banks        76,461          6,063,349  

Nutrien Ltd.

   Chemicals        111,573          5,679,146  

Pembina Pipeline Corp.

   Oil, Gas & Consumable Fuels        124,047          4,601,619  

Power Corp. of Canada

   Insurance        123,123          3,421,008  

Restaurant Brands International, Inc.

   Hotels, Restaurants & Leisure        70,455          4,963,541  

Royal Bank of Canada

   Banks        318,087          33,857,837  

Saputo, Inc.

   Food Products        54,978          1,234,278  

a Shopify, Inc., Class A

   IT Services        272,349          17,994,719  

Sun Life Financial, Inc.

   Insurance        131,901          6,466,123  

Suncor Energy, Inc.

   Oil, Gas & Consumable Fuels        290,829          11,083,957  

TC Energy Corp.

   Oil, Gas & Consumable Fuels        234,234          8,877,389  

Teck Resources Ltd., Class B

   Metals & Mining        102,102          4,891,882  

TELUS Corp.

   Diversified Telecommunication Services        111,342          1,685,163  

Thomson Reuters Corp.

   Professional Services        31,185          5,255,653  

Toronto-Dominion Bank

   Banks        398,244          21,886,176  

Tourmaline Oil Corp.

   Oil, Gas & Consumable Fuels        75,306          3,414,870  

Wheaton Precious Metals Corp.

   Metals & Mining        102,102          5,352,268  
            

 

 

 
               374,815,257  
            

 

 

 

United States 2.7%

            

Waste Connections, Inc.

   Commercial Services & Supplies        58,212          10,211,296  
            

 

 

 

Total Common Stocks (Cost $374,231,661)

            385,026,553  
         

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Warrant 0.0%

            

Canada 0.0%

            

a,c Constellation Software, Inc.

   Software        3,981           
            

 

 

 

Total Warrants (Cost $0)

                
            

 

 

 

Total Investments before Short-Term Investments
(Cost $374,231,661)

            385,026,553  
            

 

 

 

Short-Term Investments 0.3%

            

Time Deposits 0.3%

            

Canada 0.3%

            

Royal Bank of Canada, 4.65%, 7/02/2024

          1,720,000          1,256,988  
            

 

 

 

Money Market Funds 0.0%

            

United States 0.0%

            

d,e Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        19,899          19,899  
            

 

 

 

Total Short-Term Investments (Cost $1,276,887)

            1,276,887  
            

 

 

 

Total Investments (Cost $375,508,548) 99.8%

            386,303,440  

Other Assets, less Liabilities 0.2%

               860,280  
            

 

 

 

Net Assets 100.0%

             $ 387,163,720  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $2,085,474, representing 0.5% of net assets.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

dThe rate shown is the annualized seven-day effective yield at period end.

eSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Index Contracts

              

S&P/TSX 60 Index

     Long        9        $1,723,901        9/19/24        $16,706  

*As of period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE China ETF    Industry      Shares        Value  

Common Stocks 99.0%

            

China 95.8%

            

360 Security Technology, Inc., Class A

   Software        33,000        $ 34,714  

37 Interactive Entertainment Network Technology Group Co. Ltd., Class A

   Entertainment        6,600          11,797  

a 3peak, Inc., Class A

   Semiconductors & Semiconductor Equipment        484          6,484  

a,b 3SBio, Inc., Class A

   Biotechnology        99,000          81,661  

Addsino Co. Ltd., Class A

   Communications Equipment        6,600          5,297  

Advanced Micro-Fabrication Equipment, Inc. China, Class A

   Semiconductors & Semiconductor Equipment        2,441          47,230  

AECC Aero-Engine Control Co. Ltd., Class A

   Aerospace & Defense        6,600          18,143  

AECC Aviation Power Co. Ltd., Class A

   Aerospace & Defense        9,900          49,562  

Agricultural Bank of China Ltd., Class A

   Banks        320,100          191,161  

Agricultural Bank of China Ltd., Class H

   Banks        1,617,000          691,751  

Aier Eye Hospital Group Co. Ltd., Class A

   Health Care Providers & Services        38,384          54,257  

a Air China Ltd., Class A

   Passenger Airlines        36,300          36,694  

a Air China Ltd., Class H

   Passenger Airlines        90,000          41,845  

a,b Akeso, Inc.

   Biotechnology        36,200          175,033  

Alibaba Group Holding Ltd., Class A

   Broadline Retail        897,456           8,103,933  

Aluminum Corp. of China Ltd., Class A

   Metals & Mining        49,500          51,732  

Aluminum Corp. of China Ltd., Class H

   Metals & Mining        198,000          135,172  

Amlogic Shanghai Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,794          14,576  

a Angang Steel Co. Ltd., Class A

   Metals & Mining        26,400          7,666  

a Angang Steel Co. Ltd., Class H

   Metals & Mining        84,000          13,126  

Angel Yeast Co. Ltd., Class A

   Food Products        3,300          12,624  

b Angelalign Technology, Inc.

   Health Care Equipment & Supplies        2,400          17,445  

Anhui Anke Biotechnology Group Co. Ltd., Class A

   Biotechnology        7,716          9,026  

Anhui Conch Cement Co. Ltd., Class A

   Construction Materials        16,500          53,314  

Anhui Conch Cement Co. Ltd., Class H

   Construction Materials        64,310          153,209  

Anhui Expressway Co. Ltd., Class H

   Transportation Infrastructure        18,000          21,556  

Anhui Gujing Distillery Co. Ltd., Class A

   Beverages        1,800          52,039  

Anhui Gujing Distillery Co. Ltd., Class B

   Beverages        6,600          98,213  

a Anhui Jianghuai Automobile Group Corp. Ltd., Class A

   Automobiles        9,900          21,479  

Anhui Zhongding Sealing Parts Co. Ltd., Class A

   Automobile Components        6,600          11,065  

Anjoy Foods Group Co. Ltd., Class A

   Food Products        1,100          11,196  

ANTA Sports Products Ltd., Class A

   Textiles, Apparel & Luxury Goods        66,120          635,167  

Apeloa Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        6,600          12,267  

Asymchem Laboratories Tianjin Co. Ltd., Class A

   Pharmaceuticals        1,200          10,815  

Autohome, Inc., ADR

   Interactive Media & Services        3,267          89,679  

Avary Holding Shenzhen Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,300          17,972  

AVIC Industry-Finance Holdings Co. Ltd., Class A

   Financial Services        36,300          11,038  

AviChina Industry & Technology Co. Ltd., Class H

   Aerospace & Defense        132,000          59,344  

Avicopter PLC, Class A

   Aerospace & Defense        3,300          18,582  

a BAIC BluePark New Energy Technology Co. Ltd., Class A

   Automobiles        26,400          29,217  

b BAIC Motor Corp. Ltd., Class H

   Automobiles        132,000          33,814  

a Baidu, Inc., Class A

   Interactive Media & Services        117,150          1,279,176  

Bank of Beijing Co. Ltd., Class A

   Banks        75,900          60,713  

Bank of Changsha Co. Ltd., Class A

   Banks        16,500          18,487  

Bank of Chengdu Co. Ltd., Class A

   Banks        6,600          13,732  

Bank of China Ltd., Class A

   Banks        161,700          102,324  

Bank of China Ltd., Class H

   Banks        4,422,000          2,180,585  

Bank of Communications Co. Ltd., Class A

   Banks        145,200          148,564  

Bank of Communications Co. Ltd., Class H

   Banks        396,000          310,920  

Bank of Guiyang Co. Ltd., Class A

   Banks        16,500          11,910  

Bank of Hangzhou Co. Ltd., Class A

   Banks        23,100          41,290  

Bank of Jiangsu Co. Ltd., Class A

   Banks        69,300          70,526  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Bank of Nanjing Co. Ltd., Class A

   Banks        36,300          51,659  

Bank of Ningbo Co. Ltd., Class A

   Banks        23,120          69,859  

Bank of Qingdao Co. Ltd., Class A

   Banks        19,800          9,139  

Bank of Shanghai Co. Ltd., Class A

   Banks        49,500          49,223  

a Bank of Zhengzhou Co. Ltd., Class A

   Banks        27,378          6,487  

Baoshan Iron & Steel Co. Ltd., Class A

   Metals & Mining        69,300          63,122  

BBMG Corp., Class A

   Construction Materials        39,600          7,431  

BBMG Corp., Class H

   Construction Materials        132,000          9,468  

a BeiGene Ltd.

   Biotechnology        33,000          364,347  

Beijing Capital Eco-Environment Protection Group Co. Ltd., Class A

   Water Utilities        33,000          12,114  

a Beijing Capital International Airport Co. Ltd., Class H

   Transportation Infrastructure        66,000          21,810  

Beijing Dabeinong Technology Group Co. Ltd., Class A

   Food Products        16,500          8,701  

Beijing Easpring Material Technology Co. Ltd., Class A

   Electrical Equipment        3,300          15,508  

a Beijing E-Hualu Information Technology Co. Ltd., Class A

   Software        3,300          7,607  

Beijing Enlight Media Co. Ltd., Class A

   Entertainment        13,200          15,205  

Beijing Enterprises Holdings Ltd., Class H

   Gas Utilities        26,000          87,251  

a Beijing Jetsen Technology Co. Ltd., Class A

   Entertainment        9,900          5,031  

Beijing Jingneng Clean Energy Co. Ltd., Class H

   Independent Power Producers & Energy Traders        66,000          15,724  

Beijing Kingsoft Office Software, Inc., Class A

   Software        1,829          56,993  

Beijing New Building Materials PLC, Class A

   Building Products        6,600          26,813  

a Beijing Orient National Communication Science & Technology Co. Ltd., Class A

   Software        6,600          5,532  

Beijing Originwater Technology Co. Ltd., Class A

   Commercial Services & Supplies        16,535          9,490  

Beijing Roborock Technology Co. Ltd., Class A

   Household Durables        529          28,447  

Beijing Shiji Information Technology Co. Ltd., Class A

   Software        12,524          9,829  

a Beijing Shougang Co. Ltd., Class A

   Metals & Mining        33,000          12,294  

a Beijing Shunxin Agriculture Co. Ltd., Class A

   Beverages        3,300          7,567  

Beijing Sinnet Technology Co. Ltd., Class A

   IT Services        6,800          7,870  

Beijing Tiantan Biological Products Corp. Ltd., Class A

   Biotechnology        7,920          26,469  

Beijing Tongrentang Co. Ltd., Class A

   Pharmaceuticals        6,600          34,542  

Beijing Ultrapower Software Co. Ltd., Class A

   IT Services        6,600          7,341  

a Beijing United Information Technology Co. Ltd., Class A

   Trading Companies & Distributors        2,523          6,777  

Beijing Wantai Biological Pharmacy Enterprise Co. Ltd., Class A

   Biotechnology        1,721          15,530  

Beijing Yanjing Brewery Co. Ltd., Class A

   Beverages        13,200          15,965  

Beijing Yuanliu Hongyuan Electronic Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        800          3,737  

Beijing Zhong Ke San Huan High-Tech Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,660          3,835  

Beijing-Shanghai High Speed Railway Co. Ltd., Class A

   Ground Transportation        105,600          77,672  

Bethel Automotive Safety Systems Co. Ltd., Class A

   Automobile Components        2,240          11,935  

a Bilibili, Inc., Class Z

   Entertainment        15,180          246,733  

a Bloomage Biotechnology Corp. Ltd., Class A

   Biotechnology        1,185          9,182  

b Blue Moon Group Holdings Ltd.

   Household Products        49,500          13,124  

Bluefocus Intelligent Communications Group Co. Ltd., Class A

   Media        9,900          7,377  

BOC International China Co. Ltd., Class A

   Capital Markets        3,300          4,104  

BOE Technology Group Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        145,200          81,342  

BOE Technology Group Co. Ltd., Class B

   Electronic Equipment, Instruments & Components        39,600          12,934  

Bright Dairy & Food Co. Ltd., Class A

   Food Products        6,600          7,024  

BTG Hotels Group Co. Ltd., Class A

   Hotels, Restaurants & Leisure        3,300          5,582  

BYD Co. Ltd., Class A

   Automobiles        7,100          243,365  

BYD Co. Ltd., Class H

   Automobiles        51,871          1,541,367  

BYD Electronic International Co. Ltd.

   Communications Equipment        40,500          202,308  

By-health Co. Ltd., Class A

   Personal Care Products        6,600          12,249  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

C&D International Investment Group Ltd.

   Real Estate Management & Development        33,000          61,373  

C&S Paper Co. Ltd., Class A

   Household Products        6,600          6,256  

Caida Securities Co. Ltd., Class A

   Capital Markets        6,600          5,180  

Caitong Securities Co. Ltd., Class A

   Capital Markets        19,860          17,981  

a Cambricon Technologies Corp. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,692          46,043  

Canmax Technologies Co. Ltd., Class A

   Chemicals        4,170          9,813  

a,b CanSino Biologics, Inc., Class H

   Biotechnology        5,300          13,265  

a CECEP Solar Energy Co. Ltd., Class A

   Independent Power Producers & Energy Traders        16,500          10,645  

CECEP Wind-Power Corp., Class A

   Independent Power Producers & Energy Traders        29,980          12,278  

a Central China Securities Co. Ltd., Class A

   Capital Markets        13,200          6,165  

a,c Central China Securities Co. Ltd., Class H

   Capital Markets        66,000          8,538  

CETC Cyberspace Security Technology Co. Ltd., Class A

   Software        3,300          6,432  

CGN Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        29,700          18,835  

b CGN Power Co. Ltd., Class H

   Independent Power Producers & Energy Traders        594,000          261,721  

Changchun High-Tech Industry Group Co. Ltd., Class A

   Pharmaceuticals        1,800          22,626  

Changjiang Securities Co. Ltd., Class A

   Capital Markets        23,100          15,282  

Changzhou Xingyu Automotive Lighting Systems Co. Ltd., Class A

   Automobile Components        1,000          15,346  

Chaozhou Three-Circle Group Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        6,600          26,388  

Chengdu Xingrong Environment Co. Ltd., Class A

   Water Utilities        13,200          13,596  

Chengxin Lithium Group Co. Ltd., Class A

   Chemicals        3,300          6,066  

China Baoan Group Co. Ltd., Class A

   Industrial Conglomerates        9,900          11,662  

a,b China Bohai Bank Co. Ltd., Class H

   Banks        165,000          20,077  

China Cinda Asset Management Co. Ltd., Class H

   Capital Markets        429,000          35,716  

China CITIC Bank Corp. Ltd., Class A

   Banks        92,400          84,796  

a China CITIC Bank Corp. Ltd., Class H

   Banks        495,000          317,641  

a,b China CITIC Financial Asset Management Co. Ltd., Class H

   Capital Markets        825,000          36,984  

China Coal Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        19,800          33,846  

a China Coal Energy Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        115,000          134,334  

China Communications Services Corp. Ltd., Class H

   Construction & Engineering        132,000          71,179  

a China Conch Venture Holdings Ltd.

   Construction & Engineering        82,500          76,927  

China Construction Bank Corp., Class A

   Banks        33,000          33,448  

China Construction Bank Corp., Class H

   Banks        4,917,000          3,633,872  

China CSSC Holdings Ltd., Class A

   Machinery        16,500          92,005  

a China Eastern Airlines Corp. Ltd., Class A

   Passenger Airlines        66,000          36,251  

a China Eastern Airlines Corp. Ltd., Class H

   Passenger Airlines        66,000          16,569  

a China Energy Engineering Corp. Ltd., Class A

   Construction & Engineering        128,700          37,372  

a China Energy Engineering Corp. Ltd., Class H

   Construction & Engineering        264,000          29,080  

China Everbright Bank Co. Ltd., Class A

   Banks        171,600          74,508  

a China Everbright Bank Co. Ltd., Class H

   Banks        165,000          51,355  

b China Feihe Ltd.

   Food Products        198,000          91,552  

China Galaxy Securities Co. Ltd., Class A

   Capital Markets        33,000          49,087  

China Galaxy Securities Co. Ltd., Class H

   Capital Markets        198,000          103,725  

China Great Wall Securities Co. Ltd., Class A

   Capital Markets        13,200          12,114  

China Greatwall Technology Group Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        13,200          15,820  

a China Green Electricity Investment of Tianjin Co. Ltd., Class A

   Real Estate Management & Development        6,600          8,615  

China Hongqiao Group Ltd.

   Metals & Mining        115,500          174,861  

China International Capital Corp. Ltd., Class A

   Capital Markets        3,300          13,384  

b China International Capital Corp. Ltd., Class H

   Capital Markets        79,200          88,153  

China International Marine Containers Group Co. Ltd., Class A

   Machinery        10,350          13,127  

China International Marine Containers Group Co. Ltd., Class H

   Machinery        36,300          32,732  

China Jinmao Holdings Group Ltd., Class A

   Real Estate Management & Development        330,000          26,206  

China Jushi Co. Ltd., Class A

   Construction Materials        14,487          21,926  

China Lesso Group Holdings Ltd.

   Building Products        33,000          13,187  

China Life Insurance Co. Ltd., Class H

   Insurance        391,853          554,097  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a,b China Literature Ltd., Class A

   Media        19,800          63,782  

China Longyuan Power Group Corp. Ltd., Class H

   Independent Power Producers & Energy Traders        165,000          148,359  

China Medical System Holdings Ltd.

   Pharmaceuticals        66,000          55,962  

China Meheco Group Co. Ltd., Class A

   Health Care Providers & Services        6,640          9,204  

China Meidong Auto Holdings Ltd.

   Specialty Retail        22,000          5,917  

China Merchants Bank Co. Ltd., Class A

   Banks        75,900          355,441  

China Merchants Bank Co. Ltd., Class H

   Banks        200,500          910,383  

a China Merchants Energy Shipping Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        33,000          38,194  

China Merchants Expressway Network & Technology Holdings Co. Ltd., Class A

   Transportation Infrastructure        28,100          45,648  

China Merchants Port Holdings Co. Ltd.

   Transportation Infrastructure        68,780          102,367  

China Merchants Property Operation & Service Co. Ltd., Class A

   Real Estate Management & Development        3,300          4,529  

China Merchants Securities Co. Ltd., Class A

   Capital Markets        29,700          56,586  

b China Merchants Securities Co. Ltd., Class H

   Capital Markets        19,800          15,647  

a China Merchants Shekou Industrial Zone Holdings Co. Ltd., Class A

   Real Estate Management & Development        33,000          39,731  

a China Minsheng Banking Corp. Ltd., Class A

   Banks        125,400          65,097  

China Minsheng Banking Corp. Ltd., Class H

   Banks        346,500          119,829  

China National Accord Medicines Corp. Ltd., Class B

   Health Care Providers & Services        4,170          7,803  

China National Building Material Co. Ltd., Class H

   Construction Materials        264,000          94,679  

a China National Chemical Engineering Co. Ltd., Class A

   Construction & Engineering        26,400          29,796  

China National Nuclear Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        62,700          91,549  

a China National Software & Service Co. Ltd., Class A

   Software        4,170          17,089  

China Northern Rare Earth Group High-Tech Co. Ltd., Class A

   Metals & Mining        13,200          31,098  

China Oilfield Services Ltd., Class A

   Energy Equipment & Services        6,600          15,549  

China Oilfield Services Ltd., Class H

   Energy Equipment & Services        100,000          96,063  

China Overseas Land & Investment Ltd., Class A

   Real Estate Management & Development        198,000          343,382  

a China Pacific Insurance Group Co. Ltd., Class A

   Insurance        26,400          100,742  

China Pacific Insurance Group Co. Ltd., Class H

   Insurance        132,000          322,248  

China Petroleum & Chemical Corp., Class A

   Oil, Gas & Consumable Fuels        161,700          139,976  

China Petroleum & Chemical Corp., Class H

   Oil, Gas & Consumable Fuels        1,254,000          812,721  

China Railway Group Ltd., Class A

   Construction & Engineering        82,500          73,676  

China Railway Group Ltd., Class H

   Construction & Engineering        231,000          127,521  

China Railway Signal & Communication Corp. Ltd., Class A

   Electronic Equipment, Instruments & Components        28,578          23,486  

b China Railway Signal & Communication Corp. Ltd., Class H

   Electronic Equipment, Instruments & Components        66,000          28,404  

China Rare Earth Resources & Technology Co. Ltd., Class A

   Metals & Mining        6,600          22,916  

a China Reinsurance Group Corp., Class H

   Insurance        396,000          28,911  

China Resources Building Materials Technology Holdings Ltd.

   Construction Materials        132,000          23,332  

China Resources Double Crane Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        3,300          8,850  

China Resources Microelectronics Ltd., Class A

   Semiconductors & Semiconductor Equipment        4,137          21,215  

b China Resources Mixc Lifestyle Services Ltd.

   Real Estate Management & Development        33,000          109,262  

b China Resources Pharmaceutical Group Ltd., Class A

   Pharmaceuticals        82,500          61,182  

China Resources Power Holdings Co. Ltd.

   Independent Power Producers & Energy Traders        101,700          311,975  

China Resources Sanjiu Medical & Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        5,850          34,118  

a China Ruyi Holdings Ltd.

   Entertainment        264,000          71,010  

China Shenhua Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        26,400          160,443  

China Shenhua Energy Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        178,265          820,840  

China South Publishing & Media Group Co. Ltd., Class A

   Media        6,600          11,228  

a China Southern Airlines Co. Ltd., Class A

   Passenger Airlines        49,500          39,934  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a China Southern Airlines Co. Ltd., Class H

   Passenger Airlines        86,000          32,164  

China Southern Power Grid Energy Efficiency&Clean Energy Co. Ltd., Class A

   Commercial Services & Supplies        13,200          7,955  

China State Construction Engineering Corp. Ltd., Class A

   Construction & Engineering        151,800          110,406  

China Suntien Green Energy Corp. Ltd., Class H

   Oil, Gas & Consumable Fuels        99,000          44,888  

China Taiping Insurance Holdings Co. Ltd.

   Insurance        79,200          80,951  

China Three Gorges Renewables Group Co. Ltd., Class A

   Independent Power Producers & Energy Traders        95,700          57,151  

China Tourism Group Duty Free Corp. Ltd., Class A

   Specialty Retail        7,900          67,618  

b China Tourism Group Duty Free Corp. Ltd., Class H

   Specialty Retail        6,600          40,450  

b China Tower Corp. Ltd., Class H

   Diversified Telecommunication Services        2,442,000          315,908  

China TransInfo Technology Co. Ltd., Class A

   IT Services        3,300          4,100  

China United Network Communications Ltd., Class A

   Wireless Telecommunication Services        105,600          67,981  

China Vanke Co. Ltd., Class A

   Real Estate Management & Development        39,600          37,588  

China Vanke Co. Ltd., Class H

   Real Estate Management & Development        118,800          70,756  

China World Trade Center Co. Ltd., Class A

   Real Estate Management & Development        3,300          9,926  

China XD Electric Co. Ltd., Class A

   Electrical Equipment        23,100          25,439  

China Yangtze Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        95,700          379,085  

China Zhenhua Group Science & Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,300          18,772  

China Zheshang Bank Co. Ltd., Class A

   Banks        42,900          16,218  

Chinalin Securities Co. Ltd., Class A

   Capital Markets        3,300          4,511  

Chinese Universe Publishing & Media Group Co. Ltd., Class A

   Media        6,600          13,415  

Chongqing Brewery Co. Ltd., Class A

   Beverages        1,700          14,134  

Chongqing Changan Automobile Co. Ltd., Class A

   Automobiles        34,144          62,808  

Chongqing Changan Automobile Co. Ltd., Class B

   Automobiles        86,372          40,601  

Chongqing Fuling Zhacai Group Co. Ltd., Class A

   Food Products        4,170          6,997  

Chongqing Rural Commercial Bank Co. Ltd., Class A

   Banks        19,800          13,614  

Chongqing Rural Commercial Bank Co. Ltd., Class H

   Banks        132,000          64,754  

Chongqing Water Group Co. Ltd., Class A

   Water Utilities        9,900          6,509  

a Chongqing Zhifei Biological Products Co. Ltd., Class A

   Biotechnology        9,900          38,009  

CITIC Ltd., Class B

   Industrial Conglomerates        330,000          300,100  

Citic Pacific Special Steel Group Co. Ltd., Class A

   Metals & Mining        20,680          38,438  

CITIC Securities Co. Ltd., Class A

   Capital Markets        46,200          115,360  

CITIC Securities Co. Ltd., Class H

   Capital Markets        86,200          126,969  

CMOC Group Ltd., Class A

   Metals & Mining        36,300          42,262  

CMOC Group Ltd., Class H

   Metals & Mining        201,000          183,818  

CMST Development Co. Ltd., Class A

   Air Freight & Logistics        9,900          6,522  

CNGR Advanced Material Co. Ltd., Class A

   Chemicals        4,580          19,441  

CNOOC Energy Technology & Services Ltd., Class A

   Energy Equipment & Services        23,100          13,036  

CNPC Capital Co. Ltd., Class A

   Banks        19,800          14,970  

Contemporary Amperex Technology Co. Ltd., Class A

   Electrical Equipment        16,500          406,870  

COSCO SHIPPING Development Co. Ltd., Class A

   Trading Companies & Distributors        46,200          16,326  

COSCO SHIPPING Development Co. Ltd., Class H

   Trading Companies & Distributors        198,000          28,657  

COSCO SHIPPING Energy Transportation Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        13,200          28,223  

COSCO SHIPPING Energy Transportation Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        70,000          90,914  

COSCO SHIPPING Holdings Co. Ltd., Class A

   Marine Transportation        48,180          102,222  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

COSCO SHIPPING Holdings Co. Ltd., Class H

   Marine Transportation        148,500          259,819  

a,d Country Garden Holdings Co. Ltd.

   Real Estate Management & Development        770,000          47,833  

Country Garden Services Holdings Co. Ltd.

   Real Estate Management & Development        106,900          65,996  

CRRC Corp. Ltd., Class A

   Machinery        95,700          98,442  

CRRC Corp. Ltd., Class H

   Machinery        198,000          127,817  

CSC Financial Co. Ltd., Class A

   Capital Markets        19,800          52,179  

b CSC Financial Co. Ltd., Class H

   Capital Markets        33,000          24,473  

CSG Holding Co. Ltd., Class A

   Construction Materials        6,600          4,556  

CSG Holding Co. Ltd., Class B

   Construction Materials        52,800          17,448  

CSPC Innovation Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        4,900          16,933  

CSPC Pharmaceutical Group Ltd.

   Pharmaceuticals        440,000          350,539  

Daan Gene Co. Ltd., Class A

   Biotechnology        4,540          3,109  

a Dada Nexus Ltd., Class A, ADR

   Consumer Staples Distribution & Retail        4,290          5,405  

Daqin Railway Co. Ltd., Class A

   Ground Transportation        59,400          58,254  

a Daqo New Energy Corp., ADR

   Semiconductors & Semiconductor Equipment        2,673          39,026  

Datang International Power Generation Co. Ltd., Class A

   Independent Power Producers & Energy Traders        29,700          12,245  

Datang International Power Generation Co. Ltd., Class H

   Independent Power Producers & Energy Traders        132,000          28,235  

DHC Software Co. Ltd., Class A

   IT Services        19,800          12,258  

Dian Diagnostics Group Co. Ltd., Class A

   Health Care Providers & Services        3,300          5,424  

Do-Fluoride New Materials Co. Ltd., Class A

   Chemicals        4,460          7,471  

Dong-E-E-Jiao Co. Ltd., Class A

   Pharmaceuticals        3,300          28,295  

Dongfang Electric Corp. Ltd., Class A

   Electrical Equipment        9,900          25,018  

Dongfang Electric Corp. Ltd., Class H

   Electrical Equipment        19,800          31,549  

a Dongfeng Motor Group Co. Ltd., Class H

   Automobiles        122,800          35,075  

Dongguan Yiheda Automation Co. Ltd., Class A

   Machinery        3,300          8,886  

Dongxing Securities Co. Ltd., Class A

   Capital Markets        13,200          14,392  

a,b East Buy Holding Ltd.

   Consumer Staples Distribution & Retail        22,500          36,369  

East Group Co. Ltd., Class A

   Electrical Equipment        9,900          5,438  

East Money Information Co. Ltd., Class A

   Capital Markets        62,776          90,800  

a Eastern Air Logistics Co. Ltd., Class A

   Air Freight & Logistics        6,600          18,396  

Eastroc Beverage Group Co. Ltd., Class A

   Beverages        700          20,686  

Ecovacs Robotics Co. Ltd., Class A

   Household Durables        2,200          14,217  

ENN Energy Holdings Ltd.

   Gas Utilities        39,600          326,390  

ENN Natural Gas Co. Ltd., Class A

   Gas Utilities        13,200          37,607  

a Eoptolink Technology, Inc. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,300          47,709  

Eternal Asia Supply Chain Management Ltd., Class A

   Commercial Services & Supplies        13,200          5,135  

Eve Energy Co. Ltd., Class A

   Electrical Equipment        7,600          41,556  

Everbright Securities Co. Ltd., Class A

   Capital Markets        19,800          39,650  

a Fangda Carbon New Material Co. Ltd., Class A

   Electrical Equipment        16,500          9,741  

FAW Jiefang Group Co. Ltd.

   Machinery        9,900          10,618  

Fiberhome Telecommunication Technologies Co. Ltd., Class A

   Communications Equipment        6,600          14,374  

Financial Street Holdings Co. Ltd., Class A

   Real Estate Management & Development        13,200          4,249  

First Capital Securities Co. Ltd., Class A

   Capital Markets        19,800          13,804  

Flat Glass Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        6,600          18,170  

Flat Glass Group Co. Ltd., Class H

   Semiconductors & Semiconductor Equipment        23,000          33,878  

Focus Media Information Technology Co. Ltd., Class A

   Media        56,100          46,565  

Foshan Haitian Flavouring & Food Co. Ltd., Class A

   Food Products        18,873          89,106  

Fosun International Ltd.

   Industrial Conglomerates        115,500          62,133  

Founder Securities Co. Ltd., Class A

   Capital Markets        36,300          38,434  

Foxconn Industrial Internet Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        46,200          173,388  

Fujian Funeng Co. Ltd., Class A

   Independent Power Producers & Energy Traders        8,340          13,320  

Fujian Sunner Development Co. Ltd., Class A

   Food Products        6,600          12,331  

Full Truck Alliance Co. Ltd., ADR

   Ground Transportation        35,310          283,892  

Fuyao Glass Industry Group Co. Ltd., Class A

   Automobile Components        9,900          64,953  

b Fuyao Glass Industry Group Co. Ltd., Class H

   Automobile Components        32,600          189,360  

GalaxyCore, Inc., Class A

   Semiconductors & Semiconductor Equipment        13,200          21,895  

Gan & Lee Pharmaceuticals Co. Ltd., Class A

   Biotechnology        3,300          20,937  

Ganfeng Lithium Group Co. Ltd., Class A

   Chemicals        6,860          26,920  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

b Ganfeng Lithium Group Co. Ltd., Class H

   Chemicals        22,460          43,784  

G-bits Network Technology Xiamen Co. Ltd., Class A

   Entertainment        300          7,315  

a GCL System Integration Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        26,400          7,015  

a GCL Technology Holdings Ltd.

   Semiconductors & Semiconductor Equipment        1,089,000          161,800  

GD Power Development Co. Ltd., Class A

   Independent Power Producers & Energy Traders        66,000          54,150  

a GDS Holdings Ltd., Class A

   IT Services        36,300          43,379  

GEM Co. Ltd., Class A

   Metals & Mining        23,100          20,155  

Gemdale Corp., Class A

   Real Estate Management & Development        19,800          9,221  

a Genscript Biotech Corp.

   Life Sciences Tools & Services        56,107          59,791  

GF Securities Co. Ltd., Class A

   Capital Markets        23,100          38,506  

GF Securities Co. Ltd., Class H

   Capital Markets        59,400          49,225  

b Giant Biogene Holding Co. Ltd.

   Personal Care Products        19,800          116,278  

Giant Network Group Co. Ltd., Class A

   Entertainment        13,200          17,068  

a GigaDevice Semiconductor, Inc., Class A

   Semiconductors & Semiconductor Equipment        3,348          43,849  

Ginlong Technologies Co. Ltd., Class A

   Electrical Equipment        2,350          13,403  

Glarun Technology Co. Ltd., Class A

   Communications Equipment        6,600          12,349  

GoerTek, Inc., Class A

   Electronic Equipment, Instruments & Components        13,200          35,274  

Goldwind Science & Technology Co. Ltd., Class A

   Electrical Equipment        13,200          12,150  

Goldwind Science & Technology Co. Ltd., Class H

   Electrical Equipment        33,000          13,441  

Goneo Group Co. Ltd., Class A

   Electrical Equipment        2,175          22,975  

GoodWe Technologies Co. Ltd., Class A

   Electrical Equipment        634          4,873  

Gotion High-tech Co. Ltd., Class A

   Electrical Equipment        6,600          17,312  

a Grandjoy Holdings Group Co. Ltd., Class A

   Real Estate Management & Development        19,800          6,346  

Great Wall Motor Co. Ltd., Class A

   Automobiles        9,900          34,307  

Great Wall Motor Co. Ltd., Class H

   Automobiles        115,500          178,116  

Gree Electric Appliances, Inc. of Zhuhai, Class A

   Household Durables        16,500          88,638  

a Greenland Holdings Corp. Ltd., Class A

   Real Estate Management & Development        66,000          12,204  

Greentown China Holdings Ltd.

   Real Estate Management & Development        66,000          51,905  

GRG Banking Equipment Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        9,900          14,184  

Guangdong Baolihua New Energy Stock Co. Ltd., Class A

   Independent Power Producers & Energy Traders        9,900          6,916  

Guangdong Electric Power Development Co. Ltd., Class A

   Independent Power Producers & Energy Traders        9,900          6,888  

Guangdong Electric Power Development Co. Ltd., Class B

   Independent Power Producers & Energy Traders        46,200          12,427  

a Guangdong Golden Dragon Development, Inc., Class A

   Capital Markets        3,300          3,390  

Guangdong Haid Group Co. Ltd., Class A

   Food Products        6,800          43,822  

Guangdong HEC Technology Holding Co. Ltd., Class A

   Metals & Mining        13,200          12,728  

Guangdong Xinbao Electrical Appliances Holdings Co. Ltd., Class A

   Household Durables        3,300          6,360  

Guanghui Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        26,400          24,227  

a Guangshen Railway Co. Ltd., Class A

   Ground Transportation        26,400          11,716  

Guangshen Railway Co. Ltd., Class H

   Ground Transportation        66,000          17,921  

Guangxi Guiguan Electric Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        16,500          17,334  

Guangxi Liugong Machinery Co. Ltd., Class A

   Machinery        6,600          10,116  

Guangzhou Automobile Group Co. Ltd., Class A

   Automobiles        13,200          13,994  

Guangzhou Automobile Group Co. Ltd., Class H

   Automobiles        178,000          62,925  

Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd., Class A

   Health Care Providers & Services        6,600          26,514  

Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd., Class H

   Health Care Providers & Services        11,700          30,946  

Guangzhou Haige Communications Group, Inc. Co., Class A

   Communications Equipment        9,900          14,048  

Guangzhou Kingmed Diagnostics Group Co. Ltd., Class A

   Health Care Providers & Services        3,300          12,290  

Guangzhou Shiyuan Electronic Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,300          13,348  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Guangzhou Tinci Materials Technology Co. Ltd., Class A

   Chemicals        8,260          19,867  

Guangzhou Wondfo Biotech Co. Ltd., Class A

   Health Care Equipment & Supplies        1,300          4,345  

Guangzhou Yuexiu Capital Holdings Group Co. Ltd., Class A

   Capital Markets        9,900          6,726  

Guangzhou Zhujiang Brewery Co. Ltd., Class A

   Beverages        6,600          6,708  

a Guolian Securities Co. Ltd., Class A

   Capital Markets        10,800          14,260  

Guosen Securities Co. Ltd., Class A

   Capital Markets        26,400          31,423  

a Guosheng Financial Holding, Inc., Class A

   Capital Markets        9,900          11,485  

Guotai Junan Securities Co. Ltd., Class A

   Capital Markets        33,000          61,246  

b Guotai Junan Securities Co. Ltd., Class H

   Capital Markets        39,600          39,309  

Guoyuan Securities Co. Ltd., Class A

   Capital Markets        19,800          16,435  

H World Group Ltd.

   Hotels, Restaurants & Leisure        102,340          340,810  

b Haidilao International Holding Ltd.

   Hotels, Restaurants & Leisure        79,000          142,065  

Haier Smart Home Co. Ltd., Class A

   Household Durables        23,100          89,795  

Haier Smart Home Co. Ltd., Class H

   Household Durables        125,400          419,210  

a Hainan Airlines Holding Co. Ltd., Class A

   Passenger Airlines        174,900          24,435  

a Hainan Airport Infrastructure Co. Ltd., Class A

   Real Estate Management & Development        56,100          24,128  

Haitian International Holdings Ltd.

   Machinery        33,000          93,834  

Haitong Securities Co. Ltd., Class A

   Capital Markets        42,900          50,299  

Haitong Securities Co. Ltd., Class H

   Capital Markets        184,800          85,922  

Hang Zhou Great Star Industrial Co. Ltd., Class A

   Household Durables        6,600          22,329  

Hangzhou Binjiang Real Estate Group Co. Ltd., Class A

   Real Estate Management & Development        13,200          13,126  

Hangzhou Chang Chuan Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        3,300          12,281  

Hangzhou First Applied Material Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        5,342          10,756  

Hangzhou Lion Microelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        3,300          10,459  

Hangzhou Oxygen Plant Group Co. Ltd., Class A

   Chemicals        3,300          10,057  

Hangzhou Robam Appliances Co. Ltd., Class A

   Household Durables        3,300          9,989  

a Hangzhou Silan Microelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        6,600          15,829  

Hangzhou Tigermed Consulting Co. Ltd., Class A

   Life Sciences Tools & Services        3,300          21,967  

b Hangzhou Tigermed Consulting Co. Ltd., Class H

   Life Sciences Tools & Services        6,600          23,332  

Han’s Laser Technology Industry Group Co. Ltd., Class A

   Machinery        3,300          9,402  

b Hansoh Pharmaceutical Group Co. Ltd.

   Pharmaceuticals        55,000          114,968  

Haohua Chemical Science & Technology Co. Ltd., Class A

   Chemicals        3,300          13,063  

Harbin Boshi Automation Co. Ltd., Class A

   Machinery        3,300          5,546  

Hefei Meiya Optoelectronic Technology, Inc., Class A

   Machinery        4,080          9,221  

Heilongjiang Agriculture Co. Ltd., Class A

   Food Products        6,600          11,291  

Henan Shenhuo Coal Industry & Electricity Power Co. Ltd., Class A

   Metals & Mining        9,900          27,432  

Henan Shuanghui Investment & Development Co. Ltd., Class A

   Food Products        13,200          42,976  

Hengan International Group Co. Ltd.

   Personal Care Products        36,300          110,657  

Hengdian Group DMEGC Magnetics Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        6,600          11,273  

Hengli Petrochemical Co. Ltd., Class A

   Chemicals        13,200          25,222  

Hengtong Optic-electric Co. Ltd., Class A

   Communications Equipment        9,900          21,384  

Hengyi Petrochemical Co. Ltd., Class A

   Chemicals        13,200          12,819  

Hesteel Co. Ltd., Class A

   Metals & Mining        46,200          12,276  

Hisense Home Appliances Group Co. Ltd., Class H

   Household Durables        22,000          72,418  

Hithink RoyalFlush Information Network Co. Ltd., Class A

   Capital Markets        2,500          35,510  

HLA Group Corp. Ltd., Class A

   Specialty Retail        23,100          29,235  

a Hopson Development Holdings Ltd.

   Real Estate Management & Development        59,450          27,260  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Horizon Construction Development Ltd.

   Trading Companies & Distributors        18,333          3,522  

a Hoshine Silicon Industry Co. Ltd., Class A

   Chemicals        3,300          21,113  

Hoyuan Green Energy Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        3,360          7,865  

b Hua Hong Semiconductor Ltd.

   Semiconductors & Semiconductor Equipment        33,000          93,200  

Huadian Power International Corp. Ltd., Class A

   Independent Power Producers & Energy Traders        29,700          28,232  

Huadian Power International Corp. Ltd., Class H

   Independent Power Producers & Energy Traders        66,000          39,985  

Huadong Medicine Co. Ltd., Class A

   Health Care Providers & Services        9,900          37,711  

a Huafon Chemical Co. Ltd., Class A

   Chemicals        16,500          16,204  

Huagong Tech Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,300          13,528  

Huaibei Mining Holdings Co. Ltd., Class A

   Metals & Mining        9,900          22,700  

Hualan Biological Engineering, Inc., Class A

   Biotechnology        7,260          15,702  

Huaneng Lancang River Hydropower, Inc., Class A

   Independent Power Producers & Energy Traders        26,400          38,981  

a Huaneng Power International, Inc., Class A

   Independent Power Producers & Energy Traders        29,700          39,134  

a Huaneng Power International, Inc., Class H

   Independent Power Producers & Energy Traders        230,000          170,569  

Huapont Life Sciences Co. Ltd., Class A

   Chemicals        6,600          3,435  

Huatai Securities Co. Ltd., Class A

   Capital Markets        33,000          56,003  

b Huatai Securities Co. Ltd., Class H

   Capital Markets        72,600          80,249  

Huaxi Securities Co. Ltd., Class A

   Capital Markets        9,900          8,936  

Huaxia Bank Co. Ltd., Class A

   Banks        56,100          49,178  

Huaxin Cement Co. Ltd., Class A

   Construction Materials        6,600          12,430  

Huaxin Cement Co. Ltd., Class H

   Construction Materials        17,700          17,094  

Huayu Automotive Systems Co. Ltd., Class A

   Automobile Components        13,200          29,615  

a Hubei Biocause Pharmaceutical Co. Ltd., Class A

   Insurance        16,500          3,955  

Hubei Energy Group Co. Ltd., Class A

   Independent Power Producers & Energy Traders        29,700          24,449  

Hubei Xingfa Chemicals Group Co. Ltd., Class A

   Chemicals        6,600          17,248  

Huizhou Desay Sv Automotive Co. Ltd., Class A

   Automobile Components        2,300          27,436  

Humanwell Healthcare Group Co. Ltd., Class A

   Pharmaceuticals        6,600          15,522  

Hunan Gold Corp. Ltd., Class A

   Metals & Mining        3,300          8,181  

Hunan Valin Steel Co. Ltd., Class A

   Metals & Mining        26,400          16,019  

Hundsun Technologies, Inc., Class A

   Software        7,706          18,640  

a,b Hygeia Healthcare Holdings Co. Ltd., Class C

   Health Care Providers & Services        19,800          71,390  

Hygon Information Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        8,678          83,584  

IEIT Systems Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        6,708          33,417  

Iflytek Co. Ltd., Class A

   Software        9,900          58,240  

Imeik Technology Development Co. Ltd., Class A

   Biotechnology        1,120          26,401  

Industrial & Commercial Bank of China Ltd., Class A

   Banks        283,800          221,571  

Industrial & Commercial Bank of China Ltd., Class H

   Banks        4,158,000          2,471,132  

a Industrial Bank Co. Ltd., Class A

   Banks        75,900          183,178  

Industrial Securities Co. Ltd., Class A

   Capital Markets        34,890          24,181  

Ingenic Semiconductor Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        2,300          17,465  

a Inner Mongolia BaoTou Steel Union Co. Ltd., Class A

   Metals & Mining        158,400          30,375  

Inner Mongolia Dian Tou Energy Corp. Ltd., Class A

   Oil, Gas & Consumable Fuels        9,900          28,612  

Inner Mongolia ERDOS Resources Co. Ltd., Class A

   Metals & Mining        8,920          12,120  

Inner Mongolia ERDOS Resources Co. Ltd., Class B

   Metals & Mining        25,420          21,200  

Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd., Class A

   Chemicals        33,000          16,679  

Inner Mongolia Yili Industrial Group Co. Ltd., Class A

   Food Products        23,100          81,758  

Inner Mongolia Yitai Coal Co. Ltd., Class B

   Oil, Gas & Consumable Fuels        56,100          100,756  

Inner Mongolia Yuan Xing Energy Co. Ltd., Class A

   Chemicals        16,500          15,617  

a,b Innovent Biologics, Inc., Class B

   Biotechnology        77,000          362,938  

Intco Medical Technology Co. Ltd., Class A

   Health Care Equipment & Supplies        1,890          6,940  

a iQIYI, Inc., ADR

   Entertainment        24,123          88,531  

a IRICO Display Devices Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        16,500          15,391  

Isoftstone Information Technology Group Co. Ltd., Class A

   IT Services        3,300          15,915  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

JA Solar Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        13,892          21,311  

Jafron Biomedical Co. Ltd., Class A

   Health Care Equipment & Supplies        3,300          12,299  

Jason Furniture Hangzhou Co. Ltd., Class A

   Household Durables        4,080          18,045  

JCET Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        6,600          28,666  

a,b JD Health International, Inc.

   Consumer Staples Distribution & Retail        56,100          152,692  

a,b JD Logistics, Inc.

   Air Freight & Logistics        89,100          95,635  

JD.com, Inc., Class A

   Broadline Retail        125,400          1,659,172  

Jiangsu Eastern Shenghong Co. Ltd., Class A

   Chemicals        16,500          18,012  

Jiangsu Expressway Co. Ltd., Class A

   Transportation Infrastructure        6,600          11,390  

a Jiangsu Expressway Co. Ltd., Class H

   Transportation Infrastructure        66,000          70,418  

Jiangsu Hengli Hydraulic Co. Ltd., Class A

   Machinery        4,580          29,221  

a Jiangsu Hengrui Pharmaceuticals Co. Ltd., Class A

   Pharmaceuticals        26,400          139,072  

Jiangsu King’s Luck Brewery JSC Ltd., Class A

   Beverages        4,900          31,007  

Jiangsu Linyang Energy Co. Ltd., Class A

   Electrical Equipment        9,900          8,502  

Jiangsu Nhwa Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        3,300          10,731  

Jiangsu Pacific Quartz Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,800          7,300  

Jiangsu Phoenix Publishing & Media Corp. Ltd., Class A

   Media        9,900          14,862  

Jiangsu Yanghe Distillery Co. Ltd., Class A

   Beverages        6,600          72,989  

Jiangsu Yangnong Chemical Co. Ltd., Class A

   Chemicals        2,170          16,778  

Jiangsu Yoke Technology Co. Ltd., Class A

   Chemicals        3,300          28,435  

Jiangsu Yuyue Medical Equipment & Supply Co. Ltd., Class A

   Health Care Equipment & Supplies        3,600          18,540  

Jiangsu Zhongtian Technology Co. Ltd., Class A

   Electrical Equipment        13,200          28,657  

Jiangxi Copper Co. Ltd., Class A

   Metals & Mining        9,900          32,110  

Jiangxi Copper Co. Ltd., Class H

   Metals & Mining        66,000          131,706  

a Jiangxi Special Electric Motor Co. Ltd., Class A

   Electrical Equipment        6,600          7,368  

Jilin Aodong Pharmaceutical Group Co. Ltd., Class A

   Pharmaceuticals        6,600          12,114  

Jinduicheng Molybdenum Co. Ltd., Class A

   Metals & Mining        13,200          18,821  

a,c Jinke Smart Services Group Co. Ltd., Class H

   Real Estate Management & Development        13,200          12,494  

Jinko Solar Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        26,400          25,674  

b Jinxin Fertility Group Ltd.

   Health Care Providers & Services        126,000          44,865  

JiuGui Liquor Co. Ltd., Class A

   Beverages        1,600          9,614  

b Jiumaojiu International Holdings Ltd.

   Hotels, Restaurants & Leisure        51,000          26,456  

Jizhong Energy Resources Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        13,200          12,114  

Joincare Pharmaceutical Group Industry Co. Ltd., Class A

   Pharmaceuticals        9,900          15,147  

Joinn Laboratories China Co. Ltd., Class A

   Life Sciences Tools & Services        1,960          3,562  

b Joinn Laboratories China Co. Ltd., Class H

   Life Sciences Tools & Services        5,972          5,737  

Jointown Pharmaceutical Group Co. Ltd., Class A

   Health Care Providers & Services        23,172          15,489  

Jonjee Hi-Tech Industrial & Commercial Holding Co. Ltd., Class A

   Food Products        3,300          10,256  

Joyoung Co. Ltd., Class A

   Household Durables        3,300          4,737  

JOYY, Inc., ADR

   Interactive Media & Services        1,584          47,663  

Juneyao Airlines Co. Ltd., Class A

   Passenger Airlines        9,900          14,902  

a J-Yuan Trust Co. Ltd., Class A

   Capital Markets        39,600          14,699  

Kaishan Group Co. Ltd., Class A

   Machinery        3,300          4,565  

Kanzhun Ltd., ADR

   Interactive Media & Services        17,226          324,021  

KE Holdings, Inc., ADR

   Real Estate Management & Development        33,033          467,417  

a Keda Industrial Group Co. Ltd., Class A

   Machinery        6,600          7,621  

Kingboard Holdings Ltd.

   Electronic Equipment, Instruments & Components        36,800          86,634  

a Kingdee International Software Group Co. Ltd.

   Software        150,000          140,636  

Kingnet Network Co. Ltd., Class A

   Entertainment        9,900          12,950  

a Kingsoft Cloud Holdings Ltd.

   IT Services        66,000          11,581  

Kingsoft Corp. Ltd.

   Entertainment        46,200          133,439  

a,b Kuaishou Technology, Class B

   Interactive Media & Services        148,500          877,792  

a Kuang-Chi Technologies Co. Ltd., Class A

   Aerospace & Defense        9,900          23,527  

Kunlun Tech Co. Ltd., Class A

   Entertainment        5,900          26,054  

Kweichow Moutai Co. Ltd., Class A

   Beverages        4,650          934,598  

Lakala Payment Co. Ltd., Class A

   Financial Services        3,300          5,618  

Lao Feng Xiang Co. Ltd., Class B

   Textiles, Apparel & Luxury Goods        13,200          48,484  

LB Group Co. Ltd., Class A

   Chemicals        9,900          25,181  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Lee & Man Paper Manufacturing Ltd.

   Paper & Forest Products        66,000          19,528  

b Legend Holdings Corp., Class H

   Technology Hardware, Storage & Peripherals        29,700          22,368  

Lens Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        19,800          49,494  

Leo Group Co. Ltd., Class A

   Media        36,300          7,110  

Lepu Medical Technology Beijing Co. Ltd., Class A

   Health Care Equipment & Supplies        9,900          20,123  

Levima Advanced Materials Corp., Class A

   Chemicals        3,300          6,197  

Leyard Optoelectronic Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        9,900          6,102  

a Li Auto, Inc., Class A

   Automobiles        58,462          526,408  

Li Ning Co. Ltd.

   Textiles, Apparel & Luxury Goods        115,500          250,013  

Liaoning Port Co. Ltd., Class A

   Transportation Infrastructure        75,900          12,787  

Lingyi iTech Guangdong Co., Class A

   Electronic Equipment, Instruments & Components        33,000          32,183  

Livzon Pharmaceutical Group, Inc., Class A

   Pharmaceuticals        3,300          16,819  

Livzon Pharmaceutical Group, Inc., Class H

   Pharmaceuticals        6,600          21,726  

b Longfor Group Holdings Ltd.

   Real Estate Management & Development        124,170          170,492  

a LONGi Green Energy Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        29,700          57,034  

Longshine Technology Group Co. Ltd., Class A

   Software        6,600          7,693  

a Loongson Technology Corp. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,883          22,678  

Lufax Holding Ltd., ADR

   Consumer Finance        9,783          23,186  

Luxi Chemical Group Co. Ltd., Class A

   Chemicals        6,600          10,477  

a Luxshare Precision Industry Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        26,199          141,063  

a,b Luye Pharma Group Ltd.

   Pharmaceuticals        99,000          34,237  

Luzhou Laojiao Co. Ltd., Class A

   Beverages        5,500          108,096  

Maanshan Iron & Steel Co. Ltd., Class A

   Metals & Mining        26,400          7,304  

Mango Excellent Media Co. Ltd., Class A

   Entertainment        7,530          21,556  

Maxscend Microelectronics Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        2,432          25,896  

Meihua Holdings Group Co. Ltd., Class A

   Chemicals        13,200          18,116  

a Meinian Onehealth Healthcare Holdings Co. Ltd., Class A

   Health Care Providers & Services        16,500          8,543  

a,b Meituan, Class B

   Hotels, Restaurants & Leisure        282,020          4,013,170  

Metallurgical Corp. of China Ltd., Class A

   Construction & Engineering        59,400          25,222  

Metallurgical Corp. of China Ltd., Class H

   Construction & Engineering        165,000          33,814  

a Microport Scientific Corp.

   Health Care Equipment & Supplies        49,500          33,413  

a Ming Yang Smart Energy Group Ltd., Class A

   Electrical Equipment        9,900          12,801  

MINISO Group Holding Ltd.

   Broadline Retail        19,392          93,018  

a Minth Group Ltd.

   Automobile Components        41,500          64,530  

Montage Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        4,245          33,235  

Muyuan Foods Co. Ltd., Class A

   Food Products        20,260          120,991  

Nanjing King-Friend Biochemical Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        4,145          6,745  

NARI Technology Co. Ltd., Class A

   Electrical Equipment        29,788          101,839  

a National Silicon Industry Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        13,365          25,281  

NAURA Technology Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        2,200          96,394  

a NavInfo Co. Ltd., Class A

   Software        9,900          8,434  

NetEase, Inc.

   Entertainment        95,700          1,827,608  

New China Life Insurance Co. Ltd., Class A

   Insurance        9,900          40,721  

New China Life Insurance Co. Ltd., Class H

   Insurance        39,600          75,574  

a New Hope Liuhe Co. Ltd., Class A

   Food Products        19,800          24,788  

a New Oriental Education & Technology Group, Inc.

   Diversified Consumer Services        79,200          605,610  

Newland Digital Technology Co. Ltd., Class A

   Software        3,300          6,287  

a Nine Dragons Paper Holdings Ltd.

   Paper & Forest Products        89,000          37,048  

a Ninestar Corp., Class A

   Technology Hardware, Storage & Peripherals        6,600          23,884  

Ningbo Deye Technology Co. Ltd., Class A

   Machinery        2,464          25,089  

Ningbo Joyson Electronic Corp., Class A

   Automobile Components        6,600          13,397  

Ningbo Orient Wires & Cables Co. Ltd., Class A

   Electrical Equipment        3,300          22,062  

a Ningbo Ronbay New Energy Technology Co. Ltd., Class A

   Electrical Equipment        1,410          4,496  

Ningbo Sanxing Medical Electric Co. Ltd., Class A

   Electrical Equipment        6,600          31,640  

Ningbo Shanshan Co. Ltd., Class A

   Chemicals        9,900          11,011  

Ningbo Tuopu Group Co. Ltd., Class A

   Automobile Components        3,300          24,232  

Ningbo Zhoushan Port Co. Ltd., Class A

   Transportation Infrastructure        26,400          12,294  

a Ningxia Baofeng Energy Group Co. Ltd., Class A

   Chemicals        9,900          23,500  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a NIO, Inc., Class A

   Automobiles        70,620          307,991  

b Nongfu Spring Co. Ltd., Class H

   Beverages        92,200          437,535  

North Industries Group Red Arrow Co. Ltd., Class A

   Machinery        3,300          6,631  

Northeast Securities Co. Ltd., Class A

   Capital Markets        9,900          7,567  

Offshore Oil Engineering Co. Ltd., Class A

   Energy Equipment & Services        16,500          13,357  

a OFILM Group Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        13,200          14,121  

Oppein Home Group, Inc., Class A

   Household Durables        900          6,603  

ORG Technology Co. Ltd., Class A

   Containers & Packaging        9,900          5,641  

Orient Securities Co. Ltd., Class A

   Capital Markets        30,324          31,567  

b Orient Securities Co. Ltd., Class H

   Capital Markets        39,600          15,521  

a Oriental Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        6,600          7,422  

a Ourpalm Co. Ltd., Class A

   Entertainment        9,900          5,655  

Ovctek China, Inc., Class A

   Health Care Equipment & Supplies        4,020          8,634  

a Pangang Group Vanadium Titanium & Resources Co. Ltd., Class A

   Metals & Mining        36,300          12,430  

a PDD Holdings, Inc., ADR

   Broadline Retail        37,257          4,953,318  

People.cn Co. Ltd., Class A

   Media        5,300          14,512  

People’s Insurance Co. Group of China Ltd., Class A

   Insurance        49,500          34,917  

a People’s Insurance Co. Group of China Ltd., Class H

   Insurance        429,000          147,260  

Perfect World Co. Ltd., Class A

   Entertainment        3,300          3,435  

PetroChina Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        95,700          135,275  

PetroChina Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        1,098,000          1,111,023  

Pharmaron Beijing Co. Ltd., Class A

   Life Sciences Tools & Services        6,650          16,924  

b Pharmaron Beijing Co. Ltd., Class H

   Life Sciences Tools & Services        16,900          18,291  

a PICC Property & Casualty Co. Ltd., Class H

   Insurance        354,000          439,813  

Ping An Bank Co. Ltd., Class A

   Banks        72,600          100,932  

a,b Ping An Healthcare & Technology Co. Ltd.

   Consumer Staples Distribution & Retail        29,700          43,519  

Ping An Insurance Group Co. of China Ltd., Class A

   Insurance        39,600          224,338  

Ping An Insurance Group Co. of China Ltd., Class H

   Insurance        330,200          1,497,180  

Pingdingshan Tianan Coal Mining Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        9,900          15,187  

a Poly Developments & Holdings Group Co. Ltd., Class A

   Real Estate Management & Development        46,200          55,434  

c Poly Property Services Co. Ltd., Class H

   Real Estate Management & Development        7,600          28,132  

b Pop Mart International Group Ltd.

   Specialty Retail        39,600          194,008  

Porton Pharma Solutions Ltd., Class A

   Pharmaceuticals        3,300          5,401  

Postal Savings Bank of China Co. Ltd., Class A

   Banks        85,800          59,583  

b Postal Savings Bank of China Co. Ltd., Class H

   Banks        561,000          329,095  

Power Construction Corp. of China Ltd., Class A

   Construction & Engineering        69,300          53,061  

Pylon Technologies Co. Ltd., Class A

   Electrical Equipment        854          4,645  

Qifu Technology, Inc., ADR

   Consumer Finance        6,138          121,103  

Qingdao TGOOD Electric Co. Ltd., Class A

   Electrical Equipment        3,300          9,094  

a Qinghai Salt Lake Industry Co. Ltd., Class A

   Chemicals        23,100          55,212  

a Raytron Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        1,517          5,812  

b Red Star Macalline Group Corp. Ltd., Class H

   Real Estate Management & Development        40,800          7,159  

a,b Remegen Co. Ltd., Class H

   Biotechnology        7,500          23,535  

RLX Technology, Inc., ADR

   Tobacco        44,946          82,701  

Rongsheng Petrochemical Co. Ltd., Class A

   Chemicals        39,600          52,396  

SAIC Motor Corp. Ltd., Class A

   Automobiles        29,800          56,573  

Sailun Group Co. Ltd., Class A

   Automobile Components        13,200          25,312  

Sanan Optoelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        23,100          37,082  

a Sansteel Minguang Co. Ltd. Fujian, Class A

   Metals & Mining        9,900          4,000  

Sany Heavy Equipment International Holdings Co. Ltd.

   Machinery        48,000          29,879  

Sany Heavy Industry Co. Ltd., Class A

   Machinery        33,000          74,580  

Satellite Chemical Co. Ltd., Class A

   Chemicals        13,246          32,621  

a SDIC Capital Co. Ltd., Class A

   Capital Markets        19,800          15,323  

SDIC Power Holdings Co. Ltd., Class A

   Independent Power Producers & Energy Traders        29,700          74,201  

Sealand Securities Co. Ltd., Class A

   Capital Markets        19,800          7,892  

a Seazen Group Ltd.

   Real Estate Management & Development        132,000          22,994  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Seazen Holdings Co. Ltd., Class A

   Real Estate Management & Development        9,900          12,028  

a,b SenseTime Group, Inc., Class B

   Software        1,122,000          189,697  

a Seres Group Co. Ltd., Class A

   Automobiles        6,600          82,373  

SF Holding Co. Ltd., Class A

   Air Freight & Logistics        19,800          96,792  

SG Micro Corp., Class A

   Semiconductors & Semiconductor Equipment        2,657          30,126  

Shaanxi Coal Industry Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        36,300          128,129  

Shaanxi International Trust Co. Ltd., Class A

   Capital Markets        23,100          8,701  

a Shan Xi Hua Yang Group New Energy Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        14,650          19,986  

a Shandong Chenming Paper Holdings Ltd., Class B

   Paper & Forest Products        39,600          7,456  

a Shandong Chenming Paper Holdings Ltd., Class H

   Paper & Forest Products        16,500          3,635  

Shandong Denghai Seeds Co. Ltd., Class A

   Food Products        3,300          3,652  

Shandong Gold Mining Co. Ltd., Class A

   Metals & Mining        13,884          52,068  

b Shandong Gold Mining Co. Ltd., Class H

   Metals & Mining        33,000          65,684  

a Shandong Himile Mechanical Science & Technology Co. Ltd., Class A

   Machinery        3,300          17,253  

Shandong Hi-speed Co. Ltd., Class A

   Transportation Infrastructure        13,200          16,001  

Shandong Hualu Hengsheng Chemical Co. Ltd., Class A

   Chemicals        9,980          36,416  

Shandong Humon Smelting Co. Ltd., Class A

   Metals & Mining        3,300          5,203  

Shandong Linglong Tyre Co. Ltd., Class A

   Automobile Components        3,300          8,303  

Shandong Nanshan Aluminum Co. Ltd., Class A

   Metals & Mining        46,200          24,110  

Shandong Pharmaceutical Glass Co. Ltd., Class A

   Health Care Equipment & Supplies        3,300          11,454  

Shandong Sun Paper Industry JSC Ltd., Class A

   Paper & Forest Products        9,900          18,916  

Shandong Weigao Group Medical Polymer Co. Ltd., Class H

   Health Care Equipment & Supplies        132,000          62,894  

a Shanghai Aiko Solar Energy Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        6,660          8,256  

Shanghai Bairun Investment Holding Group Co. Ltd., Class A

   Beverages        4,340          10,005  

Shanghai Baosight Software Co. Ltd., Class A

   Software        5,203          22,755  

Shanghai Baosight Software Co. Ltd., Class B

   Software        36,334          58,825  

Shanghai BOCHU Electronic Technology Corp. Ltd., Class A

   Electronic Equipment, Instruments & Components        716          18,099  

Shanghai Construction Group Co. Ltd., Class A

   Construction & Engineering        29,700          8,746  

a Shanghai Electric Group Co. Ltd., Class A

   Electrical Equipment        39,600          20,069  

a Shanghai Electric Group Co. Ltd., Class H

   Electrical Equipment        132,000          25,868  

Shanghai Electric Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        13,200          17,881  

Shanghai Fosun Pharmaceutical Group Co. Ltd., Class A

   Pharmaceuticals        13,200          40,029  

Shanghai Fosun Pharmaceutical Group Co. Ltd., Class H

   Pharmaceuticals        33,000          55,878  

Shanghai Fudan Microelectronics Group Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        891          3,830  

Shanghai Fudan Microelectronics Group Co. Ltd., Class H

   Semiconductors & Semiconductor Equipment        15,000          23,362  

a Shanghai International Airport Co. Ltd., Class A

   Transportation Infrastructure        9,900          43,731  

Shanghai International Port Group Co. Ltd., Class A

   Transportation Infrastructure        39,600          31,351  

a Shanghai Jinjiang International Hotels Co. Ltd., Class A

   Hotels, Restaurants & Leisure        3,300          10,387  

a Shanghai Jinjiang International Hotels Co. Ltd., Class B

   Hotels, Restaurants & Leisure        9,900          13,355  

Shanghai Jinqiao Export Processing Zone Development Co. Ltd., Class A

   Real Estate Management & Development        3,300          4,615  

Shanghai Jinqiao Export Processing Zone

            

Development Co. Ltd., Class B

   Real Estate Management & Development        23,100          20,513  

a Shanghai Junshi Biosciences Co. Ltd., Class A

   Biotechnology        3,185          12,673  

a,b Shanghai Junshi Biosciences Co. Ltd., Class H

   Biotechnology        6,600          9,891  

a Shanghai Lingang Holdings Corp. Ltd., Class A

   Real Estate Management & Development        7,400          9,234  

Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd., Class A

   Real Estate Management & Development        9,900          11,960  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd., Class B

   Real Estate Management & Development        59,400          23,344  

Shanghai Mechanical & Electrical Industry Co. Ltd., Class B

   Machinery        13,200          11,246  

Shanghai Moons’ Electric Co. Ltd., Class A

   Electrical Equipment        3,300          18,184  

Shanghai Pharmaceuticals Holding Co. Ltd., Class A

   Health Care Providers & Services        13,200          34,551  

Shanghai Pharmaceuticals Holding Co. Ltd., Class H

   Health Care Providers & Services        42,900          64,509  

Shanghai Pudong Development Bank Co. Ltd., Class A

   Banks        112,215          126,496  

Shanghai Putailai New Energy Technology Co. Ltd., Class A

   Chemicals        8,079          15,636  

Shanghai RAAS Blood Products Co. Ltd., Class A

   Biotechnology        33,000          35,347  

Shanghai Rural Commercial Bank Co. Ltd., Class A

   Banks        13,200          12,150  

Shanghai Tunnel Engineering Co. Ltd., Class A

   Construction & Engineering        16,500          14,758  

Shanghai Waigaoqiao Free Trade Zone Group Co. Ltd., Class B

   Trading Companies & Distributors        13,200          9,702  

Shanghai Yuyuan Tourist Mart Group Co. Ltd., Class A

   Specialty Retail        16,500          11,639  

Shanghai Zhangjiang High-Tech Park Development Co. Ltd., Class A

   Real Estate Management & Development        6,600          16,706  

a Shanghai Zhenhua Heavy Industries Co. Ltd., Class B

   Machinery        59,400          11,642  

a Shanxi Coking Coal Energy Group Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        23,100          32,621  

Shanxi Lu’an Environmental Energy Development Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        9,900          24,584  

a Shanxi Meijin Energy Co. Ltd., Class A

   Metals & Mining        19,800          12,909  

Shanxi Securities Co. Ltd., Class A

   Capital Markets        16,700          10,751  

a Shanxi Taigang Stainless Steel Co. Ltd., Class A

   Metals & Mining        26,400          12,222  

a Shanxi Xinghuacun Fen Wine Factory Co. Ltd., Class A

   Beverages        4,520          130,557  

a Shanying International Holding Co. Ltd., Class A

   Paper & Forest Products        19,800          4,068  

Shenergy Co. Ltd., Class A

   Independent Power Producers & Energy Traders        19,800          23,947  

Shenghe Resources Holding Co. Ltd., Class A

   Metals & Mining        6,600          7,793  

Shengyi Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        9,900          28,557  

Shennan Circuits Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        600          8,692  

Shenwan Hongyuan Group Co. Ltd., Class A

   Capital Markets        99,000          58,444  

a,b Shenwan Hongyuan Group Co. Ltd., Class H

   Capital Markets        79,200          15,013  

Shenzhen Agricultural Products Group Co. Ltd., Class A

   Consumer Staples Distribution & Retail        6,600          4,393  

Shenzhen Airport Co. Ltd., Class A

   Transportation Infrastructure        6,600          5,777  

Shenzhen Capchem Technology Co. Ltd., Class A

   Chemicals        3,380          13,222  

a Shenzhen Dynanonic Co. Ltd., Class A

   Chemicals        864          3,337  

Shenzhen Energy Group Co. Ltd., Class A

   Independent Power Producers & Energy Traders        19,800          19,798  

a Shenzhen Everwin Precision Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        6,600          10,839  

Shenzhen Expressway Corp. Ltd., Class H

   Transportation Infrastructure        38,000          35,433  

Shenzhen Gas Corp. Ltd., Class A

   Gas Utilities        10,600          9,699  

Shenzhen Goodix Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        3,300          31,075  

Shenzhen Huaqiang Industry Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,300          4,023  

Shenzhen Inovance Technology Co. Ltd., Class A

   Machinery        10,050          70,617  

Shenzhen International Holdings Ltd.

   Transportation Infrastructure        82,500          65,832  

Shenzhen Investment Ltd.

   Real Estate Management & Development        132,000          15,724  

Shenzhen Kaifa Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        6,600          13,669  

Shenzhen Kangtai Biological Products Co. Ltd., Class A

   Biotechnology        4,860          10,391  

Shenzhen Kedali Industry Co. Ltd., Class A

   Automobile Components        1,800          18,831  

a Shenzhen Kingdom Sci-Tech Co. Ltd., Class A

   Software        3,300          4,488  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A

   Health Care Equipment & Supplies        4,800          191,261  

Shenzhen MTC Co. Ltd., Class A

   Household Durables        23,100          15,219  

a Shenzhen Overseas Chinese Town Co. Ltd., Class A

   Real Estate Management & Development        36,300          10,143  

Shenzhen Salubris Pharmaceuticals Co. Ltd., Class A

   Pharmaceuticals        3,300          12,037  

Shenzhen SC New Energy Technology Corp., Class A

   Semiconductors & Semiconductor Equipment        1,100          8,138  

Shenzhen Senior Technology Material Co. Ltd., Class A

   Chemicals        6,600          7,413  

Shenzhen Sunway Communication Co. Ltd., Class A

   Communications Equipment        3,300          8,850  

Shenzhen Transsion Holdings Co. Ltd., Class A

   Technology Hardware, Storage & Peripherals        4,314          45,227  

Shenzhen Yan Tian Port Holding Co. Ltd., Class A

   Transportation Infrastructure        9,900          6,143  

Shenzhen YUTO Packaging Technology Co. Ltd., Class A

   Containers & Packaging        3,300          11,567  

a Shenzhen Zhongjin Lingnan Nonfemet Co. Ltd., Class A

   Metals & Mining        16,500          9,582  

Shenzhou International Group Holdings Ltd.

   Textiles, Apparel & Luxury Goods        39,600          387,763  

a Shijiazhuang Changshan BeiMing Technology Co. Ltd., Class A

   Textiles, Apparel & Luxury Goods        6,600          5,795  

Shijiazhuang Yiling Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        7,280          15,286  

a Siasun Robot & Automation Co. Ltd., Class A

   Machinery        6,600          8,805  

Sichuan Changhong Electric Co. Ltd., Class A

   Household Durables        19,800          12,177  

Sichuan Chuantou Energy Co. Ltd., Class A

   Independent Power Producers & Energy Traders        19,800          50,850  

a Sichuan Hebang Biotechnology Co. Ltd., Class A

   Chemicals        39,600          8,950  

Sichuan Kelun Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        6,600          27,418  

a Sichuan New Energy Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        6,600          9,736  

a Sichuan Road & Bridge Group Co. Ltd., Class A

   Construction & Engineering        27,560          29,784  

Sichuan Swellfun Co. Ltd., Class A

   Beverages        2,400          12,370  

Sichuan Yahua Industrial Group Co. Ltd., Class A

   Chemicals        3,300          4,032  

Sieyuan Electric Co. Ltd., Class A

   Electrical Equipment        3,300          30,239  

Sinoma International Engineering Co., Class A

   Construction & Engineering        9,900          16,353  

Sinoma Science & Technology Co. Ltd., Class A

   Chemicals        6,600          11,662  

Sinomine Resource Group Co. Ltd., Class A

   Metals & Mining        3,340          12,260  

Sinopec Engineering Group Co. Ltd., Class H

   Construction & Engineering        82,500          57,061  

a Sinopec Oilfield Service Corp., Class H

   Energy Equipment & Services        132,000          8,623  

a Sinopec Shanghai Petrochemical Co. Ltd., Class A

   Chemicals        26,400          9,438  

a Sinopec Shanghai Petrochemical Co. Ltd., Class H

   Chemicals        198,000          27,897  

Sinopharm Group Co. Ltd., Class H

   Health Care Providers & Services        67,200          178,600  

Sinotrans Ltd., Class A

   Air Freight & Logistics        16,500          12,724  

Sinotrans Ltd., Class H

   Air Freight & Logistics        99,000          48,185  

Sinotruk Hong Kong Ltd.

   Machinery        33,000          85,803  

Skshu Paint Co. Ltd., Class A

   Chemicals        3,372          16,752  

b Smoore International Holdings Ltd.

   Tobacco        93,770          113,738  

Songcheng Performance Development Co. Ltd., Class A

   Hotels, Restaurants & Leisure        10,560          11,615  

SooChow Securities Co. Ltd., Class A

   Capital Markets        20,004          16,166  

Southwest Securities Co. Ltd., Class A

   Capital Markets        29,700          14,563  

a Spring Airlines Co. Ltd., Class A

   Passenger Airlines        3,800          29,319  

StarPower Semiconductor Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,260          14,861  

STO Express Co. Ltd., Class A

   Air Freight & Logistics        6,600          7,594  

Sun Art Retail Group Ltd.

   Consumer Staples Distribution & Retail        115,500          22,043  

Sungrow Power Supply Co. Ltd., Class A

   Electrical Equipment        9,240          78,506  

Sunny Optical Technology Group Co. Ltd.

   Electronic Equipment, Instruments & Components        33,000          203,941  

a Sunresin New Materials Co. Ltd., Class A

   Chemicals        3,300          18,876  

Sunwoda Electronic Co. Ltd., Class A

   Electrical Equipment        6,600          13,714  

SUPCON Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        2,594          13,395  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Suzhou Dongshan Precision Manufacturing Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        6,600          18,713  

Suzhou Maxwell Technologies Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        1,024          16,758  

Suzhou TFC Optical Communication Co. Ltd., Class A

   Communications Equipment        2,100          25,433  

Taiji Computer Corp. Ltd., Class A

   IT Services        3,300          10,193  

a TAL Education Group, ADR

   Diversified Consumer Services        20,724          221,125  

a Tangshan Jidong Cement Co. Ltd., Class A

   Construction Materials        13,200          7,341  

TangShan Port Group Co. Ltd., Class A

   Transportation Infrastructure        23,100          14,871  

Tangshan Sanyou Chemical Industries Co. Ltd., Class A

   Chemicals        10,100          6,945  

TBEA Co. Ltd., Class A

   Electrical Equipment        20,420          38,793  

TCL Technology Group Corp., Class A

   Electronic Equipment, Instruments & Components        72,680          43,006  

a TCL Zhonghuan Renewable Energy Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        16,500          19,549  

Tencent Holdings Ltd.

   Interactive Media & Services        331,614          15,817,436  

Tencent Music Entertainment Group, ADR

   Entertainment        32,901          462,259  

Thunder Software Technology Co. Ltd., Class A

   Software        1,500          9,367  

Tian Di Science & Technology Co. Ltd., Class A

   Machinery        16,500          15,571  

Tianjin Chase Sun Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        13,200          5,514  

a Tianma Microelectronics Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        13,200          13,162  

Tianqi Lithium Corp., Class A

   Chemicals        6,600          27,039  

Tianqi Lithium Corp., Class H

   Chemicals        6,600          18,936  

Tianshan Aluminum Group Co. Ltd., Class A

   Metals & Mining        9,900          10,997  

TianShan Material Co. Ltd., Class A

   Construction Materials        9,900          7,322  

Tianshui Huatian Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        16,500          18,419  

Tingyi Cayman Islands Holding Corp.

   Food Products        102,000          122,937  

a Titan Wind Energy Suzhou Co. Ltd., Class A

   Electrical Equipment        6,600          8,082  

c Tongcheng Travel Holdings Ltd.

   Hotels, Restaurants & Leisure        62,800          124,998  

TongFu Microelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        6,600          20,241  

a Tongkun Group Co. Ltd., Class A

   Chemicals        9,900          21,642  

Tongling Nonferrous Metals Group Co. Ltd., Class A

   Metals & Mining        46,200          22,844  

Tongwei Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        16,500          43,189  

a Topchoice Medical Corp., Class A

   Health Care Providers & Services        1,200          8,884  

a Topsec Technologies Group, Inc., Class A

   Software        6,600          4,402  

b Topsports International Holdings Ltd.

   Specialty Retail        165,000          87,705  

Towngas Smart Energy Co. Ltd.

   Gas Utilities        66,000          23,585  

TravelSky Technology Ltd., Class H

   Hotels, Restaurants & Leisure        48,000          56,316  

Trina Solar Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        9,141          21,185  

a Trip.com Group Ltd.

   Hotels, Restaurants & Leisure        27,979          1,342,436  

Tsingtao Brewery Co. Ltd., Class A

   Beverages        3,300          32,892  

a Tsingtao Brewery Co. Ltd., Class H

   Beverages        31,768          211,993  

a Tuya, Inc., ADR

   Software        11,649          19,920  

Unigroup Guoxin Microelectronics Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        3,399          24,489  

Uni-President China Holdings Ltd.

   Food Products        66,000          60,274  

Unisplendour Corp. Ltd., Class A

   Electronic Equipment, Instruments & Components        6,600          20,204  

Universal Scientific Industrial Shanghai Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        3,300          7,255  

Valiant Co. Ltd., Class A

   Chemicals        3,300          4,520  

Vipshop Holdings Ltd., ADR

   Broadline Retail        18,216          237,172  

Walvax Biotechnology Co. Ltd., Class A

   Biotechnology        6,600          10,288  

a Wanda Film Holding Co. Ltd., Class A

   Entertainment        9,900          16,394  

Wangsu Science & Technology Co. Ltd., Class A

   IT Services        9,900          10,712  

Wanhua Chemical Group Co. Ltd., Class A

   Chemicals        11,900          131,798  

Want Want China Holdings Ltd.

   Food Products        231,000          139,652  

Wanxiang Qianchao Co. Ltd., Class A

   Automobile Components        17,000          10,385  

Weibo Corp., ADR

   Interactive Media & Services        3,993          30,666  

Weichai Power Co. Ltd., Class A

   Machinery        26,400          58,724  

Weichai Power Co. Ltd., Class H

   Machinery        99,000          189,443  

Weifu High-Technology Group Co. Ltd., Class A

   Automobile Components        3,300          7,359  

Weifu High-Technology Group Co. Ltd., Class B

   Automobile Components        9,900          14,773  

Wens Foodstuffs Group Co. Ltd., Class A

   Food Products        23,100          62,711  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Western Mining Co. Ltd., Class A

   Metals & Mining        9,900          24,340  

Western Securities Co. Ltd., Class A

   Capital Markets        19,800          16,787  

a Western Superconducting Technologies Co. Ltd., Class A

   Metals & Mining        3,099          16,266  

Will Semiconductor Co. Ltd. Shanghai, Class A

   Semiconductors & Semiconductor Equipment        4,500          61,248  

a Wingtech Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        4,700          18,186  

Winning Health Technology Group Co. Ltd., Class A

   Health Care Technology        10,800          8,728  

Wolong Electric Group Co. Ltd., Class A

   Electrical Equipment        6,600          10,984  

Wuchan Zhongda Group Co. Ltd., Class A

   Distributors        26,400          15,694  

Wuhan Guide Infrared Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        23,774          19,180  

a Wuliangye Yibin Co. Ltd., Class A

   Beverages        14,900          261,311  

WUS Printed Circuit Kunshan Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        7,370          36,846  

WuXi AppTec Co. Ltd., Class A

   Life Sciences Tools & Services        9,900          53,142  

b WuXi AppTec Co. Ltd., Class H

   Life Sciences Tools & Services        16,020          59,915  

a,b Wuxi Biologics Cayman, Inc.

   Life Sciences Tools & Services        192,991          285,257  

a XCMG Construction Machinery Co. Ltd., Class A

   Machinery        42,900          42,014  

Xiamen C & D, Inc., Class A

   Trading Companies & Distributors        13,200          16,146  

Xiamen Faratronic Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        800          8,348  

Xiamen ITG Group Corp. Ltd., Class A

   Trading Companies & Distributors        9,900          9,723  

Xiamen Tungsten Co. Ltd., Class A

   Metals & Mining        6,600          15,594  

Xiangcai Co. Ltd., Class A

   Real Estate Management & Development        13,200          10,776  

a,b Xiaomi Corp., Class B

   Technology Hardware, Storage & Peripherals        772,200          1,629,974  

Xinjiang Daqo New Energy Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        2,756          7,697  

Xinxing Ductile Iron Pipes Co. Ltd., Class A

   Metals & Mining        16,500          7,865  

Xinyi Solar Holdings Ltd.

   Semiconductors & Semiconductor Equipment        230,040          115,795  

a XPeng, Inc., Class A

   Automobiles        69,300          262,292  

Xtep International Holdings Ltd.

   Textiles, Apparel & Luxury Goods        66,000          40,661  

Xuji Electric Co. Ltd., Class A

   Electrical Equipment        3,300          15,553  

b Yadea Group Holdings Ltd.

   Automobiles        66,000          83,436  

Yangling Metron New Material, Inc., Class A

   Semiconductors & Semiconductor Equipment        3,300          8,746  

a,d Yango Group Co. Ltd., Class A

   Real Estate Management & Development        20,300           

b Yangtze Optical Fibre & Cable Joint Stock Co. Ltd., Class H

   Communications Equipment        8,500          8,437  

Yangzhou Yangjie Electronic Technology Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        3,300          17,583  

Yangzijiang Shipbuilding Holdings Ltd.

   Machinery        133,669          242,631  

Yankuang Energy Group Co. Ltd., Class A

   Oil, Gas & Consumable Fuels        16,500          51,370  

Yankuang Energy Group Co. Ltd., Class H

   Oil, Gas & Consumable Fuels        163,150          233,209  

Yantai Changyu Pioneer Wine Co. Ltd., Class B

   Beverages        13,200          15,910  

Yantai Eddie Precision Machinery Co. Ltd., Class A

   Machinery        4,060          7,802  

Yantai Jereh Oilfield Services Group Co. Ltd., Class A

   Energy Equipment & Services        3,300          15,856  

Yealink Network Technology Corp. Ltd., Class A

   Communications Equipment        4,460          22,462  

a Yifan Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        6,600          11,173  

Yifeng Pharmacy Chain Co. Ltd., Class A

   Consumer Staples Distribution & Retail        5,483          18,437  

Yihai International Holding Ltd.

   Food Products        25,750          43,206  

Yihai Kerry Arawana Holdings Co. Ltd., Class A

   Food Products        8,600          32,217  

Yintai Gold Co. Ltd., Class A

   Metals & Mining        10,100          22,536  

Yixintang Pharmaceutical Group Co. Ltd., Class A

   Consumer Staples Distribution & Retail        3,300          6,821  

Yonfer Agricultural Technology Co. Ltd., Class A

   Chemicals        6,600          10,731  

YongXing Special Materials Technology Co. Ltd., Class A

   Metals & Mining        3,330          16,320  

a Yonyou Network Technology Co. Ltd., Class A

   Software        14,190          19,436  

Youngor Fashion Co. Ltd., Class A

   Real Estate Management & Development        19,800          19,310  

Youngy Co. Ltd., Class A

   Metals & Mining        1,000          4,112  

YTO Express Group Co. Ltd., Class A

   Air Freight & Logistics        13,200          28,295  

a Yuan Longping High-tech Agriculture Co. Ltd., Class A

   Food Products        6,600          8,886  

Yuexiu Property Co. Ltd.

   Real Estate Management & Development        99,000          64,669  

Yum China Holdings, Inc.

   Hotels, Restaurants & Leisure        19,800          612,204  

Yunnan Aluminium Co. Ltd., Class A

   Metals & Mining        13,290          24,593  

Yunnan Baiyao Group Co. Ltd., Class A

   Pharmaceuticals        6,980          48,902  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Yunnan Botanee Bio-Technology Group Co. Ltd., Class A

   Personal Care Products        1,700          11,251  

Yunnan Copper Co. Ltd., Class A

   Metals & Mining        6,600          11,264  

Yunnan Energy New Material Co. Ltd., Class A

   Chemicals        3,300          14,306  

Yunnan Tin Co. Ltd., Class A

   Metals & Mining        6,600          14,003  

Yunnan Yuntianhua Co. Ltd., Class A

   Chemicals        6,600          17,556  

Yutong Bus Co. Ltd., Class A

   Machinery        9,900          34,985  

a Zai Lab Ltd.

   Biotechnology        52,800          90,622  

Zangge Mining Co. Ltd., Class A

   Chemicals        6,600          21,759  

Zhangzhou Pientzehuang Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        2,300          65,265  

Zhaojin Mining Industry Co. Ltd., Class H

   Metals & Mining        82,500          138,426  

Zhefu Holding Group Co. Ltd., Class A

   Commercial Services & Supplies        26,400          10,089  

a Zhejiang Century Huatong Group Co. Ltd., Class A

   Entertainment        29,700          13,953  

Zhejiang China Commodities City Group Co. Ltd., Class A

   Broadline Retail        23,100          23,477  

Zhejiang Chint Electrics Co. Ltd., Class A

   Electrical Equipment        6,600          17,230  

Zhejiang Crystal-Optech Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        6,600          15,350  

Zhejiang Dahua Technology Co. Ltd., Class A

   Electronic Equipment, Instruments & Components        13,200          27,952  

Zhejiang Expressway Co. Ltd., Class H

   Transportation Infrastructure        91,080          61,479  

Zhejiang Hailiang Co. Ltd., Class A

   Metals & Mining        6,600          7,214  

Zhejiang HangKe Technology, Inc. Co., Class A

   Electrical Equipment        1,490          3,561  

a Zhejiang Hisoar Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        6,600          4,619  

Zhejiang Huace Film & Television Co. Ltd., Class A

   Entertainment        9,900          8,326  

Zhejiang Huahai Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        6,800          15,880  

Zhejiang Huayou Cobalt Co. Ltd., Class A

   Metals & Mining        6,660          20,187  

Zhejiang Jingsheng Mechanical & Electrical Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        6,600          25,972  

Zhejiang Jiuzhou Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        3,300          6,201  

Zhejiang Juhua Co. Ltd., Class A

   Chemicals        9,900          32,720  

a,b Zhejiang Leapmotor Technology Co. Ltd.

   Automobiles        36,300          124,605  

Zhejiang Medicine Co. Ltd., Class A

   Pharmaceuticals        3,300          4,963  

Zhejiang NHU Co. Ltd., Class A

   Chemicals        13,456          35,387  

Zhejiang Sanhua Intelligent Controls Co. Ltd., Class A

   Machinery        9,900          25,873  

Zhejiang Supor Co. Ltd., Class A

   Household Durables        3,300          22,645  

Zhejiang Wanfeng Auto Wheel Co. Ltd., Class A

   Automobile Components        6,600          11,969  

Zhejiang Weiming Environment Protection Co. Ltd., Class A

   Commercial Services & Supplies        3,380          9,528  

Zhejiang Weixing New Building Materials Co. Ltd., Class A

   Building Products        6,600          13,940  

Zhejiang Wolwo Bio-Pharmaceutical Co. Ltd., Class A

   Pharmaceuticals        3,300          9,139  

a Zhejiang Yongtai Technology Co. Ltd., Class A

   Chemicals        3,300          3,535  

a Zhejiang Zheneng Electric Power Co. Ltd., Class A

   Independent Power Producers & Energy Traders        33,000          32,137  

Zhengzhou Coal Mining Machinery Group Co. Ltd., Class A

   Machinery        6,600          13,379  

Zheshang Securities Co. Ltd., Class A

   Capital Markets        6,600          9,691  

a,b ZhongAn Online P&C Insurance Co. Ltd., Class H

   Insurance        39,600          68,879  

Zhongji Innolight Co. Ltd., Class A

   Communications Equipment        3,580          67,610  

Zhongjin Gold Corp. Ltd., Class A

   Metals & Mining        19,800          40,138  

Zhongshan Public Utilities Group Co. Ltd., Class A

   Water Utilities        6,600          6,518  

Zhongsheng Group Holdings Ltd.

   Specialty Retail        36,000          52,658  

Zhongtai Securities Co. Ltd., Class A

   Capital Markets        9,900          7,689  

a Zhuhai Huafa Properties Co. Ltd., Class A

   Real Estate Management & Development        9,900          8,814  

Zhuzhou CRRC Times Electric Co. Ltd., Class A

   Machinery        1,782          12,053  

a Zhuzhou CRRC Times Electric Co. Ltd., Class H

   Machinery        29,700          117,166  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Zhuzhou Kibing Group Co. Ltd., Class A

   Building Products        9,900          8,746  

Zijin Mining Group Co. Ltd., Class A

   Metals & Mining        79,200          190,600  

Zijin Mining Group Co. Ltd., Class H

   Metals & Mining        300,000          633,245  

b ZJLD Group, Inc.

   Beverages        26,400          27,322  

Zoomlion Heavy Industry Science & Technology Co. Ltd., Class A

   Machinery        29,700          31,242  

Zoomlion Heavy Industry Science & Technology Co. Ltd., Class H

   Machinery        79,200          51,228  

a ZTE Corp., Class A

   Communications Equipment        13,200          50,570  

a ZTE Corp., Class H

   Communications Equipment        39,600          87,646  
            

 

 

 
               104,883,949  
            

 

 

 

Hong Kong 3.2%

            

a Alibaba Health Information Technology Ltd., Class A

   Consumer Staples Distribution & Retail        308,000          123,478  

a Alibaba Pictures Group Ltd., Class A

   Entertainment        660,000          35,082  

Beijing Enterprises Water Group Ltd., Class A

   Water Utilities        198,000          60,865  

Bosideng International Holdings Ltd., Class A

   Textiles, Apparel & Luxury Goods        198,000          123,506  

China Everbright Environment Group Ltd., Class B

   Commercial Services & Supplies        198,000          99,413  

China Everbright Ltd., Class A

   Capital Markets        42,000          21,249  

China Gas Holdings Ltd., Class A

   Gas Utilities        158,400          142,019  

China Mengniu Dairy Co. Ltd., Class B

   Food Products        165,000          295,873  

China Power International Development Ltd., Class H

   Independent Power Producers & Energy Traders        231,000          119,829  

China Resources Beer Holdings Co. Ltd., Class A

   Beverages        82,232          276,480  

China Resources Gas Group Ltd., Class A

   Gas Utilities        46,200          161,843  

China Resources Land Ltd., Class H

   Real Estate Management & Development        144,700          492,070  

China State Construction International Holdings Ltd., Class A

   Construction & Engineering        94,000          128,345  

a China Traditional Chinese Medicine Holdings Co. Ltd.

   Pharmaceuticals        132,000          61,373  

COSCO SHIPPING Ports Ltd., Class B

   Transportation Infrastructure        66,000          45,564  

Far East Horizon Ltd.

   Financial Services        99,000          64,416  

Geely Automobile Holdings Ltd.

   Automobiles        297,000          334,379  

Guangdong Investment Ltd.

   Water Utilities        162,300          95,001  

a J&T Global Express Ltd.

   Air Freight & Logistics        363,000          331,505  

Kingboard Laminates Holdings Ltd.

   Electronic Equipment, Instruments & Components        55,100          59,282  

Kunlun Energy Co. Ltd.

   Gas Utilities        198,000          205,420  

Shanghai Industrial Holdings Ltd.

   Industrial Conglomerates        33,000          49,284  

Shougang Fushan Resources Group Ltd.

   Metals & Mining        66,000          27,051  

Sino Biopharmaceutical Ltd.

   Pharmaceuticals        528,000          180,567  
            

 

 

 
               3,533,894  
            

 

 

 

Singapore 0.0%

            

Yangzijiang Financial Holding Ltd.

   Capital Markets        124,121          32,055  

a Yanlord Land Group Ltd.

   Real Estate Management & Development        36,300          11,785  
            

 

 

 
               43,840  
            

 

 

 

Total Common Stocks (Cost $141,011,336)

            108,461,683  
         

 

 

 

Total Investments before Short-Term Investments (Cost $141,011,336)

               108,461,683  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Short-Term Investments 0.1%

            

Money Market Funds 0.1%

            

United States 0.1%

            

e,f Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        50,468          50,468  
            

 

 

 

Total Short-Term Investments (Cost $50,468)

            50,468  
            

 

 

 

Total Investments (Cost $141,061,804) 99.1%

            108,512,151  

Other Assets, less Liabilities 0.9%

               1,014,491  
            

 

 

 

Net Assets 100.0%

             $ 109,526,642  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $12,086,839, representing 11.0% of net assets.

cSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. At June 30, 2024, the value of was $174,162, representing 0.2% of net assets.

dFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

eThe rate shown is the annualized seven-day effective yield at period end.

fSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

 

Futures Contracts               
Description    Type     

Number of

Contracts

    

Notional

Amount*

    

Expiration

Date

    

Value/Unrealized

Appreciation

(Depreciation)

 

Equity Contracts

              

MSCI China Futures

     Long        45        $1,012,950        9/20/24        $(26,944)  

*As of period end.

Abbreviations

Selected Portfolio

 

ADR      American Depositary Receipt
SF      Single Family


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Europe ETF    Industry      Shares        Value  

Common Stocks 97.6%

            

Australia 1.2%

            

Glencore PLC

   Metals & Mining        74,424        $ 424,392  

Rio Tinto PLC

   Metals & Mining        6,552          430,766  
            

 

 

 
               855,158  
            

 

 

 

Austria 0.4%

            

ANDRITZ AG

   Machinery        432          26,784  

Erste Group Bank AG

   Banks        1,836          87,052  

Mondi PLC

   Paper & Forest Products        2,727          52,346  

OMV AG

   Oil, Gas & Consumable Fuels        888          38,697  

Raiffeisen Bank International AG

   Banks        828          14,394  

a Telekom Austria AG

   Diversified Telecommunication Services        564          5,634  

Verbund AG

   Electric Utilities        408          32,205  

voestalpine AG

   Metals & Mining        672          18,164  
            

 

 

 
               275,276  
            

 

 

 

Belgium 1.2%

            

Ackermans & van Haaren NV

   Construction & Engineering        132          22,847  

Ageas SA

   Insurance        1,008          46,108  

Anheuser-Busch InBev SA

   Beverages        5,376          311,825  

D’ieteren Group

   Distributors        132          28,025  

Elia Group SA

   Electric Utilities        228          21,369  

Groupe Bruxelles Lambert NV

   Financial Services        504          36,002  

KBC Group NV

   Banks        1,464          103,400  

Lotus Bakeries NV

   Food Products        2          20,642  

Sofina SA

   Financial Services        108          24,678  

Syensqo SA

   Chemicals        432          38,693  

UCB SA

   Pharmaceuticals        744          110,597  

Umicore SA

   Chemicals        1,272          19,127  

Warehouses De Pauw CVA

   Industrial REITs        1,044          28,308  
            

 

 

 
               811,621  
            

 

 

 

Bermuda 0.0%

            

Hiscox Ltd.

   Insurance        1,992          28,958  
            

 

 

 

Chile 0.1%

            

Antofagasta PLC

   Metals & Mining        2,148          57,293  
            

 

 

 

Denmark 5.5%

            

AP Moller - Maersk AS, Class A

   Marine Transportation        17          28,878  

AP Moller - Maersk AS, Class B

   Marine Transportation        30          52,190  

Carlsberg AS, Class B

   Beverages        576          69,171  

Coloplast AS, Class B

   Health Care Equipment & Supplies        768          92,338  

Danske Bank AS

   Banks        4,044          120,596  

a Demant AS

   Health Care Equipment & Supplies        588          25,470  

DSV AS

   Air Freight & Logistics        1,020          156,411  

a Genmab AS

   Biotechnology        396          99,310  

H Lundbeck AS

   Pharmaceuticals        1,596          8,913  

H Lundbeck AS, Class A

   Pharmaceuticals        120          576  

Novo Nordisk AS, Class B

   Pharmaceuticals        18,720          2,705,417  

Novonesis (Novozymes) B, Class B

   Chemicals        2,112          129,333  

a,b Orsted AS

   Electric Utilities        1,164          61,996  

Pandora AS

   Textiles, Apparel & Luxury Goods        504          76,127  

Rockwool AS, Class B

   Building Products        48          19,495  

a Svitzer Group AS

   Transportation Infrastructure        82          3,059  

Tryg AS

   Insurance        2,004          43,834  

a Vestas Wind Systems AS

   Electrical Equipment        6,168          142,938  
            

 

 

 
                 3,836,052  
            

 

 

 

Finland 1.5%

            

Elisa OYJ

   Diversified Telecommunication Services        876          40,220  

Fortum OYJ

   Electric Utilities        2,700          39,499  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Kesko OYJ, Class B

   Consumer Staples Distribution & Retail        1,668          29,300  

Kone OYJ, Class B

   Machinery        2,004          98,992  

Metso OYJ

   Machinery        3,972          42,076  

Neste OYJ

   Oil, Gas & Consumable Fuels        2,508          44,687  

Nokia OYJ

   Communications Equipment        31,920          121,737  

Nordea Bank Abp

   Banks        20,364          242,586  

Orion OYJ, Class B

   Pharmaceuticals        648          27,683  

Sampo OYJ, Class A

   Insurance        2,736          117,586  

Stora Enso OYJ, Class R

   Paper & Forest Products        3,660          50,033  

UPM-Kymmene OYJ

   Paper & Forest Products        3,264          114,111  

Valmet OYJ

   Machinery        1,032          29,520  

Wartsila OYJ Abp

   Machinery        3,000          57,875  
            

 

 

 
                1,055,905  
            

 

 

 

France 15.6%

            

Accor SA

   Hotels, Restaurants & Leisure        1,032          42,362  

Aeroports de Paris SA

   Transportation Infrastructure        204          24,837  

Air Liquide SA

   Chemicals        3,465          598,932  

Airbus SE

   Aerospace & Defense        3,600          494,866  

Alstom SA

   Machinery        2,116          35,605  

b Amundi SA

   Capital Markets        348          22,471  

Arkema SA

   Chemicals        360          31,310  

AXA SA

   Insurance        10,992          360,135  

b Ayvens SA

   Ground Transportation        828          4,805  

BioMerieux

   Health Care Equipment & Supplies        240          22,828  

BNP Paribas SA

   Banks        6,132          391,230  

Bollore SE

   Entertainment        5,784          33,971  

Bouygues SA

   Construction & Engineering        1,116          35,846  

Bureau Veritas SA

   Professional Services        1,884          52,216  

Capgemini SE

   IT Services        984          195,840  

Carrefour SA

   Consumer Staples Distribution & Retail        3,156          44,648  

Cie de Saint-Gobain SA

   Building Products        2,808          218,548  

Cie Generale des Etablissements Michelin SCA

   Automobile Components        4,296          166,259  

Covivio SA

   Diversified REITs        324          15,411  

Credit Agricole SA

   Banks        6,156          84,055  

Danone SA

   Food Products        3,828          234,180  

Dassault Aviation SA

   Aerospace & Defense        132          23,993  

Dassault Systemes SE

   Software        4,104          155,266  

Edenred SE

   Financial Services        1,524          64,370  

Eiffage SA

   Construction & Engineering        456          41,912  

Engie SA

   Multi-Utilities        10,728          153,322  

EssilorLuxottica SA

   Health Care Equipment & Supplies        1,872          403,671  

Eurazeo SE

   Financial Services        300          23,905  

Gecina SA

   Office REITs        312          28,741  

Getlink SE

   Transportation Infrastructure        2,196          36,363  

Hermes International SCA

   Textiles, Apparel & Luxury Goods        207          474,764  

Ipsen SA

   Pharmaceuticals        216          26,507  

a JCDecaux SE

   Media        456          8,978  

Kering SA

   Textiles, Apparel & Luxury Goods        444          161,078  

Klepierre SA

   Retail REITs        1,272          34,054  

b La Francaise des Jeux SAEM

   Hotels, Restaurants & Leisure        612          20,858  

Legrand SA

   Electrical Equipment        1,548          153,696  

L’Oreal SA

   Personal Care Products        1,416          622,291  

LVMH Moet Hennessy Louis Vuitton SE

   Textiles, Apparel & Luxury Goods        1,512          1,156,379  

b Neoen SA

   Independent Power Producers & Energy Traders        432          17,436  

Orange SA

   Diversified Telecommunication Services        11,736          117,655  

Pernod Ricard SA

   Beverages        1,236          167,837  

Publicis Groupe SA

   Media        1,392          148,263  

Remy Cointreau SA

   Beverages        132          11,021  

Renault SA

   Automobiles        1,188          60,912  

Rexel SA

   Trading Companies & Distributors        1,428          36,976  

Safran SA

   Aerospace & Defense        2,064          436,667  

Sanofi SA

   Pharmaceuticals        6,732          648,919  

Sartorius Stedim Biotech

   Life Sciences Tools & Services        156          25,631  

Schneider Electric SE

   Electrical Equipment        3,264          784,645  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

SCOR SE

   Insurance        924          23,430  

SEB SA

   Household Durables        156          15,984  

Societe Generale SA

   Banks        4,476          105,154  

Sodexo SA

   Hotels, Restaurants & Leisure        540          48,615  

a SOITEC

  

Semiconductors & Semiconductor Equipment

       156          17,422  

Teleperformance SE

   Professional Services        360          37,943  

Thales SA

   Aerospace & Defense        600          96,136  

TotalEnergies SE

   Oil, Gas & Consumable Fuels        12,300          821,667  

a Unibail-Rodamco-Westfield

  

Retail REITs

       636          50,114  

Valeo SE

   Automobile Components        1,284          13,676  

Veolia Environnement SA

   Multi-Utilities        3,816          114,187  

Vinci SA

   Construction & Engineering        3,036          320,112  

Vivendi SE

   Media        3,888          40,653  

Wendel SE

   Financial Services        168          14,872  

a,b Worldline SA

  

Financial Services

       1,512          16,399  
            

 

 

 
                10,892,829  
            

 

 

 

Germany 12.1%

            

adidas AG

   Textiles, Apparel & Luxury Goods        1,008          240,912  

Allianz SE

   Insurance        2,388          664,149  

BASF SE

   Chemicals        5,448          263,831  

Bayer AG

   Pharmaceuticals        6,024          170,315  

Bayerische Motoren Werke AG

   Automobiles        1,800          170,498  

Bechtle AG

   IT Services        516          24,300  

Beiersdorf AG

   Personal Care Products        600          87,808  

Brenntag SE

   Trading Companies & Distributors        792          53,442  

Carl Zeiss Meditec AG

   Health Care Equipment & Supplies        228          16,042  

Commerzbank AG

   Banks        6,288          95,595  

Continental AG

   Automobile Components        672          38,099  

a,b Covestro AG

  

Chemicals

       1,164          68,364  

CTS Eventim AG & Co. KGaA

   Entertainment        348          29,054  

Daimler Truck Holding AG

   Machinery        3,204          127,638  

a,b Delivery Hero SE

  

Hotels, Restaurants & Leisure

       1,212          28,772  

Deutsche Bank AG

   Capital Markets        11,976          191,348  

Deutsche Boerse AG

   Capital Markets        1,140          233,485  

Deutsche Lufthansa AG

   Passenger Airlines        3,708          22,692  

Deutsche Post AG

   Air Freight & Logistics        6,024          243,981  

Deutsche Telekom AG

   Diversified Telecommunication Services        20,484          515,474  

Deutsche Wohnen SE

   Real Estate Management & Development        324          6,237  

b DWS Group GmbH & Co. KGaA

  

Capital Markets

       192          6,819  

E.ON SE

   Multi-Utilities        13,572          178,259  

Evonik Industries AG

   Chemicals        1,260          25,725  

Fielmann Group AG

   Specialty Retail        144          6,621  

a Fraport AG Frankfurt Airport Services Worldwide

  

Transportation Infrastructure

       216          11,158  

Fresenius Medical Care AG

   Health Care Providers & Services        1,224          46,911  

a Fresenius SE & Co. KGaA

  

Health Care Providers & Services

       2,508          74,940  

FUCHS SE

   Chemicals        204          7,281  

GEA Group AG

   Machinery        1,068          44,526  

Hannover Rueck SE

   Insurance        372          94,370  

Heidelberg Materials AG

   Construction Materials        840          87,164  

Henkel AG & Co. KGaA

   Household Products        600          47,232  

HOCHTIEF AG

   Construction & Engineering        132          15,024  

Infineon Technologies AG

   Semiconductors & Semiconductor Equipment        7,944          292,072  

KION Group AG

   Machinery        444          18,601  

Knorr-Bremse AG

   Machinery        408          31,178  

LEG Immobilien SE

   Real Estate Management & Development        444          36,289  

Mercedes-Benz Group AG

   Automobiles        5,124          354,596  

Merck KGaA

   Pharmaceuticals        792          131,356  

MTU Aero Engines AG

   Aerospace & Defense        324          82,923  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

   Insurance        804          402,408  

Nemetschek SE

   Software        336          33,076  

Puma SE

   Textiles, Apparel & Luxury Goods        624          28,670  

Rational AG

   Machinery        24          19,999  

Rheinmetall AG

   Aerospace & Defense        264          134,596  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

RWE AG

   Independent Power Producers & Energy Traders        4,356          149,160  

SAP SE

   Software        6,720          1,364,954  

Sartorius AG

   Life Sciences Tools & Services        12          2,307  

b Scout24 SE

  

Interactive Media & Services

       456          34,797  

Siemens AG

   Industrial Conglomerates        4,548          846,767  

a Siemens Energy AG

  

Electrical Equipment

       3,288          85,666  

b Siemens Healthineers AG

  

Health Care Equipment & Supplies

       1,704          98,253  

Sixt SE

   Ground Transportation        84          5,964  

Symrise AG

   Chemicals        804          98,491  

Talanx AG

   Insurance        336          26,846  

thyssenkrupp AG

   Metals & Mining        3,000          12,983  

Traton SE

   Machinery        300          9,823  

Volkswagen AG

   Automobiles        180          21,626  

Vonovia SE

   Real Estate Management & Development        4,284          121,901  

Wacker Chemie AG

   Chemicals        96          10,474  

a,b Zalando SE

  

Specialty Retail

       1,356          31,813  
            

 

 

 
               8,425,655  
            

 

 

 

Ireland 1.7%

            

AIB Group PLC

   Banks        8,736          46,215  

Bank of Ireland Group PLC

   Banks        6,348          66,456  

CRH PLC

   Construction Materials        4,200          313,032  

DCC PLC

   Industrial Conglomerates        612          42,859  

Experian PLC

   Professional Services        5,616          261,676  

a Flutter Entertainment PLC

  

Hotels, Restaurants & Leisure

       1,080          197,480  

Glanbia PLC

   Food Products        1,092          21,300  

Kerry Group PLC, Class A

   Food Products        924          74,916  

Kingspan Group PLC

   Building Products        924          78,729  

Smurfit Kappa Group PLC

   Containers & Packaging        1,584          70,682  
            

 

 

 
                1,173,345  
            

 

 

 

Isle Of Man 0.1%

            

Entain PLC

   Hotels, Restaurants & Leisure        3,900          31,059  
            

 

 

 

Italy 3.8%

            

A2A SpA

   Multi-Utilities        9,372          18,678  

Amplifon SpA

   Health Care Providers & Services        804          28,642  

Assicurazioni Generali SpA

   Insurance        7,668          191,401  

Banca Mediolanum SpA

   Financial Services        1,524          16,840  

Banco BPM SpA

   Banks        8,388          54,065  

Brunello Cucinelli SpA

   Textiles, Apparel & Luxury Goods        204          20,443  

Buzzi SpA

   Construction Materials        516          20,783  

Davide Campari-Milano NV

   Beverages        2,988          28,258  

DiaSorin SpA

   Health Care Equipment & Supplies        132          13,165  

Enel SpA

   Electric Utilities        47,556          330,987  

Eni SpA

   Oil, Gas & Consumable Fuels        13,740          211,375  

Ferrari NV

   Automobiles        720          293,771  

FinecoBank Banca Fineco SpA

   Banks        3,720          55,498  

Hera SpA

   Multi-Utilities        4,656          15,938  

b Infrastrutture Wireless Italiane SpA

  

Diversified Telecommunication Services

       2,184          22,822  

Interpump Group SpA

   Machinery        492          21,872  

Intesa Sanpaolo SpA

   Banks        98,712          367,213  

Italgas SpA

   Gas Utilities        3,036          14,974  

Leonardo SpA

   Aerospace & Defense        2,436          56,602  

Mediobanca Banca di Credito Finanziario SpA

   Banks        3,324          48,771  

Moncler SpA

   Textiles, Apparel & Luxury Goods        1,272          77,788  

a,b Nexi SpA

  

Financial Services

       5,112          31,196  

b Pirelli & C SpA

  

Automobile Components

       2,232          13,300  

b Poste Italiane SpA

  

Insurance

       2,712          34,574  

Prysmian SpA

   Electrical Equipment        1,656          102,620  

Recordati Industria Chimica e Farmaceutica SpA

   Pharmaceuticals        588          30,690  

Reply SpA

   IT Services        132          19,495  

Snam SpA

   Gas Utilities        13,884          61,470  

a Telecom Italia SpA

  

Diversified Telecommunication Services

       60,156          14,410  

a Telecom Italia SpA

  

Diversified Telecommunication Services

       28,092          7,313  

Terna - Rete Elettrica Nazionale

   Electric Utilities        8,616          66,652  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

UniCredit SpA

   Banks        9,984          370,286  
            

 

 

 
                2,661,892  
            

 

 

 

Luxembourg 0.2%

            

ArcelorMittal SA

   Metals & Mining        2,964          67,885  

Eurofins Scientific SE

   Life Sciences Tools & Services        780          38,914  

RTL Group SA

   Media        228          6,940  
            

 

 

 
               113,739  
            

 

 

 

Mexico 0.0%

            

Fresnillo PLC

   Metals & Mining        1,140          8,099  
            

 

 

 

Netherlands 9.9%

            

Aalberts NV

   Machinery        600          24,384  

b ABN AMRO Bank NV, GDR

  

Banks

       2,832          46,590  

a,b Adyen NV

  

Financial Services

       181          215,946  

Aegon Ltd.

   Insurance        8,748          54,079  

Akzo Nobel NV

   Chemicals        1,056          64,262  

a Argenx SE

  

Biotechnology

       360          157,650  

ASM International NV

   Semiconductors & Semiconductor Equipment        288          219,707  

ASML Holding NV

   Semiconductors & Semiconductor Equipment        2,412          2,492,517  

ASR Nederland NV

   Insurance        900          42,933  

BE Semiconductor Industries NV

   Semiconductors & Semiconductor Equipment        468          78,322  

b CTP NV

  

Real Estate Management & Development

       624          10,647  

b Euronext NV

  

Capital Markets

       480          44,499  

EXOR NV

   Financial Services        624          65,339  

Ferrovial SE

   Construction & Engineering        3,204          124,513  

Heineken Holding NV

   Beverages        792          62,516  

Heineken NV

   Beverages        1,680          162,589  

IMCD NV

   Trading Companies & Distributors        348          48,225  

ING Groep NV

   Banks        19,044          325,791  

JDE Peet’s NV

   Food Products        588          11,722  

Koninklijke Ahold Delhaize NV

   Consumer Staples Distribution & Retail        5,724          169,256  

Koninklijke KPN NV

   Diversified Telecommunication Services        23,160          88,862  

a Koninklijke Philips NV

  

Health Care Equipment & Supplies

       4,860          122,873  

Koninklijke Vopak NV

   Oil, Gas & Consumable Fuels        396          16,450  

NN Group NV

   Insurance        1,680          78,234  

OCI NV

   Chemicals        600          14,655  

a Pluxee NV

  

Commercial Services & Supplies

       540          15,160  

Prosus NV

   Broadline Retail        8,904          317,396  

Randstad NV

   Professional Services        648          29,398  

Shell PLC

   Oil, Gas & Consumable Fuels        39,156          1,402,747  

b Signify NV

  

Electrical Equipment

       780          19,478  

Universal Music Group NV

   Entertainment        4,608          137,195  

Wolters Kluwer NV

   Professional Services        1,476          244,879  
            

 

 

 
               6,908,814  
            

 

 

 

Nigeria 0.0%

            

b Airtel Africa PLC

  

Wireless Telecommunication Services

       6,852          10,403  
            

 

 

 

Norway 1.0%

            

Aker ASA, Class A

   Industrial Conglomerates        144          8,317  

Aker BP ASA

   Oil, Gas & Consumable Fuels        1,860          47,550  

a,b AutoStore Holdings Ltd.

  

Machinery

       6,600          7,786  

DNB Bank ASA

   Banks        6,108          120,296  

Equinor ASA

   Oil, Gas & Consumable Fuels        5,304          151,411  

Gjensidige Forsikring ASA

   Insurance        1,068          19,138  

Kongsberg Gruppen ASA

   Aerospace & Defense        444          36,279  

Mowi ASA

   Food Products        2,736          45,662  

Norsk Hydro ASA

   Metals & Mining        8,016          50,065  

Orkla ASA

   Food Products        4,716          38,423  

Salmar ASA

   Food Products        384          20,268  

Schibsted ASA, Class A

   Media        408          12,078  

Schibsted ASA, Class B

   Media        600          16,894  

Telenor ASA

   Diversified Telecommunication Services        3,888          44,440  

TOMRA Systems ASA

   Machinery        1,440          17,230  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Var Energi ASA

   Oil, Gas & Consumable Fuels        4,836          17,132  

Yara International ASA

   Chemicals        1,008          29,121  
            

 

 

 
               682,090  
            

 

 

 

Poland 0.6%

            

a,b Allegro.eu SA

  

Broadline Retail

       3,444          32,298  

Bank Polska Kasa Opieki SA

   Banks        972          40,620  

a,b Dino Polska SA

  

Consumer Staples Distribution & Retail

       300          30,313  

a InPost SA

  

Air Freight & Logistics

       1,272          22,439  

KGHM Polska Miedz SA

   Metals & Mining        852          31,865  

LPP SA

   Textiles, Apparel & Luxury Goods        7          29,758  

ORLEN SA

   Oil, Gas & Consumable Fuels        3,504          59,001  

Powszechna Kasa Oszczednosci Bank Polski SA

   Banks        5,220          81,701  

Powszechny Zaklad Ubezpieczen SA

   Insurance        3,372          43,232  

Santander Bank Polska SA

   Banks        216          29,079  
            

 

 

 
               400,306  
            

 

 

 

Portugal 0.2%

            

EDP - Energias de Portugal SA

   Electric Utilities        18,372          68,896  

Galp Energia SGPS SA, Class B

   Oil, Gas & Consumable Fuels        2,676          56,557  

Jeronimo Martins SGPS SA

   Consumer Staples Distribution & Retail        1,692          33,095  
            

 

 

 
               158,548  
            

 

 

 

Russia 0.0%

            

a,c Evraz PLC

  

Metals & Mining

       10,404           
            

 

 

 

Spain 3.9%

            

Acciona SA

   Electric Utilities        144          17,023  

ACS Actividades de Construccion y Servicios SA

   Construction & Engineering        1,344          58,021  

b Aena SME SA

  

Transportation Infrastructure

       432          87,043  

Amadeus IT Group SA

   Hotels, Restaurants & Leisure        2,664          177,419  

Banco Bilbao Vizcaya Argentaria SA

   Banks        35,220          353,010  

Banco de Sabadell SA

   Banks        32,148          62,036  

Banco Santander SA

   Banks        95,136          441,547  

Bankinter SA

   Banks        4,032          32,954  

CaixaBank SA

   Banks        22,668          120,087  

a,b Cellnex Telecom SA

  

Diversified Telecommunication Services

       3,432          111,708  

Corp. ACCIONA Energias Renovables SA

   Independent Power Producers & Energy Traders        348          7,172  

EDP Renovaveis SA

   Independent Power Producers & Energy Traders        1,840          25,735  

Enagas SA

   Gas Utilities        1,536          22,866  

Endesa SA

   Electric Utilities        1,920          36,083  

Fomento de Construcciones y Contratas SA

   Construction & Engineering        264          3,933  

a Grifols SA

  

Biotechnology

       1,632          13,748  

Iberdrola SA

   Electric Utilities        35,796          464,784  

Industria de Diseno Textil SA

   Specialty Retail        6,432          319,583  

Mapfre SA

   Insurance        6,108          14,101  

Merlin Properties Socimi SA

   Diversified REITs        2,088          23,273  

Naturgy Energy Group SA

   Gas Utilities        768          16,594  

Redeia Corp. SA

   Electric Utilities        2,616          45,756  

Repsol SA

   Oil, Gas & Consumable Fuels        7,416          117,115  

Telefonica SA

   Diversified Telecommunication Services        31,476          133,588  
            

 

 

 
                2,705,179  
            

 

 

 

Sweden 5.0%

            

Alfa Laval AB

   Machinery        1,896          83,089  

Assa Abloy AB, Class B

   Building Products        5,952          168,384  

Atlas Copco AB, Class A

   Machinery        15,516          291,853  

Atlas Copco AB, Class B

   Machinery        9,216          148,941  

Axfood AB

   Consumer Staples Distribution & Retail        648          17,035  

Beijer Ref AB

   Trading Companies & Distributors        2,412          37,238  

Boliden AB

   Metals & Mining        1,692          54,178  

a Castellum AB

  

Real Estate Management & Development

       2,568          31,378  

Epiroc AB, Class A

   Machinery        3,804          75,971  

Epiroc AB, Class B

   Machinery        2,340          42,822  

EQT AB

   Capital Markets        3,852          113,921  

Essity AB, Class B

   Household Products        3,672          94,104  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

b Evolution AB

  

Hotels, Restaurants & Leisure

       1,116          116,340  

a Fastighets AB Balder, Class B

  

Real Estate Management & Development

       3,864          26,497  

Getinge AB, Class B

   Health Care Equipment & Supplies        1,404          23,870  

H & M Hennes & Mauritz AB, Class B

   Specialty Retail        3,624          57,370  

Hexagon AB, Class B

   Electronic Equipment, Instruments & Components        12,912          145,882  

Holmen AB, Class B

   Paper & Forest Products        468          18,437  

Husqvarna AB, Class B

   Machinery        2,124          17,036  

Industrivarden AB, Class A

   Financial Services        708          24,108  

Industrivarden AB, Class C

   Financial Services        972          32,822  

Indutrade AB

   Machinery        1,656          42,470  

Investment AB Latour, Class B

   Industrial Conglomerates        888          23,998  

Investor AB, Class A

   Financial Services        2,940          79,870  

Investor AB, Class B

   Financial Services        10,308          282,467  

L E Lundbergforetagen AB, Class B

   Financial Services        456          22,563  

Lifco AB, Class B

   Industrial Conglomerates        1,416          38,909  

Nibe Industrier AB, Class B

   Building Products        8,976          38,090  

Saab AB, Class B

   Aerospace & Defense        1,968          47,387  

Sagax AB, Class B

   Real Estate Management & Development        1,332          34,111  

Sagax AB, Class D

   Real Estate Management & Development        720          2,101  

Sandvik AB

   Machinery        6,588          132,131  

Securitas AB, Class B

   Commercial Services & Supplies        3,000          29,801  

Skandinaviska Enskilda Banken AB, Class A

   Banks        9,324          137,788  

Skandinaviska Enskilda Banken AB, Class C

   Banks        132          1,989  

Skanska AB, Class B

   Construction & Engineering        2,220          39,997  

SKF AB, Class B

   Machinery        2,064          41,474  

SSAB AB, Class A

   Metals & Mining        1,176          6,490  

SSAB AB, Class B

   Metals & Mining        3,732          20,284  

Svenska Cellulosa AB SCA, Class B

   Paper & Forest Products        3,684          54,459  

Svenska Handelsbanken AB, Class A

   Banks        8,496          80,987  

Svenska Handelsbanken AB, Class B

   Banks        228          2,635  

Sweco AB, Class B

   Construction & Engineering        1,248          17,135  

Swedbank AB, Class A

   Banks        5,280          108,739  

a Swedish Orphan Biovitrum AB

  

Biotechnology

       1,308          35,028  

Tele2 AB, Class B

   Wireless Telecommunication Services        3,432          34,579  

Telefonaktiebolaget LM Ericsson, Class B

   Communications Equipment        16,968          105,427  

Telia Co. AB

   Diversified Telecommunication Services        15,360          41,235  

Trelleborg AB, Class B

   Machinery        1,284          50,001  

Volvo AB, Class A

   Machinery        1,164          30,380  

Volvo AB, Class B

   Machinery        9,600          245,752  

a Volvo Car AB, Class B

   Automobiles        3,924          12,148  
            

 

 

 
                3,461,701  
            

 

 

 

Switzerland 14.2%

            

ABB Ltd.

   Electrical Equipment        9,708          539,309  

Adecco Group AG

   Professional Services        996          33,052  

Alcon, Inc.

   Health Care Equipment & Supplies        3,024          269,959  

Avolta AG

   Specialty Retail        660          25,633  

Bachem Holding AG, Class B

   Life Sciences Tools & Services        192          17,617  

Baloise Holding AG

   Insurance        276          48,590  

Banque Cantonale Vaudoise

   Banks        180          19,100  

Barry Callebaut AG

   Food Products        22          35,842  

Belimo Holding AG

   Building Products        60          30,087  

BKW AG

   Electric Utilities        108          17,223  

Chocoladefabriken Lindt & Spruengli AG

   Food Products        13          151,758  

Cie Financiere Richemont SA, Class A

   Textiles, Apparel & Luxury Goods        3,252          507,560  

Clariant AG

   Chemicals        1,380          21,715  

Coca-Cola HBC AG

   Beverages        1,212          41,336  

DKSH Holding AG

   Trading Companies & Distributors        216          14,591  

DSM-Firmenich AG

   Chemicals        1,056          119,515  

Emmi AG

   Food Products        12          11,858  

EMS-Chemie Holding AG

   Chemicals        43          35,243  

Flughafen Zurich AG

   Transportation Infrastructure        120          26,535  

Geberit AG

   Building Products        204          120,502  

Georg Fischer AG

   Machinery        504          33,793  

Givaudan SA

   Chemicals        48          227,554  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Helvetia Holding AG

   Insurance        216          29,205  

Julius Baer Group Ltd.

   Capital Markets        1,248          69,719  

Kuehne & Nagel International AG

   Marine Transportation        312          89,718  

Logitech International SA

   Technology Hardware, Storage & Peripherals        948          91,698  

Lonza Group AG

   Life Sciences Tools & Services        444          242,308  

Nestle SA

   Food Products        16,056          1,638,834  

Novartis AG

   Pharmaceuticals        12,492          1,336,919  

Partners Group Holding AG

   Capital Markets        135          173,370  

PSP Swiss Property AG

   Real Estate Management & Development        276          35,414  

Roche Holding AG

   Pharmaceuticals        4,236          1,176,143  

Roche Holding AG

   Pharmaceuticals        228          69,471  

Sandoz Group AG

   Pharmaceuticals        2,628          95,165  

Schindler Holding AG, PC

   Machinery        252          63,322  

Schindler Holding AG

   Machinery        120          29,913  

SGS SA

   Professional Services        900          80,125  

SIG Group AG

   Containers & Packaging        2,040          37,345  

Sika AG

   Chemicals        924          264,470  

Sonova Holding AG

   Health Care Equipment & Supplies        288          88,970  

STMicroelectronics NV

   Semiconductors & Semiconductor Equipment        3,984          157,408  

Straumann Holding AG

   Health Care Equipment & Supplies        648          80,261  

Swatch Group AG

   Textiles, Apparel & Luxury Goods        168          34,410  

Swatch Group AG

   Textiles, Apparel & Luxury Goods        324          13,233  

Swiss Life Holding AG

   Insurance        180          132,326  

Swiss Prime Site AG

   Real Estate Management & Development        468          44,373  

Swiss Re AG

   Insurance        1,776          220,369  

Swisscom AG

   Diversified Telecommunication Services        156          87,756  

Tecan Group AG

   Life Sciences Tools & Services        72          24,101  

Temenos AG

   Software        372          25,667  

UBS Group AG

   Capital Markets        19,656          578,568  

b VAT Group AG

   Machinery        156          88,434  

Zurich Insurance Group AG

   Insurance        888          473,448  
            

 

 

 
               9,920,835  
            

 

 

 

United Kingdom 18.5%

            

3i Group PLC

   Capital Markets        5,688          220,451  

abrdn PLC

   Capital Markets        10,992          20,592  

Admiral Group PLC

   Insurance        1,788          59,104  

Allfunds Group PLC

   Capital Markets        2,076          11,659  

Anglo American PLC

   Metals & Mining        7,620          241,004  

Ashtead Group PLC

   Trading Companies & Distributors        2,676          178,676  

Associated British Foods PLC

   Food Products        1,956          61,172  

AstraZeneca PLC

   Pharmaceuticals        9,180          1,433,844  

b Auto Trader Group PLC

   Interactive Media & Services        5,388          54,569  

Aviva PLC

   Insurance        16,548          99,697  

B&M European Value Retail SA

   Broadline Retail        5,688          31,436  

BAE Systems PLC

   Aerospace & Defense        18,600          310,362  

Barclays PLC

   Banks        91,872          242,607  

Barratt Developments PLC

   Household Durables        6,024          35,958  

Beazley PLC

   Insurance        4,044          36,193  

Berkeley Group Holdings PLC

   Household Durables        624          36,190  

BP PLC

   Oil, Gas & Consumable Fuels        103,452          621,436  

British American Tobacco PLC

   Tobacco        12,240          375,984  

British Land Co. PLC

   Diversified REITs        5,688          29,595  

BT Group PLC

   Diversified Telecommunication Services        38,688          68,639  

Bunzl PLC

   Trading Companies & Distributors        2,064          78,534  

Burberry Group PLC

   Textiles, Apparel & Luxury Goods        2,208          24,501  

Centrica PLC

   Multi-Utilities        32,448          55,333  

Compass Group PLC

   Hotels, Restaurants & Leisure        10,428          284,732  

b ConvaTec Group PLC

   Health Care Equipment & Supplies        10,164          30,168  

Croda International PLC

   Chemicals        864          43,119  

Diageo PLC

   Beverages        13,620          428,618  

DS Smith PLC

   Containers & Packaging        7,896          42,021  

Endeavour Mining PLC

   Metals & Mining        1,128          24,041  

Ferguson PLC

   Trading Companies & Distributors        1,236          238,036  

GSK PLC

   Pharmaceuticals        24,492          473,538  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Haleon PLC

   Personal Care Products        42,276          172,401  

Halma PLC

   Electronic Equipment, Instruments & Components        2,316          79,222  

Hargreaves Lansdown PLC

   Capital Markets        2,352          33,656  

Hikma Pharmaceuticals PLC

   Pharmaceuticals        972          23,235  

Howden Joinery Group PLC

   Trading Companies & Distributors        3,264          36,247  

HSBC Holdings PLC

   Banks        115,356          997,273  

IMI PLC

   Machinery        1,584          35,321  

Imperial Brands PLC

   Tobacco        5,292          135,398  

Informa PLC

   Media        8,340          90,223  

InterContinental Hotels Group PLC

   Hotels, Restaurants & Leisure        996          104,828  

Intermediate Capital Group PLC

   Capital Markets        1,608          44,353  

a International Consolidated Airlines Group SA

   Passenger Airlines        12,372          25,375  

Intertek Group PLC

   Professional Services        996          60,358  

J Sainsbury PLC

   Consumer Staples Distribution & Retail        10,848          34,968  

JD Sports Fashion PLC

   Specialty Retail        15,252          23,040  

Johnson Matthey PLC

   Chemicals        1,128          22,344  

Kingfisher PLC

   Specialty Retail        11,592          36,458  

Land Securities Group PLC

   Diversified REITs        4,284          33,548  

Legal & General Group PLC

   Insurance        36,576          104,955  

Lloyds Banking Group PLC

   Banks        387,264          267,974  

London Stock Exchange Group PLC

   Capital Markets        3,036          360,754  

M&G PLC

   Financial Services        13,512          34,844  

Marks & Spencer Group PLC

   Consumer Staples Distribution & Retail        12,132          43,938  

Melrose Industries PLC

   Aerospace & Defense        7,956          55,656  

National Grid PLC

   Multi-Utilities        29,424          328,282  

NatWest Group PLC

   Banks        38,496          151,730  

Next PLC

   Broadline Retail        732          83,612  

a,c NMC Health PLC

   Health Care Providers & Services        1,159           

a Ocado Group PLC

   Consumer Staples Distribution & Retail        3,756          13,717  

Pearson PLC

   Diversified Consumer Services        4,164          52,153  

a,d Pepco Group NV

   Broadline Retail        888          4,630  

Persimmon PLC

   Household Durables        1,968          33,634  

Phoenix Group Holdings PLC

   Insurance        4,536          29,903  

Prudential PLC

   Insurance        16,848          153,002  

Reckitt Benckiser Group PLC

   Household Products        4,320          233,836  

RELX PLC

   Professional Services        11,448          526,615  

Rentokil Initial PLC

   Commercial Services & Supplies        15,360          89,549  

Rightmove PLC

   Interactive Media & Services        4,836          32,828  

a Rolls-Royce Holdings PLC

   Aerospace & Defense        51,564          297,751  

RS Group PLC

   Trading Companies & Distributors        2,940          26,052  

Sage Group PLC

   Software        6,120          84,209  

Schroders PLC

   Capital Markets        5,196          23,895  

Segro PLC

   Industrial REITs        8,184          92,922  

Severn Trent PLC

   Water Utilities        1,620          48,739  

Smith & Nephew PLC

   Health Care Equipment & Supplies        5,352          66,342  

Smiths Group PLC

   Industrial Conglomerates        2,100          45,261  

Spirax Group PLC

   Machinery        456          48,881  

SSE PLC

   Electric Utilities        6,696          151,471  

St. James’s Place PLC

   Capital Markets        3,420          23,626  

Standard Chartered PLC

   Banks        13,056          118,169  

Taylor Wimpey PLC

   Household Durables        21,948          39,439  

Tesco PLC

   Consumer Staples Distribution & Retail        43,128          166,825  

Unilever PLC

   Personal Care Products        15,096          829,150  

UNITE Group PLC

   Residential REITs        2,196          24,762  

United Utilities Group PLC

   Water Utilities        4,176          51,870  

Vodafone Group PLC

   Wireless Telecommunication Services        133,980          118,148  

Weir Group PLC

   Machinery        1,560          39,124  

Whitbread PLC

   Hotels, Restaurants & Leisure        1,128          42,421  

a Wise PLC, Class A

   Financial Services        4,620          39,801  

WPP PLC

   Media        6,432          58,899  
            

 

 

 
               12,919,426  
            

 

 

 

United States 0.9%

            

Holcim AG, Class B

   Construction Materials        3,432          304,091  

a Qiagen NV

   Life Sciences Tools & Services        1,355          55,983  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Stellantis NV

   Automobiles        12,648          250,370  

Tenaris SA

   Energy Equipment & Services        2,772          42,632  
            

 

 

 
               653,076  
            

 

 

 

Total Common Stocks (Cost $68,188,055)

            68,047,259  
            

 

 

 

Preferred Stocks 0.5%

            

Germany 0.5%

            

e Bayerische Motoren Werke AG, 7.301%, pfd.

   Automobiles        360          31,812  

e FUCHS SE, 2.601%, pfd.

   Chemicals        384          17,565  

e Henkel AG & Co. KGaA, 2.223%, pfd.

   Household Products        996          88,834  

e Sartorius AG, 0.338%, pfd.

   Life Sciences Tools & Services        156          36,615  

e Sixt SE, 7.626%, pfd.

   Ground Transportation        96          5,289  

e Volkswagen AG, 8.596%, pfd.

   Automobiles        1,116          126,066  
            

 

 

 
               306,181  
            

 

 

 

Spain 0.0%

            

a Grifols SA, Class B, pfd.

   Biotechnology        1,560          9,547  
            

 

 

 

Total Preferred Stocks (Cost $432,649)

            315,728  
            

 

 

 

Right 0.0%

            

Italy 0.0%

            

a Amplifon SpA

   Health Care Providers & Services        804           
            

 

 

 

Total Rights (Cost $0)

             
            

 

 

 

Total Investments before Short-Term
Investments (Cost $68,620,704)

               68,362,987  
            

 

 

 

Short-Term Investments 0.0%

            

Money Market Funds 0.0%

            

United States 0.0%

            

f,g Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        3,536          3,536  
            

 

 

 

Total Short-Term Investments (Cost $3,536)

            3,536  
            

 

 

 

Total Investments (Cost $68,624,240) 98.1%

            68,366,523  

Other Assets, less Liabilities 1.9%

               1,330,287  
            

 

 

 

Net Assets 100.0%

             $ 69,696,810  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $1,420,897, representing 2.0% of net assets.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

dSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. At June 30, 2024, the value of was $4,630, representing 0.0% of net assets.

eVariable rate security. The rate shown represents the yield at period end.

fThe rate shown is the annualized seven-day effective yield at period end.

gSee Note 3 regarding investments in affiliated management investment companies.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
    

Value/Unrealized
Appreciation
(Depreciation)

 

 

 

Index Contracts

                

EURO STOXX 50 Index

     Long        17        $897,505        9/20/24                   $(112

FTSE 100 Index

     Long        3        311,424        9/20/24          887  
                

 

 

 

Total Futures Contracts

                   $ 775  
                

 

 

 

*As of period end.

Abbreviations

Selected Portfolio

 

GDR     –    Global Depositary Receipt
REIT     –    Real Estate Investment Trust
SPA     –    Standby Purchase Agreement


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Eurozone ETF    Industry      Shares        Value  

Common Stocks 98.7%

            

Austria 0.7%

            

ANDRITZ AG

   Machinery        256        $ 15,872  

Erste Group Bank AG

   Banks        1,084          51,397  

OMV AG

   Oil, Gas & Consumable Fuels        516          22,486  

Raiffeisen Bank International AG

   Banks        464          8,066  

a Telekom Austria AG

  

Diversified Telecommunication Services

       324          3,236  

Verbund AG

   Electric Utilities        236          18,629  

voestalpine AG

   Metals & Mining        388          10,488  
            

 

 

 
                 130,174  
            

 

 

 

Belgium 2.4%

            

Ackermans & van Haaren NV

   Construction & Engineering        80          13,847  

Ageas SA

   Insurance        604          27,628  

Anheuser-Busch InBev SA

   Beverages        3,164          183,522  

D’ieteren Group

   Distributors        84          17,834  

Elia Group SA

   Electric Utilities        136          12,747  

Groupe Bruxelles Lambert NV

   Financial Services        304          21,715  

KBC Group NV

   Banks        860          60,741  

Lotus Bakeries NV

   Food Products        1          10,321  

Sofina SA

   Financial Services        64          14,624  

Syensqo SA

   Chemicals        256          22,929  

UCB SA

   Pharmaceuticals        440          65,407  

Umicore SA

   Chemicals        772          11,608  

Warehouses De Pauw CVA

   Industrial REITs        624          16,920  
            

 

 

 
               479,843  
            

 

 

 

Finland 3.1%

            

Elisa OYJ

   Diversified Telecommunication Services        516          23,692  

Fortum OYJ

   Electric Utilities        1,556          22,763  

Kesko OYJ, Class B

   Consumer Staples Distribution & Retail        1,000          17,566  

Kone OYJ, Class B

   Machinery        1,176          58,091  

Metso OYJ

   Machinery        2,320          24,576  

Neste OYJ

   Oil, Gas & Consumable Fuels        1,508          26,869  

Nokia OYJ

   Communications Equipment        18,796          71,685  

Nordea Bank Abp

   Banks        11,996          142,902  

Orion OYJ, Class B

   Pharmaceuticals        376          16,063  

Sampo OYJ, Class A

   Insurance        1,608          69,107  

Stora Enso OYJ, Class R

   Paper & Forest Products        2,128          29,090  

UPM-Kymmene OYJ

   Paper & Forest Products        1,936          67,684  

Valmet OYJ

   Machinery        592          16,934  

Wartsila OYJ Abp

   Machinery        1,756          33,876  
            

 

 

 
               620,898  
            

 

 

 

France 32.1%

            

Accor SA

   Hotels, Restaurants & Leisure        616          25,286  

Aeroports de Paris SA

   Transportation Infrastructure        116          14,123  

Air Liquide SA

   Chemicals        2,040          352,618  

Airbus SE

   Aerospace & Defense        2,116          290,871  

Alstom SA

   Machinery        1,252          21,067  

b Amundi SA

  

Capital Markets

       204          13,173  

Arkema SA

   Chemicals        204          17,742  

AXA SA

   Insurance        6,472          212,045  

b Ayvens SA

  

Ground Transportation

       496          2,879  

BioMerieux

   Health Care Equipment & Supplies        148          14,077  

BNP Paribas SA

   Banks        3,620          230,961  

Bollore SE

   Entertainment        3,408          20,016  

Bouygues SA

   Construction & Engineering        648          20,814  

Bureau Veritas SA

   Professional Services        1,108          30,709  

Capgemini SE

   IT Services        576          114,638  

Carrefour SA

   Consumer Staples Distribution & Retail        1,880          26,597  

Cie de Saint-Gobain SA

   Building Products        1,652          128,576  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Cie Generale des Etablissements Michelin SCA

   Automobile Components        2,528          97,836  

Covivio SA

   Diversified REITs        200          9,513  

Credit Agricole SA

   Banks        3,636          49,646  

Danone SA

   Food Products        2,256          138,012  

Dassault Aviation SA

   Aerospace & Defense        78          14,178  

Dassault Systemes SE

   Software        2,412          91,253  

Edenred SE

   Financial Services        900          38,014  

Eiffage SA

   Construction & Engineering        276          25,368  

Engie SA

   Multi-Utilities        6,320          90,324  

EssilorLuxottica SA

   Health Care Equipment & Supplies        1,100          237,200  

Eurazeo SE

   Financial Services        180          14,343  

Gecina SA

   Office REITs        184          16,949  

Getlink SE

   Transportation Infrastructure        1,280          21,195  

Hermes International SCA

   Textiles, Apparel & Luxury Goods        122          279,813  

Ipsen SA

   Pharmaceuticals        124          15,217  

a JCDecaux SE

  

Media

       264          5,198  

Kering SA

   Textiles, Apparel & Luxury Goods        259          93,962  

Klepierre SA

   Retail REITs        752          20,133  

b La Francaise des Jeux SAEM

  

Hotels, Restaurants & Leisure

       352          11,997  

Legrand SA

   Electrical Equipment        912          90,550  

L’Oreal SA

   Personal Care Products        832          365,640  

LVMH Moet Hennessy Louis Vuitton SE

   Textiles, Apparel & Luxury Goods        888          679,143  

b Neoen SA

  

Independent Power Producers & Energy Traders

       244          9,848  

Orange SA

   Diversified Telecommunication Services        6,928          69,454  

Pernod Ricard SA

   Beverages        732          99,399  

Publicis Groupe SA

   Media        820          87,339  

Remy Cointreau SA

   Beverages        88          7,347  

Renault SA

   Automobiles        692          35,481  

Rexel SA

   Trading Companies & Distributors        848          21,958  

Safran SA

   Aerospace & Defense        1,216          257,261  

Sanofi SA

   Pharmaceuticals        3,968          382,488  

Sartorius Stedim Biotech

   Life Sciences Tools & Services        92          15,115  

Schneider Electric SE

   Electrical Equipment        1,920          461,556  

SCOR SE

   Insurance        540          13,693  

SEB SA

   Household Durables        88          9,016  

Societe Generale SA

   Banks        2,624          61,645  

Sodexo SA

   Hotels, Restaurants & Leisure        316          28,448  

a SOITEC

  

Semiconductors & Semiconductor Equipment

       88          9,827  

Teleperformance SE

   Professional Services        216          22,765  

Thales SA

   Aerospace & Defense        352          56,400  

TotalEnergies SE

   Oil, Gas & Consumable Fuels        7,244          483,915  

a Unibail-Rodamco-Westfield

  

Retail REITs

       368          28,997  

Valeo SE

   Automobile Components        776          8,265  

Veolia Environnement SA

   Multi-Utilities        2,260          67,627  

Vinci SA

   Construction & Engineering        1,788          188,525  

Vivendi SE

   Media        2,408          25,178  

Wendel SE

   Financial Services        96          8,498  

a,b Worldline SA

  

Financial Services

       876          9,501  
            

 

 

 
               6,411,222  
            

 

 

 

Germany 24.8%

            

adidas AG

   Textiles, Apparel & Luxury Goods        596          142,444  

Allianz SE

   Insurance        1,408          391,592  

BASF SE

   Chemicals        3,208          155,354  

Bayer AG

   Pharmaceuticals        3,544          100,199  

Bayerische Motoren Werke AG

   Automobiles        1,064          100,783  

Bechtle AG

   IT Services        296          13,939  

Beiersdorf AG

   Personal Care Products        356          52,100  

Brenntag SE

   Trading Companies & Distributors        472          31,849  

Carl Zeiss Meditec AG

   Health Care Equipment & Supplies        132          9,288  

Commerzbank AG

   Banks        3,736          56,798  

Continental AG

   Automobile Components        392          22,225  

a,b Covestro AG

  

Chemicals

       672          39,468  

CTS Eventim AG & Co. KGaA

   Entertainment        212          17,700  

Daimler Truck Holding AG

   Machinery        1,892          75,372  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a,b Delivery Hero SE

  

Hotels, Restaurants & Leisure

       728          17,282  

Deutsche Bank AG

   Capital Markets        7,052          112,674  

Deutsche Boerse AG

   Capital Markets        668          136,814  

Deutsche Lufthansa AG

   Passenger Airlines        2,148          13,145  

Deutsche Post AG

   Air Freight & Logistics        3,544          143,537  

Deutsche Telekom AG

   Diversified Telecommunication Services        12,064          303,587  

Deutsche Wohnen SE

   Real Estate Management & Development        176          3,388  

b DWS Group GmbH & Co. KGaA

  

Capital Markets

       112          3,978  

E.ON SE

   Multi-Utilities        7,992          104,969  

Evonik Industries AG

   Chemicals        824          16,823  

Fielmann Group AG

   Specialty Retail        88          4,046  

a Fraport AG Frankfurt Airport Services Worldwide

  

Transportation Infrastructure

       124          6,406  

Fresenius Medical Care AG

   Health Care Providers & Services        736          28,208  

a Fresenius SE & Co. KGaA

  

Health Care Providers & Services

       1,484          44,343  

FUCHS SE

   Chemicals        100          3,569  

GEA Group AG

   Machinery        620          25,848  

Hannover Rueck SE

   Insurance        216          54,796  

Heidelberg Materials AG

   Construction Materials        492          51,053  

Henkel AG & Co. KGaA

   Household Products        356          28,024  

HOCHTIEF AG

   Construction & Engineering        76          8,650  

Infineon Technologies AG

   Semiconductors & Semiconductor Equipment        4,684          172,214  

KION Group AG

   Machinery        256          10,725  

Knorr-Bremse AG

   Machinery        236          18,034  

LEG Immobilien SE

   Real Estate Management & Development        264          21,577  

Mercedes-Benz Group AG

   Automobiles        3,020          208,993  

Merck KGaA

   Pharmaceuticals        468          77,619  

MTU Aero Engines AG

   Aerospace & Defense        192          49,139  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

   Insurance        476          238,242  

Nemetschek SE

   Software        196          19,294  

Puma SE

   Textiles, Apparel & Luxury Goods        356          16,357  

Rational AG

   Machinery        17          14,166  

Rheinmetall AG

   Aerospace & Defense        156          79,534  

RWE AG

   Independent Power Producers & Energy Traders        2,576          88,209  

SAP SE

   Software        3,956          803,535  

Sartorius AG

   Life Sciences Tools & Services        8          1,538  

b Scout24 SE

  

Interactive Media & Services

       268          20,451  

Siemens AG

   Industrial Conglomerates        2,680          498,974  

a Siemens Energy AG

  

Electrical Equipment

       1,940          50,545  

b Siemens Healthineers AG

  

Health Care Equipment & Supplies

       996          57,430  

Sixt SE

   Ground Transportation        48          3,408  

Symrise AG

   Chemicals        468          57,331  

Talanx AG

   Insurance        220          17,578  

thyssenkrupp AG

   Metals & Mining        1,768          7,651  

Traton SE

   Machinery        188          6,156  

Volkswagen AG

   Automobiles        104          12,495  

Vonovia SE

   Real Estate Management & Development        2,508          71,365  

Wacker Chemie AG

   Chemicals        52          5,673  

a,b Zalando SE

  

Specialty Retail

       796          18,675  
            

 

 

 
               4,967,159  
            

 

 

 

Ireland 0.8%

            

AIB Group PLC

   Banks        5,140          27,191  

Bank of Ireland Group PLC

   Banks        3,704          38,777  

Glanbia PLC

   Food Products        644          12,562  

Kerry Group PLC, Class A

   Food Products        548          44,431  

Kingspan Group PLC

   Building Products        548          46,692  
            

 

 

 
               169,653  
            

 

 

 

Italy 7.9%

            

A2A SpA

   Multi-Utilities        5,540          11,041  

Amplifon SpA

   Health Care Providers & Services        464          16,530  

Assicurazioni Generali SpA

   Insurance        4,500          112,325  

Banca Mediolanum SpA

   Financial Services        868          9,591  

Banco BPM SpA

   Banks        4,956          31,944  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Brunello Cucinelli SpA

   Textiles, Apparel & Luxury Goods        120          12,025  

Buzzi SpA

   Construction Materials        308          12,405  

Davide Campari-Milano NV

   Beverages        1,776          16,796  

DiaSorin SpA

   Health Care Equipment & Supplies        76          7,580  

Enel SpA

   Electric Utilities        28,008          194,934  

Eni SpA

   Oil, Gas & Consumable Fuels        8,128          125,040  

Ferrari NV

   Automobiles        424          172,999  

FinecoBank Banca Fineco SpA

   Banks        2,204          32,881  

Hera SpA

   Multi-Utilities        2,848          9,749  

b Infrastrutture Wireless Italiane SpA

  

Diversified Telecommunication Services

       1,252          13,083  

Interpump Group SpA

   Machinery        284          12,626  

Intesa Sanpaolo SpA

   Banks        58,140          216,283  

Italgas SpA

   Gas Utilities        1,760          8,681  

Leonardo SpA

   Aerospace & Defense        1,456          33,831  

Mediobanca Banca di Credito Finanziario SpA

   Banks        1,968          28,875  

Moncler SpA

   Textiles, Apparel & Luxury Goods        740          45,254  

a,b Nexi SpA

  

Financial Services

       2,988          18,234  

b Pirelli & C SpA

  

Automobile Components

       1,344          8,009  

b Poste Italiane SpA

  

Insurance

       1,644          20,958  

Prysmian SpA

   Electrical Equipment        988          61,225  

Recordati Industria Chimica e Farmaceutica SpA

   Pharmaceuticals        348          18,164  

Reply SpA

   IT Services        80          11,815  

Snam SpA

   Gas Utilities        8,128          35,986  

a Telecom Italia SpA

  

Diversified Telecommunication Services

       36,448          8,731  

a Telecom Italia SpA

  

Diversified Telecommunication Services

       17,036          4,435  

Terna - Rete Elettrica Nazionale

   Electric Utilities        5,076          39,267  

UniCredit SpA

   Banks        5,880          218,077  
            

 

 

 
               1,569,374  
            

 

 

 

Luxembourg 0.3%

            

ArcelorMittal SA

   Metals & Mining        1,748          40,035  

Eurofins Scientific SE

   Life Sciences Tools & Services        464          23,149  

RTL Group SA

   Media        140          4,261  
            

 

 

 
               67,445  
            

 

 

 

Netherlands 16.2%

            

Aalberts NV

   Machinery        344          13,980  

b ABN AMRO Bank NV, GDR

  

Banks

       1,672          27,507  

a,b Adyen NV

  

Financial Services

       106          126,466  

Aegon Ltd.

   Insurance        5,168          31,948  

Akzo Nobel NV

   Chemicals        616          37,486  

a Argenx SE

  

Biotechnology

       216          94,590  

ASM International NV

   Semiconductors & Semiconductor Equipment        168          128,162  

ASML Holding NV

   Semiconductors & Semiconductor Equipment        1,420          1,467,402  

ASR Nederland NV

   Insurance        524          24,997  

BE Semiconductor Industries NV

   Semiconductors & Semiconductor Equipment        272          45,520  

b CTP NV

  

Real Estate Management & Development

       404          6,893  

b Euronext NV

  

Capital Markets

       284          26,329  

EXOR NV

   Financial Services        364          38,114  

Ferrovial SE

   Construction & Engineering        1,888          73,371  

Heineken Holding NV

   Beverages        476          37,573  

Heineken NV

   Beverages        992          96,005  

IMCD NV

   Trading Companies & Distributors        204          28,270  

ING Groep NV

   Banks        11,216          191,875  

JDE Peet’s NV

   Food Products        352          7,017  

Koninklijke Ahold Delhaize NV

   Consumer Staples Distribution & Retail        3,404          100,655  

Koninklijke KPN NV

   Diversified Telecommunication Services        13,644          52,350  

a Koninklijke Philips NV

  

Health Care Equipment & Supplies

       2,868          72,510  

Koninklijke Vopak NV

   Oil, Gas & Consumable Fuels        232          9,638  

NN Group NV

   Insurance        988          46,009  

OCI NV

   Chemicals        348          8,500  

a Pluxee NV

  

Commercial Services & Supplies

       328          9,208  

Prosus NV

   Broadline Retail        5,244          186,930  

Randstad NV

   Professional Services        384          17,421  

b Signify NV

  

Electrical Equipment

       468          11,687  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Universal Music Group NV

   Entertainment        2,716          80,864  

Wolters Kluwer NV

   Professional Services        868          144,007  
            

 

 

 
               3,243,284  
            

 

 

 

Poland 0.1%

            

a InPost SA

  

Air Freight & Logistics

       796          14,042  
            

 

 

 

Portugal 0.5%

            

EDP - Energias de Portugal SA

   Electric Utilities        10,856          40,710  

Galp Energia SGPS SA, Class B

   Oil, Gas & Consumable Fuels        1,576          33,309  

Jeronimo Martins SGPS SA

   Consumer Staples Distribution & Retail        1,012          19,794  
            

 

 

 
               93,813  
            

 

 

 

Russia 0.0%

            

a,c Evraz PLC

  

Metals & Mining

       1,168           
            

 

 

 

Spain 8.0%

            

Acciona SA

   Electric Utilities        84          9,930  
            

 

 

 

ACS Actividades de Construccion y Servicios SA

   Construction & Engineering        804          34,709  

b Aena SME SA

  

Transportation Infrastructure

       252          50,775  

Amadeus IT Group SA

   Hotels, Restaurants & Leisure        1,572          104,693  

Banco Bilbao Vizcaya Argentaria SA

   Banks        20,744          207,917  

Banco de Sabadell SA

   Banks        18,808          36,294  

Banco Santander SA

   Banks        56,036          260,075  

Bankinter SA

   Banks        2,344          19,158  

CaixaBank SA

   Banks        13,348          70,713  

a,b Cellnex Telecom SA

  

Diversified Telecommunication Services

       2,020          65,749  

Corp. ACCIONA Energias Renovables SA

   Independent Power Producers & Energy Traders        204          4,204  

EDP Renovaveis SA

   Independent Power Producers & Energy Traders        1,100          15,385  

Enagas SA

   Gas Utilities        880          13,100  

Endesa SA

   Electric Utilities        1,132          21,274  

Fomento de Construcciones y Contratas SA

   Construction & Engineering        192          2,860  

a Grifols SA

  

Biotechnology

       952          8,020  

Iberdrola SA

   Electric Utilities        21,084          273,760  

Industria de Diseno Textil SA

   Specialty Retail        3,788          188,212  

Mapfre SA

   Insurance        3,556          8,209  

Merlin Properties Socimi SA

   Diversified REITs        1,200          13,376  

Naturgy Energy Group SA

   Gas Utilities        460          9,939  

Redeia Corp. SA

   Electric Utilities        1,548          27,076  

Repsol SA

   Oil, Gas & Consumable Fuels        4,384          69,233  

Telefonica SA

   Diversified Telecommunication Services        18,568          78,805  
            

 

 

 
               1,593,466  
            

 

 

 

Switzerland 0.8%

            

DSM-Firmenich AG

   Chemicals        624          70,622  

STMicroelectronics NV

   Semiconductors & Semiconductor Equipment        2,344          92,612  
            

 

 

 
               163,234  
            

 

 

 

United Kingdom 0.0%

            

Allfunds Group PLC

   Capital Markets        1,172          6,582  

a,c NMC Health PLC

  

Health Care Providers & Services

       60           
            

 

 

 
               6,582  
            

 

 

 

United States 1.0%

            

a Qiagen NV

  

Life Sciences Tools & Services

       804          33,218  

Stellantis NV

   Automobiles        7,452          147,514  

Tenaris SA

   Energy Equipment & Services        1,620          24,915  
            

 

 

 
               205,647  
            

 

 

 

Total Common Stocks (Cost $19,306,963)

            19,735,836  
            

 

 

 

Preferred Stocks 1.0%

            

Germany 0.9%

            

d Bayerische Motoren Werke AG, 7.301%, pfd.

  

Automobiles

       204          18,027  

d FUCHS SE, 2.601%, pfd.

  

Chemicals

       232          10,612  

d Henkel AG & Co. KGaA, 2.223%, pfd.

  

Household Products

       584          52,088  

d Sartorius AG, 0.338%, pfd.

  

Life Sciences Tools & Services

       91          21,359  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

d Sixt SE, 7.626%, pfd.

  

Ground Transportation

       60          3,305  

d Volkswagen AG, 8.596%, pfd.

  

Automobiles

       660          74,555  
            

 

 

 
               179,946  
            

 

 

 

Spain 0.1%

            

a Grifols SA, Class B, pfd.

  

Biotechnology

       940          5,752  
            

 

 

 

Total Preferred Stocks (Cost $231,848)

               185,698  
            

 

 

 

Right 0.0%

            

Italy 0.0%

            

a Amplifon SpA

  

Health Care Providers & Services

       464           
            

 

 

 

Total Rights (Cost $0)

                
            

 

 

 

Total Investments (Cost $19,538,811) 99.7%

            19,921,534  

Other Assets, less Liabilities 0.3%

               69,084  
            

 

 

 

Net Assets 100.0%

             $ 19,990,618  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $580,372, representing 2.9% of net assets.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

dVariable rate security. The rate shown represents the yield at period end.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Index Contracts

              

EURO STOXX 50 Index

     Long        1        $52,794        9/20/24        $(248

*As of period end.

Abbreviations

Selected Portfolio

 

GDR

–  Global Depositary Receipt

REIT

–  Real Estate Investment Trust

SPA

–  Standby Purchase Agreement


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Germany ETF    Industry      Shares        Value  

Common Stocks 96.1%

            

Germany 95.4%

            

adidas AG

   Textiles, Apparel & Luxury Goods        2,603        $ 622,118  

Allianz SE

   Insurance        6,156          1,712,102  

BASF SE

   Chemicals        14,022          679,044  

Bayer AG

   Pharmaceuticals        15,504          438,341  

Bayerische Motoren Werke AG

   Automobiles        4,655          440,928  

Bechtle AG

   IT Services        1,254          59,054  

Beiersdorf AG

   Personal Care Products        1,558          228,009  

Brenntag SE

   Trading Companies & Distributors        2,052          138,464  

Carl Zeiss Meditec AG

   Health Care Equipment & Supplies        589          41,442  

Commerzbank AG

   Banks        16,245          246,969  

Continental AG

   Automobile Components        1,691          95,872  

a,b Covestro AG

   Chemicals        2,945          172,966  

CTS Eventim AG & Co. KGaA

   Entertainment        912          76,142  

Daimler Truck Holding AG

   Machinery        8,246          328,496  

a,b Delivery Hero SE

   Hotels, Restaurants & Leisure        3,154          74,874  

Deutsche Bank AG

   Capital Markets        30,837          492,703  

Deutsche Boerse AG

   Capital Markets        2,926          599,279  

Deutsche Lufthansa AG

   Passenger Airlines        9,291          56,858  

Deutsche Post AG

   Air Freight & Logistics        15,504          627,935  

Deutsche Telekom AG

   Diversified Telecommunication Services        52,763          1,327,765  

Deutsche Wohnen SE

   Real Estate Management & Development        798          15,360  

a DWS Group GmbH & Co. KGaA

   Capital Markets        456          16,196  

E.ON SE

   Multi-Utilities        34,960          459,175  

Evonik Industries AG

   Chemicals        3,667          74,869  

Fielmann Group AG

   Specialty Retail        380          17,472  

b Fraport AG Frankfurt Airport Services Worldwide

   Transportation Infrastructure        570          29,445  

Fresenius Medical Care AG

   Health Care Providers & Services        3,192          122,336  

b Fresenius SE & Co. KGaA

   Health Care Providers & Services        6,498          194,163  

FUCHS SE

   Chemicals        475          16,952  

GEA Group AG

   Machinery        2,698          112,483  

Hannover Rueck SE

   Insurance        950          240,999  

Heidelberg Materials AG

   Construction Materials        2,147          222,787  

Henkel AG & Co. KGaA

   Household Products        1,539          121,150  

HOCHTIEF AG

   Construction & Engineering        342          38,926  

Infineon Technologies AG

   Semiconductors & Semiconductor Equipment        20,482          753,049  

KION Group AG

   Machinery        1,159          48,556  

Knorr-Bremse AG

   Machinery        1,026          78,403  

LEG Immobilien SE

   Real Estate Management & Development        1,159          94,727  

Mercedes-Benz Group AG

   Automobiles        13,205          913,825  

Merck KGaA

   Pharmaceuticals        2,033          337,180  

MTU Aero Engines AG

   Aerospace & Defense        849          217,288  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

   Insurance        2,081          1,041,556  

Nemetschek SE

   Software        855          84,166  

Puma SE

   Textiles, Apparel & Luxury Goods        1,558          71,584  

Rational AG

   Machinery        76          63,330  

Rheinmetall AG

   Aerospace & Defense        684          348,725  

RWE AG

   Independent Power Producers & Energy Traders        11,229          384,508  

SAP SE

   Software        17,309          3,515,772  

Sartorius AG

   Life Sciences Tools & Services        38          7,306  

a Scout24 SE

   Interactive Media & Services        1,159          88,442  

Siemens AG

   Industrial Conglomerates        11,723           2,182,641  

b Siemens Energy AG

   Electrical Equipment        8,493          221,279  

a Siemens Healthineers AG

   Health Care Equipment & Supplies        4,408          254,166  

Sixt SE

   Ground Transportation        209          14,840  

Symrise AG

   Chemicals        2,052          251,372  

Talanx AG

   Insurance        950          75,904  

thyssenkrupp AG

   Metals & Mining        7,885          34,124  

Traton SE

   Machinery        798          26,128  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Volkswagen AG

   Automobiles        456          54,785  

Vonovia SE

   Real Estate Management & Development        10,982          312,493  

Wacker Chemie AG

   Chemicals        228          24,876  

a,b Zalando SE

   Specialty Retail        3,420          80,235  
            

 

 

 
               21,722,934  
            

 

 

 

Luxembourg 0.1%

            

RTL Group SA

   Media        589          17,928  
            

 

 

 

United States 0.6%

            

b Qiagen NV

  

Life Sciences Tools & Services

       3,496          144,441  
            

 

 

 

Total Common Stocks (Cost $21,684,129)

               21,885,303  
            

 

 

 

Preferred Stocks 3.5%

            

Germany 3.5%

            

c Bayerische Motoren Werke AG, 7.301%, pfd.

  

Automobiles

       912          80,590  

c FUCHS SE, 2.601%, pfd.

  

Chemicals

       1,045          47,801  

c Henkel AG & Co. KGaA, 2.223%, pfd.

  

Household Products

       2,565          228,775  

c Sartorius AG, 0.338%, pfd.

  

Life Sciences Tools & Services

       399          93,650  

c Sixt SE, 7.626%, pfd.

  

Ground Transportation

       266          14,653  

c Volkswagen AG, 8.596%, pfd.

  

Automobiles

       2,888          326,236  
            

 

 

 

Total Preferred Stocks (Cost $1,079,553)

               791,705  
            

 

 

 

Total Investments (Cost $22,763,682) 99.6%

            22,677,008  

Other Assets, less Liabilities 0.4%

               88,808  
            

 

 

 

Net Assets 100.0%

             $ 22,765,816  
            

 

 

 

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $686,879, representing 3.0% of net assets.

bNon-income producing.

cVariable rate security. The rate shown represents the yield at period end.

At June 30, 2024, the Fund had the following futures contracts outstanding.

 

Futures Contracts

 

                                  
Description    Type     

Number of

Contracts

     Notional
Amount*
    

Expiration

Date

    

Value/Unrealized

Appreciation

(Depreciation)

 

Index Contracts

              

Micro DAX

     Long        4        $78,894        9/20/24        $566  

*As of period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Hong Kong ETF    Industry      Shares        Value  

Common Stocks 99.7%

            

Cambodia 0.2%

            

a NagaCorp Ltd.

   Hotels, Restaurants & Leisure        38,922        $ 19,094  
            

 

 

 

China 11.4%

            

AAC Technologies Holdings, Inc., Class H

   Electronic Equipment, Instruments & Components        19,000          74,711  

BOC Hong Kong Holdings Ltd.

   Banks        100,000          308,041  

b Budweiser Brewing Co. APAC Ltd., Class H

   Beverages        47,400          55,855  

China Travel International Investment Hong Kong Ltd., Class A

   Hotels, Restaurants & Leisure        72,000          10,698  

Chow Tai Fook Jewellery Group Ltd., Class A

   Specialty Retail        49,200          53,249  

b ESR Group Ltd., Class H

   Real Estate Management & Development        73,200          96,195  

a HUTCHMED China Ltd.

   Pharmaceuticals        14,000          49,312  

Kerry Logistics Network Ltd.

   Air Freight & Logistics        6,000          5,779  

Lenovo Group Ltd.

   Technology Hardware, Storage & Peripherals        216,000          304,880  

a MMG Ltd.

   Metals & Mining        67,200          25,650  

Nexteer Automotive Group Ltd.

   Automobile Components        24,000          10,820  

Shangri-La Asia Ltd.

   Hotels, Restaurants & Leisure        32,000          22,010  

SITC International Holdings Co. Ltd.

   Marine Transportation        36,000          97,753  
            

 

 

 
               1,114,953  
            

 

 

 

Hong Kong 75.5%

            

AIA Group Ltd.

   Insurance        283,400          1,923,841  

ASMPT Ltd., Class A

   Semiconductors & Semiconductor Equipment        8,600          119,955  

Bank of East Asia Ltd., Class A

   Banks        39,600          50,315  

Cathay Pacific Airways Ltd., Class A

   Passenger Airlines        28,000          28,655  

Champion REIT, Class A

   Office REITs        54,000          10,859  

CK Asset Holdings Ltd.

   Real Estate Management & Development        53,500          200,435  

CK Infrastructure Holdings Ltd., Class A

   Electric Utilities        16,500          93,200  

CLP Holdings Ltd.

   Electric Utilities        46,000          371,775  

Dah Sing Banking Group Ltd., Class A

   Banks        9,600          8,005  

DFI Retail Group Holdings Ltd., Class A

   Consumer Staples Distribution & Retail        8,400          15,960  

Hang Lung Group Ltd.

   Real Estate Management & Development        24,000          26,129  

Hang Lung Properties Ltd.

   Real Estate Management & Development        52,000          44,358  

Hang Seng Bank Ltd.

   Banks        20,400          262,336  

Henderson Land Development Co. Ltd.

   Real Estate Management & Development        36,000          96,601  

Hong Kong & China Gas Co. Ltd.

   Gas Utilities        306,000          232,810  

Hong Kong Exchanges & Clearing Ltd.

   Capital Markets        35,600          1,140,856  

Hongkong Land Holdings Ltd.

   Real Estate Management & Development        30,600          98,838  

Huabao International Holdings Ltd.

   Chemicals        24,000          7,347  

Hysan Development Co. Ltd.

   Real Estate Management & Development        18,000          25,868  

Jardine Matheson Holdings Ltd.

   Industrial Conglomerates        5,500          194,590  

Johnson Electric Holdings Ltd.

   Automobile Components        10,500          15,816  

Kerry Properties Ltd.

   Real Estate Management & Development        16,500          28,700  

Link REIT

   Retail REITs        71,400          277,556  

Man Wah Holdings Ltd.

   Household Durables        40,800          28,010  

a Melco International Development Ltd.

   Hotels, Restaurants & Leisure        22,000          14,794  

MTR Corp. Ltd.

   Ground Transportation        40,500          127,869  

New World Development Co. Ltd.

   Real Estate Management & Development        40,000          37,452  

NWS Holdings Ltd.

   Industrial Conglomerates        27,000          23,966  

Orient Overseas International Ltd.

   Marine Transportation        3,600          58,422  

PCCW Ltd.

   Diversified Telecommunication Services        114,000          57,092  

Power Assets Holdings Ltd.

   Electric Utilities        38,000          205,638  

Sino Land Co. Ltd.

   Real Estate Management & Development        98,000          101,045  

Sun Hung Kai Properties Ltd.

   Real Estate Management & Development        40,000          346,082  

a Super Hi International Holding Ltd.

   Hotels, Restaurants & Leisure        5,000          9,324  

Swire Pacific Ltd., Class A

   Real Estate Management & Development        11,500          101,634  

Swire Pacific Ltd., Class B

   Real Estate Management & Development        22,500          30,202  

Swire Properties Ltd.

   Real Estate Management & Development        28,800          45,889  

Techtronic Industries Co. Ltd.

   Machinery        36,750          419,871  

United Energy Group Ltd.

   Oil, Gas & Consumable Fuels        204,000          7,969  

Vitasoy International Holdings Ltd.

   Food Products        22,000          16,625  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

VTech Holdings Ltd.

   Communications Equipment        4,800          35,904  

b WH Group Ltd.

   Food Products        219,000          144,179  

Wharf Holdings Ltd.

   Real Estate Management & Development        27,143          76,311  

Wharf Real Estate Investment Co. Ltd.

   Real Estate Management & Development        43,000          114,007  

Xinyi Glass Holdings Ltd.

   Building Products        60,114          65,909  

Yue Yuen Industrial Holdings Ltd.

   Textiles, Apparel & Luxury Goods        19,500          37,714  
            

 

 

 
               7,380,713  
            

 

 

 

Indonesia 0.3%

            

First Pacific Co. Ltd.

   Food Products        64,000          29,756  
            

 

 

 

Italy 1.1%

            

PRADA SpA

   Textiles, Apparel & Luxury Goods        14,400          107,713  
            

 

 

 

Luxembourg 0.5%

            

L’Occitane International SA

   Personal Care Products        11,250          47,839  
            

 

 

 

Macau 5.2%

            

Galaxy Entertainment Group Ltd.

   Hotels, Restaurants & Leisure        60,240          280,854  

MGM China Holdings Ltd.

   Hotels, Restaurants & Leisure        21,600          33,642  

a Sands China Ltd.

   Hotels, Restaurants & Leisure        67,200          140,125  

a SJM Holdings Ltd.

   Hotels, Restaurants & Leisure        66,000          22,402  

Wynn Macau Ltd.

   Hotels, Restaurants & Leisure        40,800          33,445  
            

 

 

 
               510,468  
            

 

 

 

Singapore 0.5%

            

b BOC Aviation Ltd., Class A

   Trading Companies & Distributors        6,000          43,036  
            

 

 

 

Taiwan 0.1%

            

a,b FIT Hon Teng Ltd.

   Electronic Equipment, Instruments & Components        30,000          13,334  
            

 

 

 

United Kingdom 3.7%

            

CK Hutchison Holdings Ltd., Class A

   Industrial Conglomerates        75,000          359,275  
            

 

 

 

United States 1.2%

            

b Samsonite International SA

   Textiles, Apparel & Luxury Goods        37,800          112,808  
            

 

 

 

Total Common Stocks (Cost $14,470,070)

               9,738,989  
            

 

 

 

Right 0.0%

            

China 0.0%

            

a MMG Ltd.

   Metals & Mining        28,800          1,273  
            

 

 

 

Total Rights (Cost $0)

               1,273  
            

 

 

 

Total Investments (Cost $14,470,070) 99.7%

               9,740,262  

Other Assets, less Liabilities 0.3%

               34,194  
            

 

 

 

Net Assets 100.0%

             $ 9,774,456  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $465,407, representing 4.8% of net assets.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

 

Futures Contracts

 

                                  
Description    Type     

Number of

Contracts

     Notional
Amount*
    

Expiration

Date

    

Value/Unrealized

Appreciation

(Depreciation)

 

Equity Contracts

                

MINI HSI IDX

     Long        1        $22,581        7/30/24                  $(524)  

*As of period end.

Abbreviations

Selected Portfolio

 

REIT      Real Estate Investment Trust
SPA     Standby Purchase Agreement


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE India ETF    Industry      Shares        Value  

Common Stocks 101.7%

            

India 101.7%

            

3M India Ltd.

   Industrial Conglomerates        2,199        $ 970,561  

Aarti Industries Ltd.

   Chemicals        169,323          1,393,469  

ABB India Ltd.

   Electrical Equipment        46,179          4,702,159  

ACC Ltd.

   Construction Materials        70,368          2,210,131  

a Adani Energy Solutions Ltd.

   Electric Utilities        306,394          3,664,603  

Adani Enterprises Ltd.

   Trading Companies & Distributors        270,477          10,305,453  

a Adani Green Energy Ltd.

   Independent Power Producers & Energy Traders        364,301          7,814,860  

Adani Ports & Special Economic Zone Ltd.

   Transportation Infrastructure        638,443          11,316,835  

a Adani Power Ltd.

   Independent Power Producers & Energy Traders        1,001,278          8,628,612  

Adani Total Gas Ltd.

   Gas Utilities        238,225          2,559,731  

a Adani Wilmar Ltd.

   Food Products        138,292          550,763  

a Aditya Birla Capital Ltd.

   Financial Services        427,462          1,223,678  

AIA Engineering Ltd.

   Machinery        33,718          1,689,610  

Alkem Laboratories Ltd.

   Pharmaceuticals        44,713          2,676,399  

Ambuja Cements Ltd.

   Construction Materials        632,579          5,084,528  

APL Apollo Tubes Ltd.

   Metals & Mining        170,789          3,185,467  

Apollo Hospitals Enterprise Ltd.

   Health Care Providers & Services        85,761          6,361,767  

Ashok Leyland Ltd.

   Machinery        1,230,707          3,570,028  

Asian Paints Ltd.

   Chemicals        393,621          13,769,595  

Astral Ltd.

   Building Products        103,740          2,961,885  

b AU Small Finance Bank Ltd.

   Banks        315,190          2,540,230  

Aurobindo Pharma Ltd.

   Pharmaceuticals        228,696          3,311,927  

a,b Avenue Supermarts Ltd.

   Consumer Staples Distribution & Retail        129,008          7,297,239  

Axis Bank Ltd.

   Banks        1,980,566          30,051,400  

Bajaj Auto Ltd.

   Automobiles        57,907          6,598,256  

Bajaj Finance Ltd.

   Consumer Finance        216,968          18,514,126  

Bajaj Finserv Ltd.

   Financial Services        331,316          6,310,053  

Bajaj Holdings & Investment Ltd.

   Financial Services        22,990          2,353,451  

Balkrishna Industries Ltd.

   Automobile Components        70,368          2,724,848  

b Bandhan Bank Ltd.

   Banks        694,526          1,697,263  

Bank of Baroda

   Banks        889,129          2,936,485  

Bank of India

   Banks        789,441          1,140,885  

Bata India Ltd.

   Textiles, Apparel & Luxury Goods        56,048          1,017,451  

Bayer CropScience Ltd.

   Chemicals        10,995          885,059  

Berger Paints India Ltd.

   Chemicals        254,408          1,538,270  

Bharat Electronics Ltd.

   Aerospace & Defense        3,096,192          11,358,119  

Bharat Forge Ltd.

   Automobile Components        220,744          4,421,763  

Bharat Heavy Electricals Ltd.

   Electrical Equipment        1,106,097          3,990,637  

a Bharat Petroleum Corp. Ltd.

   Oil, Gas & Consumable Fuels        858,191          3,128,133  

Bharat Petroleum Corp. Ltd.

   Oil, Gas & Consumable Fuels        891,609          3,249,942  

Bharti Airtel Ltd.

   Wireless Telecommunication Services        145,867          1,824,311  

Bharti Airtel Ltd.

   Wireless Telecommunication Services        2,304,552          39,908,719  

Biocon Ltd.

   Biotechnology        400,096          1,684,589  

Bosch Ltd.

   Automobile Components        7,330          2,996,116  

a Britannia Industries Ltd.

   Food Products        103,353          6,786,563  

Canara Bank

   Banks        1,590,132          2,278,196  

Castrol India Ltd.

   Chemicals        420,009          1,010,439  

CG Power & Industrial Solutions Ltd.

   Electrical Equipment        553,415          4,676,859  

Cholamandalam Investment & Finance Co. Ltd.

   Consumer Finance        354,772          6,056,279  

Cipla Ltd.

   Pharmaceuticals        463,989          8,239,543  

Coal India Ltd.

   Oil, Gas & Consumable Fuels        1,964,440          11,146,452  

Coforge Ltd.

   IT Services        54,975          3,598,831  

Colgate-Palmolive India Ltd.

   Personal Care Products        115,081          3,923,760  

Container Corp. of India Ltd.

   Ground Transportation        236,759          2,959,647  

Coromandel International Ltd.

   Chemicals        109,217          2,096,718  

Cummins India Ltd.

   Machinery        116,547          5,544,290  

Dabur India Ltd.

   Personal Care Products        499,173          3,595,901  

Dalmia Bharat Ltd.

   Construction Materials        71,642          1,558,018  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Deepak Nitrite Ltd.

   Chemicals        60,106          1,803,414  

Divi’s Laboratories Ltd.

   Life Sciences Tools & Services        110,683          6,101,021  

c Dixon Technologies India Ltd.

   Household Durables        30,786          4,419,708  

DLF Ltd.

   Real Estate Management & Development        537,289          5,314,095  

b Dr Lal PathLabs Ltd.

   Health Care Providers & Services        30,786          1,026,612  

Dr Reddy’s Laboratories Ltd.

   Pharmaceuticals        104,819          8,047,824  

Eicher Motors Ltd.

   Automobiles        120,212          6,736,557  

Emami Ltd.

   Personal Care Products        180,456          1,491,690  

Embassy Office Parks REIT

   Office REITs        756,456          3,223,312  

Exide Industries Ltd.

   Automobile Components        402,096          2,722,029  

Federal Bank Ltd.

   Banks        1,574,796          3,347,415  

a FSN E-Commerce Ventures Ltd.

   Specialty Retail        1,190,243          2,518,441  

GAIL India Ltd.

   Gas Utilities        2,284,028          6,013,591  

b General Insurance Corp. of India

   Insurance        85,863          389,994  

GlaxoSmithKline Pharmaceuticals Ltd.

   Pharmaceuticals        36,650          1,165,152  

Glenmark Pharmaceuticals Ltd.

   Pharmaceuticals        131,884          1,946,134  

a GMR Airports Infrastructure Ltd.

   Transportation Infrastructure        2,093,448          2,424,395  

Godrej Consumer Products Ltd.

   Personal Care Products        315,923          5,212,564  

a Godrej Industries Ltd.

   Industrial Conglomerates        58,279          598,183  

a Godrej Properties Ltd.

   Real Estate Management & Development        90,159          3,468,398  

Grasim Industries Ltd.

   Construction Materials        333,515          10,680,679  

Gujarat Fluorochemicals Ltd.

   Chemicals        34,451          1,318,899  

Gujarat Gas Ltd.

   Gas Utilities        176,266          1,328,429  

Havells India Ltd.

   Electrical Equipment        207,439          4,533,495  

HCL Technologies Ltd.

   IT Services        916,250          16,037,877  

b HDFC Asset Management Co. Ltd.

   Capital Markets        86,494          4,142,066  

HDFC Bank Ltd.

   Banks        4,876,649          98,471,612  

b HDFC Life Insurance Co. Ltd.

   Insurance        855,411          6,104,180  

Hero MotoCorp Ltd.

   Automobiles        112,882          7,553,127  

Hindalco Industries Ltd.

   Metals & Mining        1,196,989          9,955,590  

c Hindustan Aeronautics Ltd.

   Aerospace & Defense        164,192          10,365,435  

Hindustan Petroleum Corp. Ltd.

   Oil, Gas & Consumable Fuels        538,182          2,143,370  

a Hindustan Petroleum Corp. Ltd.

   Oil, Gas & Consumable Fuels        261,461          1,041,298  

Hindustan Unilever Ltd.

   Personal Care Products        768,184          22,782,281  

Hindustan Zinc Ltd.

   Metals & Mining        201,575          1,618,764  

Honeywell Automation India Ltd.

   Electronic Equipment, Instruments & Components        1,914          1,301,697  

ICICI Bank Ltd.

   Banks        2,740,687          39,427,110  

b ICICI Lombard General Insurance Co. Ltd.

   Insurance        210,460          4,516,609  

b ICICI Prudential Life Insurance Co. Ltd.

   Insurance        333,728          2,424,093  

IDBI Bank Ltd.

   Banks        493,132          496,577  

a IDFC First Bank Ltd.

   Banks        2,980,378          2,936,506  

Indian Bank

   Banks        233,827          1,529,637  

Indian Hotels Co. Ltd.

   Hotels, Restaurants & Leisure        717,607          5,378,987  

Indian Oil Corp. Ltd.

   Oil, Gas & Consumable Fuels        3,552,851          7,056,918  

Indian Railway Catering & Tourism Corp. Ltd.

   Commercial Services & Supplies        263,296          3,123,557  

b Indian Railway Finance Corp. Ltd.

   Financial Services        1,537,834          3,205,408  

a Indian Renewable Energy Development Agency Ltd.

   Financial Services        582,735          1,330,848  

Indraprastha Gas Ltd.

   Gas Utilities        299,064          1,806,488  

a Indus Towers Ltd.

   Diversified Telecommunication Services        1,143,480          5,146,431  

Info Edge India Ltd.

   Interactive Media & Services        65,970          5,368,461  

Infosys Ltd.

   IT Services        3,039,751          57,113,235  

a,b InterGlobe Aviation Ltd.

   Passenger Airlines        142,202          7,210,500  

Ipca Laboratories Ltd.

   Pharmaceuticals        119,514          1,619,127  

ITC Ltd.

   Tobacco        2,597,752          13,236,814  

Jindal Stainless Ltd.

   Metals & Mining        277,074          2,732,944  

Jindal Steel & Power Ltd.

   Metals & Mining        337,180          4,223,065  

a Jio Financial Services Ltd.

   Financial Services        2,734,823          11,746,087  

JSW Energy Ltd.

   Independent Power Producers & Energy Traders        461,790          4,067,573  

a JSW Infrastructure Ltd.

   Transportation Infrastructure        214,769          845,812  

JSW Steel Ltd.

   Metals & Mining        874,469          9,768,465  

Jubilant Foodworks Ltd.

   Hotels, Restaurants & Leisure        309,326          2,089,376  

Kalyan Jewellers India Ltd.

   Textiles, Apparel & Luxury Goods        343,777          2,066,063  

Kansai Nerolac Paints Ltd.

   Chemicals        176,964          573,203  

Kotak Mahindra Bank Ltd.

   Banks        431,004          9,316,561  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

KPIT Technologies Ltd.

   Software        142,464          2,792,901  

L&T Finance Ltd.

   Financial Services        735,301          1,597,535  

b L&T Technology Services Ltd.

   Professional Services        22,723          1,337,711  

Larsen & Toubro Ltd.

   Construction & Engineering        584,201          24,859,938  

b Laurus Labs Ltd.

   Pharmaceuticals        331,316          1,686,826  

LIC Housing Finance Ltd.

   Financial Services        263,994          2,522,565  

Linde India Ltd.

   Chemicals        18,325          1,823,809  

b LTIMindtree Ltd.

   IT Services        79,897          5,159,638  

Lupin Ltd.

   Pharmaceuticals        207,439          4,033,353  

b Macrotech Developers Ltd.

   Real Estate Management & Development        225,031          4,057,507  

Mahindra & Mahindra Financial Services Ltd.

   Consumer Finance        502,838          1,812,659  

Mahindra & Mahindra Ltd.

   Automobiles        841,484          28,928,078  

Mangalore Refinery & Petrochemicals Ltd.

   Oil, Gas & Consumable Fuels        173,721          446,513  

a Mankind Pharma Ltd.

   Pharmaceuticals        81,363          2,077,507  

Marico Ltd.

   Food Products        454,070          3,337,969  

Maruti Suzuki India Ltd.

   Automobiles        119,479          17,242,301  

a Max Financial Services Ltd.

   Insurance        205,973          2,400,167  

Max Healthcare Institute Ltd.

   Health Care Providers & Services        565,876          6,383,346  

Mazagon Dock Shipbuilders Ltd.

   Aerospace & Defense        26,388          1,354,866  

Metro Brands Ltd.

   Specialty Retail        27,121          399,558  

Mphasis Ltd.

   IT Services        96,023          2,828,785  

MRF Ltd.

   Automobile Components        2,344          3,639,062  

Muthoot Finance Ltd.

   Consumer Finance        92,818          1,998,947  

Nestle India Ltd.

   Food Products        311,525          9,532,637  

b New India Assurance Co. Ltd.

   Insurance        192,046          545,686  

NHPC Ltd.

   Independent Power Producers & Energy Traders        2,564,767          3,097,251  

b Nippon Life India Asset Management Ltd.

   Capital Markets        148,066          1,144,310  

NLC India Ltd.

   Independent Power Producers & Energy Traders        155,783          448,644  

NMDC Ltd.

   Metals & Mining        990,283          2,922,010  

NTPC Ltd.

   Independent Power Producers & Energy Traders        4,101,135          18,607,878  

Oberoi Realty Ltd.

   Real Estate Management & Development        102,996          2,180,965  

Oil & Natural Gas Corp. Ltd.

   Oil, Gas & Consumable Fuels        3,360,072          11,048,799  

Oil India Ltd.

   Oil, Gas & Consumable Fuels        314,457          2,726,645  

a One 97 Communications Ltd.

   Financial Services        306,404          1,476,214  

Oracle Financial Services Software Ltd.

   Software        19,791          2,345,431  

Page Industries Ltd.

   Textiles, Apparel & Luxury Goods        5,131          2,405,861  

Patanjali Foods Ltd.

   Food Products        83,034          1,584,654  

a PB Fintech Ltd.

   Insurance        272,094          4,559,237  

Persistent Systems Ltd.

   IT Services        87,227          4,436,744  

Petronet LNG Ltd.

   Oil, Gas & Consumable Fuels        649,438          2,572,051  

Phoenix Mills Ltd.

   Real Estate Management & Development        81,363          3,501,182  

PI Industries Ltd.

   Chemicals        70,368          3,205,642  

Pidilite Industries Ltd.

   Chemicals        131,207          4,970,485  

a Piramal Enterprises Ltd.

   Financial Services        103,740          1,153,254  

a Polycab India Ltd.

   Electrical Equipment        41,546          3,357,809  

Poonawalla Fincorp Ltd.

   Consumer Finance        237,492          1,165,138  

Power Finance Corp. Ltd.

   Financial Services        1,259,294          7,325,840  

Power Grid Corp. of India Ltd.

   Electric Utilities        3,631,282          14,411,906  

Prestige Estates Projects Ltd.

   Real Estate Management & Development        109,950          2,495,474  

Punjab National Bank

   Banks        1,923,791          2,843,669  

c Rail Vikas Nigam Ltd.

   Construction & Engineering        494,775          2,471,872  

a Rajesh Exports Ltd.

   Textiles, Apparel & Luxury Goods        120,456          407,503  

b RBL Bank Ltd.

   Banks        389,114          1,227,153  

REC Ltd.

   Financial Services        1,081,175          6,812,164  

Relaxo Footwears Ltd.

   Textiles, Apparel & Luxury Goods        63,038          625,410  

Reliance Industries Ltd.

   Oil, Gas & Consumable Fuels        2,878,491          108,073,508  

Samvardhana Motherson International Ltd.

   Automobile Components        2,333,872          5,326,448  

SBI Cards & Payment Services Ltd.

   Consumer Finance        249,953          2,171,980  

b SBI Life Insurance Co. Ltd.

   Insurance        364,301          6,517,990  

Schaeffler India Ltd.

   Machinery        35,184          2,000,177  

Shree Cement Ltd.

   Construction Materials        11,728          3,919,821  

Shriram Finance Ltd.

   Consumer Finance        243,356          8,496,849  

Siemens Ltd.

   Industrial Conglomerates        76,965          7,111,100  

SJVN Ltd.

   Electric Utilities        618,652          976,563  

a Solar Industries India Ltd.

   Chemicals        21,257          2,554,485  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

b Sona Blw Precision Forgings Ltd.

   Automobile Components        309,062          2,375,761  

SRF Ltd.

   Chemicals        121,678          3,554,654  

a Star Health & Allied Insurance Co. Ltd.

   Insurance        196,776          1,318,290  

State Bank of India

   Banks        1,547,363          15,753,366  

Steel Authority of India Ltd.

   Metals & Mining        1,253,430          2,234,416  

Sun Pharmaceutical Industries Ltd.

   Pharmaceuticals        942,638          17,192,157  

Sun TV Network Ltd.

   Media        73,704          664,850  

Sundaram Finance Ltd.

   Consumer Finance        57,907          3,258,208  

Supreme Industries Ltd.

   Chemicals        55,708          3,978,909  

a Suzlon Energy Ltd.

   Electrical Equipment        10,204,826          6,468,920  

b Syngene International Ltd.

   Life Sciences Tools & Services        142,074          1,209,684  

a Tata Communications Ltd.

   Diversified Telecommunication Services        99,688          2,216,956  

Tata Consultancy Services Ltd.

   IT Services        894,993          41,903,006  

Tata Consumer Products Ltd.

   Food Products        538,022          7,080,824  

Tata Elxsi Ltd.

   Software        29,956          2,515,172  

Tata Motors Ltd., Class A

   Automobiles        1,597,940          18,966,405  

Tata Motors Ltd., Class A

   Automobiles        332,782          2,656,270  

a Tata Power Co. Ltd.

   Electric Utilities        1,273,221          6,727,401  

Tata Steel Ltd.

   Metals & Mining        7,289,685          15,211,849  

Tata Technologies Ltd.

   IT Services        64,504          790,525  

a Tata Teleservices Maharashtra Ltd.

   Diversified Telecommunication Services        442,732          412,694  

Tech Mahindra Ltd.

   IT Services        527,027          9,040,121  

Thermax Ltd.

   Machinery        27,854          1,787,399  

Titan Co. Ltd.

   Textiles, Apparel & Luxury Goods        353,306          14,423,316  

Torrent Pharmaceuticals Ltd.

   Pharmaceuticals        84,295          2,821,678  

Torrent Power Ltd.

   Electric Utilities        186,182          3,345,527  

Trent Ltd.

   Specialty Retail        156,862          10,308,262  

Tube Investments of India Ltd.

   Automobile Components        75,499          3,856,323  

TVS Motor Co. Ltd.

   Automobiles        204,507          5,799,771  

UltraTech Cement Ltd.

   Construction Materials        98,955          13,846,165  

Union Bank of India Ltd.

   Banks        1,308,704          2,145,247  

United Breweries Ltd.

   Beverages        59,930          1,427,360  

United Spirits Ltd.

   Beverages        249,220          3,815,072  

UNO Minda Ltd.

   Automobile Components        146,292          1,915,853  

UPL Ltd.

   Chemicals        454,460          3,111,120  

Varun Beverages Ltd.

   Beverages        403,883          7,892,398  

Vedant Fashions Ltd.

   Textiles, Apparel & Luxury Goods        53,886          679,589  

Vedanta Ltd.

   Metals & Mining        1,217,513          6,628,702  

a Vodafone Idea Ltd.

   Wireless Telecommunication Services        18,137,352          3,891,197  

Voltas Ltd.

   Construction & Engineering        200,266          3,535,681  

Whirlpool of India Ltd.

   Household Durables        53,886          1,291,358  

Wipro Ltd.

   IT Services        1,218,979          7,526,204  

a Yes Bank Ltd.

   Banks        17,496,909          4,970,790  

a Zee Entertainment Enterprises Ltd.

   Media        727,188          1,323,698  

a Zomato Ltd.

   Hotels, Restaurants & Leisure        5,947,562          14,304,818  

Zydus Lifesciences Ltd.

   Pharmaceuticals        220,744          2,842,968  
            

 

 

 

Total Common Stocks (Cost $1,215,402,658)

               1,483,797,599  
            

 

 

 

Total Investments before Short-Term Investments (Cost $1,215,402,658)

               1,483,797,599  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Short-Term Investments 0.3%

            

Money Market Funds 0.3%

            

United States 0.3%

            

d,e Institutional Fiduciary Trust - Money Market Portfolio,

            

5.09%

   Money Market Funds        4,072,509          4,072,509  
            

 

 

 

Total Short-Term Investments (Cost $4,072,509)

            4,072,509  
            

 

 

 

Total Investments (Cost $1,219,475,167) 102.0%

            1,487,870,108  

Other Assets, less Liabilities (2.0)%

               (29,376,600
            

 

 

 

Net Assets 100.0%

             $ 1,458,493,508  
            

 

 

 

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $65,816,460, representing 4.5% of net assets.

cSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. At June 30, 2024, the value of was $17,257,015, representing 1.2% of net assets.

dThe rate shown is the annualized seven-day effective yield at period end.

eSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Index Contracts

              

IFSC Nifty 50

     Long        296        $14,290,584        7/25/24        $231,579  

*As of period end.

Abbreviations

Selected Portfolio

 

REIT

–  Real Estate Investment Trust

SRF

–  State Revolving Fund


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Japan ETF    Industry      Shares        Value  

Common Stocks 99.3%

            

Japan 99.3%

            

ABC-Mart, Inc.

   Specialty Retail        35,700        $ 626,958  

Acom Co. Ltd.

   Consumer Finance        178,500          453,851  

Activia Properties, Inc.

   Diversified REITs        357          810,052  

Advance Residence Investment Corp.

   Residential REITs        595          1,211,379  

Advantest Corp.

   Semiconductors & Semiconductor Equipment        345,100           13,783,834  

Aeon Co. Ltd.

   Consumer Staples Distribution & Retail        333,200          7,123,429  

AEON Financial Service Co. Ltd.

   Consumer Finance        47,600          390,305  

Aeon Mall Co. Ltd.

   Real Estate Management & Development        35,700          420,672  

AEON REIT Investment Corp.

   Retail REITs        833          689,765  

AGC, Inc.

   Building Products        83,300          2,695,883  

Aica Kogyo Co. Ltd.

   Chemicals        23,800          517,546  

Air Water, Inc.

   Chemicals        83,300          1,126,564  

Aisin Corp.

   Automobile Components        83,300          2,715,044  

Ajinomoto Co., Inc.

   Food Products        214,200          7,511,514  

Alfresa Holdings Corp.

   Health Care Providers & Services        71,400          977,833  

Alps Alpine Co. Ltd.

   Electronic Equipment, Instruments & Components        95,200          909,330  

Amada Co. Ltd.

   Machinery        142,800          1,577,493  

Amano Corp.

   Electronic Equipment, Instruments & Components        35,700          921,906  

Amvis Holdings, Inc.

   Health Care Providers & Services        11,900          170,074  

ANA Holdings, Inc.

   Passenger Airlines        71,400          1,318,055  

Anritsu Corp.

   Electronic Equipment, Instruments & Components        59,500          456,071  

a Aozora Bank Ltd.

   Banks        59,500          971,878  

As One Corp.

   Health Care Providers & Services        23,800          424,186  

Asahi Group Holdings Ltd.

   Beverages        214,200          7,556,789  

Asahi Intecc Co. Ltd.

   Health Care Equipment & Supplies        83,300          1,167,992  

Asahi Kasei Corp.

   Chemicals        571,200          3,659,217  

Asics Corp.

   Textiles, Apparel & Luxury Goods        285,600          4,369,399  

ASKUL Corp.

   Broadline Retail        11,900          161,641  

Astellas Pharma, Inc.

   Pharmaceuticals        833,000          8,233,681  

Azbil Corp.

   Electronic Equipment, Instruments & Components        59,500          1,657,463  

AZ-COM MARUWA Holdings, Inc.

   Air Freight & Logistics        23,800          172,959  

Bandai Namco Holdings, Inc.

   Leisure Products        261,800          5,110,357  

BayCurrent Consulting, Inc.

   Professional Services        59,500          1,198,433  

Bic Camera, Inc.

   Specialty Retail        59,500          567,037  

BIPROGY, Inc.

   IT Services        23,800          659,582  

Bridgestone Corp.

   Automobile Components        261,800          10,289,069  

Brother Industries Ltd.

   Technology Hardware, Storage & Peripherals        107,100          1,884,869  

Calbee, Inc.

   Food Products        35,700          685,548  

Canon Marketing Japan, Inc.

   Electronic Equipment, Instruments & Components        23,800          661,950  

Canon, Inc.

   Technology Hardware, Storage & Peripherals        428,400          11,595,509  

Capcom Co. Ltd.

   Entertainment        166,600          3,141,227  

Casio Computer Co. Ltd.

   Household Durables        95,200          711,071  

Central Japan Railway Co.

   Ground Transportation        416,500          8,992,319  

Chiba Bank Ltd.

   Banks        309,400          2,754,325  

Chubu Electric Power Co., Inc.

   Electric Utilities        309,400          3,656,406  

Chugai Pharmaceutical Co. Ltd.

   Pharmaceuticals        297,500          10,571,366  

Chugin Financial Group, Inc.

   Banks        71,400          748,577  

Chugoku Electric Power Co., Inc.

   Electric Utilities        142,800          937,885  

Coca-Cola Bottlers Japan Holdings, Inc.

   Beverages        59,500          746,062  

COMSYS Holdings Corp.

   Construction & Engineering        47,600          914,656  

Concordia Financial Group Ltd.

   Banks        499,800          2,939,890  

Cosmo Energy Holdings Co. Ltd.

   Oil, Gas & Consumable Fuels        23,800          1,198,433  

Cosmos Pharmaceutical Corp.

   Consumer Staples Distribution & Retail        6,840          551,716  

Credit Saison Co. Ltd.

   Consumer Finance        71,400          1,477,180  

CyberAgent, Inc.

   Media        190,400          1,192,515  

Dai Nippon Printing Co. Ltd.

   Commercial Services & Supplies        107,100          3,603,290  

Daicel Corp.

   Chemicals        107,100          1,026,991  

Daido Steel Co. Ltd.

   Metals & Mining        83,300          768,995  

Daifuku Co. Ltd.

   Machinery        130,900          2,449,391  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Dai-ichi Life Holdings, Inc.

   Insurance        416,500          11,128,416  

Daiichi Sankyo Co. Ltd.

   Pharmaceuticals        868,700           29,831,523  

Daiichikosho Co. Ltd.

   Entertainment        35,700          367,631  

Daikin Industries Ltd.

   Building Products        122,356          17,015,440  

Daio Paper Corp.

   Paper & Forest Products        35,700          197,564  

Daito Trust Construction Co. Ltd.

   Real Estate Management & Development        26,533          2,735,607  

Daiwa House Industry Co. Ltd.

   Real Estate Management & Development        273,700          6,936,932  

Daiwa House REIT Investment Corp.

   Diversified REITs        1,071          1,636,527  

Daiwa Office Investment Corp.

   Office REITs        238          419,304  

Daiwa Securities Group, Inc.

   Capital Markets        618,800          4,720,052  

Daiwa Securities Living Investments Corp.

   Residential REITs        952          621,410  

Denka Co. Ltd.

   Chemicals        35,700          480,150  

Denso Corp.

   Automobile Components        940,100          14,598,842  

Dentsu Group, Inc.

   Media        95,200          2,398,642  

Dentsu Soken, Inc.

   IT Services        11,900          390,601  

Descente Ltd.

   Textiles, Apparel & Luxury Goods        11,900          249,674  

DIC Corp.

   Chemicals        35,700          677,115  

Disco Corp.

   Semiconductors & Semiconductor Equipment        38,542          14,625,163  

DMG Mori Co. Ltd.

   Machinery        59,500          1,545,017  

Dowa Holdings Co. Ltd.

   Metals & Mining        23,800          844,674  

East Japan Railway Co.

   Ground Transportation        499,800          8,278,734  

Ebara Corp.

   Machinery        238,000          3,763,229  

Eisai Co. Ltd.

   Pharmaceuticals        119,000          4,876,588  

Electric Power Development Co. Ltd.

   Independent Power Producers & Energy Traders        71,400          1,114,321  

ENEOS Holdings, Inc.

   Oil, Gas & Consumable Fuels        1,285,200          6,604,167  

EXEO Group, Inc.

   Construction & Engineering        83,300          828,288  

Ezaki Glico Co. Ltd.

   Food Products        23,800          618,599  

Fancl Corp.

   Personal Care Products        35,700          610,313  

FANUC Corp.

   Machinery        440,300          12,068,151  

Fast Retailing Co. Ltd.

   Specialty Retail        71,400          18,003,133  

Food & Life Cos. Ltd.

   Hotels, Restaurants & Leisure        47,600          770,400  

FP Corp.

   Containers & Packaging        23,800          356,867  

Frontier Real Estate Investment Corp.

   Retail REITs        238          650,261  

Fuji Electric Co. Ltd.

   Electrical Equipment        59,500          3,385,205  

Fuji Kyuko Co. Ltd.

   Hotels, Restaurants & Leisure        11,900          235,988  

Fuji Media Holdings, Inc.

   Media        23,800          271,571  

Fuji Oil Holdings, Inc.

   Food Products        23,800          415,827  

Fuji Soft, Inc.

   Software        23,800          1,074,151  

FUJIFILM Holdings Corp.

   Technology Hardware, Storage & Peripherals        535,500          12,523,629  

Fujikura Ltd.

   Electrical Equipment        119,000          2,349,521  

Fujitsu General Ltd.

   Household Durables        23,800          308,782  

Fujitsu Ltd.

   IT Services        749,700          11,730,666  

Fukuoka Financial Group, Inc.

   Banks        71,400          1,908,616  

Fuyo General Lease Co. Ltd.

   Financial Services        11,900          910,292  

GLP J-Reit

   Industrial REITs        2,142          1,748,381  

GMO internet group, Inc.

   IT Services        23,800          363,377  

GMO Payment Gateway, Inc.

   Financial Services        18,400          1,012,652  

Goldwin, Inc.

   Textiles, Apparel & Luxury Goods        15,980          875,592  

GS Yuasa Corp.

   Electrical Equipment        35,700          707,298  

Hachijuni Bank Ltd.

   Banks        202,300          1,319,867  

Hakuhodo DY Holdings, Inc.

   Media        107,100          782,311  

Hamamatsu Photonics KK

   Electronic Equipment, Instruments & Components        59,500          1,593,473  

Hankyu Hanshin Holdings, Inc.

   Ground Transportation        95,200          2,529,434  

Harmonic Drive Systems, Inc.

   Machinery        23,800          673,194  

Haseko Corp.

   Household Durables        119,000          1,315,318  

Heiwa Corp.

   Hotels, Restaurants & Leisure        23,800          306,562  

Hikari Tsushin, Inc.

   Industrial Conglomerates        11,900          2,216,732  

b Hino Motors Ltd.

   Machinery        130,900          340,148  

Hirogin Holdings, Inc.

   Banks        130,900          1,011,493  

Hirose Electric Co. Ltd.

   Electronic Equipment, Instruments & Components        11,900          1,314,578  

Hisamitsu Pharmaceutical Co., Inc.

   Pharmaceuticals        23,800          549,948  

Hitachi Construction Machinery Co. Ltd.

   Machinery        47,600          1,274,778  

Hitachi Ltd.

   Industrial Conglomerates        2,023,000          45,286,728  

Honda Motor Co. Ltd.

   Automobiles        2,201,500          23,539,600  

Horiba Ltd.

   Electronic Equipment, Instruments & Components        17,600          1,420,167  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Hoshizaki Corp.

   Machinery        53,000          1,681,002  

House Foods Group, Inc.

   Food Products        35,700          631,619  

Hoya Corp.

   Health Care Equipment & Supplies        162,300          18,872,445  

Hulic Co. Ltd.

   Real Estate Management & Development        190,400          1,686,092  

Ibiden Co. Ltd.

   Electronic Equipment, Instruments & Components        47,600          1,937,615  

Idemitsu Kosan Co. Ltd.

   Oil, Gas & Consumable Fuels        559,300          3,621,229  

IHI Corp.

   Machinery        59,500          1,777,306  

Iida Group Holdings Co. Ltd.

   Household Durables        59,500          783,235  

Industrial & Infrastructure Fund Investment Corp.

   Industrial REITs        1,071          842,898  

INFRONEER Holdings, Inc.

   Construction & Engineering        83,300          675,524  

Inpex Corp.

   Oil, Gas & Consumable Fuels        392,700          5,778,446  

Internet Initiative Japan, Inc.

   Diversified Telecommunication Services        47,600          701,158  

Invincible Investment Corp.

   Hotel & Resort REITs        3,213          1,302,298  

Isetan Mitsukoshi Holdings Ltd.

   Broadline Retail        154,700          2,904,352  

Isuzu Motors Ltd.

   Automobiles        261,800          3,468,207  

Ito En Ltd.

   Beverages        23,800          515,178  

ITOCHU Corp.

   Trading Companies & Distributors        618,800          30,212,950  

Itoham Yonekyu Holdings, Inc.

   Food Products        11,900          317,733  

Iwatani Corp.

   Oil, Gas & Consumable Fuels        23,800          1,383,969  

Iyogin Holdings, Inc.

   Banks        130,900          1,212,082  

Izumi Co. Ltd.

   Broadline Retail        23,800          475,970  

J Front Retailing Co. Ltd.

   Broadline Retail        119,000          1,240,970  

Japan Airlines Co. Ltd.

   Passenger Airlines        71,400          1,126,749  

Japan Airport Terminal Co. Ltd.

   Transportation Infrastructure        35,700          1,217,742  

Japan Aviation Electronics Industry Ltd.

   Electronic Equipment, Instruments & Components        11,900          191,601  

Japan Exchange Group, Inc.

   Capital Markets        238,000          5,551,262  

Japan Hotel REIT Investment Corp.

   Hotel & Resort REITs        2,142          1,034,648  

Japan Logistics Fund, Inc.

   Industrial REITs        357          590,339  

Japan Metropolitan Fund Invest

   Retail REITs        3,213          1,807,637  

Japan Post Bank Co. Ltd.

   Banks        666,400          6,294,883  

Japan Post Holdings Co. Ltd.

   Insurance        797,300          7,905,592  

Japan Post Insurance Co. Ltd.

   Insurance        83,300          1,616,184  

Japan Prime Realty Investment Corp.

   Office REITs        476          958,747  

Japan Real Estate Investment Corp.

   Office REITs        595          1,879,025  

Japan Steel Works Ltd.

   Machinery        23,800          633,690  

Japan Tobacco, Inc.

   Tobacco        547,400          14,796,066  

Jeol Ltd.

   Electronic Equipment, Instruments & Components        23,800          1,075,335  

JFE Holdings, Inc.

   Metals & Mining        273,700          3,939,776  

JGC Holdings Corp.

   Construction & Engineering        95,200          745,988  

JMDC, Inc.

   Health Care Technology        11,900          245,679  

JTEKT Corp.

   Automobile Components        107,100          745,359  

Justsystems Corp.

   Software        11,900          222,672  

Kadokawa Corp.

   Media        35,700          572,474  

Kagome Co. Ltd.

   Food Products        35,700          725,274  

Kajima Corp.

   Construction & Engineering        190,400          3,292,289  

Kakaku.com, Inc.

   Interactive Media & Services        47,600          623,925  

Kamigumi Co. Ltd.

   Transportation Infrastructure        47,600          980,348  

Kandenko Co. Ltd.

   Construction & Engineering        47,600          509,556  

Kaneka Corp.

   Chemicals        23,800          625,109  

Kansai Electric Power Co., Inc.

   Electric Utilities        333,200          5,596,832  

Kansai Paint Co. Ltd.

   Chemicals        83,300          1,341,210  

Kao Corp.

   Personal Care Products        214,200          8,687,311  

Katitas Co. Ltd.

   Real Estate Management & Development        23,800          257,885  

Kawasaki Heavy Industries Ltd.

   Machinery        71,400          2,712,010  

Kawasaki Kisen Kaisha Ltd.

   Marine Transportation        190,400          2,769,713  

KDDI Corp.

   Wireless Telecommunication Services        714,000          18,881,984  

KDX Realty Investment Corp.

   Diversified REITs        1,904          1,852,393  

Keihan Holdings Co. Ltd.

   Industrial Conglomerates        47,600          851,628  

Keikyu Corp.

   Ground Transportation        119,000          869,604  

Keio Corp.

   Ground Transportation        47,600          1,104,630  

Keisei Electric Railway Co. Ltd.

   Ground Transportation        59,500          1,914,534  

Kewpie Corp.

   Food Products        47,600          946,614  

Keyence Corp.

   Electronic Equipment, Instruments & Components        89,655           39,320,902  

Kikkoman Corp.

   Food Products        416,500          4,824,989  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Kinden Corp.

   Construction & Engineering        59,500          1,184,748  

Kintetsu Group Holdings Co. Ltd.

   Ground Transportation        83,300          1,813,481  

Kirin Holdings Co. Ltd.

   Beverages        357,000          4,600,653  

Kobayashi Pharmaceutical Co. Ltd.

   Personal Care Products        27,380          889,007  

Kobe Bussan Co. Ltd.

   Consumer Staples Distribution & Retail        59,500          1,325,675  

Kobe Steel Ltd.

   Metals & Mining        154,700          1,920,046  

Koei Tecmo Holdings Co. Ltd.

   Entertainment        71,400          616,527  

Koito Manufacturing Co. Ltd.

   Automobile Components        95,200          1,313,246  

Kokusai Electric Corp.

   Semiconductors & Semiconductor Equipment        35,700          1,040,862  

Kokuyo Co. Ltd.

   Commercial Services & Supplies        47,600          798,068  

Komatsu Ltd.

   Machinery        428,400          12,439,739  

Konami Group Corp.

   Entertainment        47,600          3,426,632  

Konica Minolta, Inc.

   Technology Hardware, Storage & Peripherals        214,200          592,825  

Kose Corp.

   Personal Care Products        15,380          978,580  

Kotobuki Spirits Co. Ltd.

   Food Products        35,700          414,458  

K’s Holdings Corp.

   Specialty Retail        59,500          559,454  

Kubota Corp.

   Machinery        452,200          6,325,065  

Kuraray Co. Ltd.

   Chemicals        154,700          1,778,675  

Kurita Water Industries Ltd.

   Machinery        47,600          2,017,807  

Kusuri No. Aoki Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        23,800          449,782  

Kyocera Corp.

   Electronic Equipment, Instruments & Components        547,400          6,300,579  

Kyoto Financial Group, Inc.

   Banks        130,900          2,322,446  

Kyowa Kirin Co. Ltd.

   Pharmaceuticals        119,000          2,032,528  

Kyudenko Corp.

   Construction & Engineering        23,800          874,856  

Kyushu Electric Power Co., Inc.

   Electric Utilities        190,400          1,961,288  

Kyushu Financial Group, Inc.

   Banks        166,600          976,856  

Kyushu Railway Co.

   Ground Transportation        71,400          1,546,867  

LaSalle Logiport REIT

   Industrial REITs        833          764,334  

Lasertec Corp.

   Semiconductors & Semiconductor Equipment        39,700          8,906,956  

Lion Corp.

   Household Products        107,100          834,909  

Lixil Corp.

   Building Products        119,000          1,252,807  

LY Corp.

   Interactive Media & Services        1,201,900          2,905,750  

M3, Inc.

   Health Care Technology        190,400          1,815,109  

Mabuchi Motor Co. Ltd.

   Electrical Equipment        47,600          706,484  

Macnica Holdings, Inc.

   Electronic Equipment, Instruments & Components        23,800          998,695  

Makita Corp.

   Machinery        107,100          2,910,862  

Mani, Inc.

   Health Care Equipment & Supplies        23,800          293,690  

Marubeni Corp.

   Trading Companies & Distributors        725,900           13,427,300  

Marui Group Co. Ltd.

   Consumer Finance        83,300          1,174,983  

Maruichi Steel Tube Ltd.

   Metals & Mining        23,800          552,019  

Maruwa Co. Ltd.

   Electronic Equipment, Instruments & Components        3,300          788,792  

Matsui Securities Co. Ltd.

   Capital Markets        47,600          248,564  

MatsukiyoCocokara & Co.

   Consumer Staples Distribution & Retail        166,600          2,392,428  

Mazda Motor Corp.

   Automobiles        261,800          2,532,393  

McDonald’s Holdings Co. Japan Ltd.

   Hotels, Restaurants & Leisure        35,700          1,407,050  

Mebuki Financial Group, Inc.

   Banks        440,300          1,714,559  

Medipal Holdings Corp.

   Health Care Providers & Services        83,300          1,267,676  

MEIJI Holdings Co. Ltd.

   Food Products        119,000          2,566,275  

Menicon Co. Ltd.

   Health Care Equipment & Supplies        23,800          195,448  

b Mercari, Inc.

   Broadline Retail        47,600          591,079  

MINEBEA MITSUMI, Inc.

   Machinery        190,400          3,900,087  

MISUMI Group, Inc.

   Machinery        130,900          2,238,222  

Mitsubishi Chemical Group Corp.

   Chemicals        583,100          3,237,390  

Mitsubishi Corp.

   Trading Companies & Distributors        1,725,500          33,767,711  

Mitsubishi Electric Corp.

   Electrical Equipment        892,500          14,245,268  

Mitsubishi Estate Co. Ltd.

   Real Estate Management & Development        499,800          7,829,765  

Mitsubishi Gas Chemical Co., Inc.

   Chemicals        83,300          1,588,738  

Mitsubishi HC Capital, Inc.

   Financial Services        392,700          2,592,611  

Mitsubishi Heavy Industries Ltd.

   Machinery        1,356,600          14,530,783  

Mitsubishi Logistics Corp.

   Transportation Infrastructure        23,800          781,201  

Mitsubishi Materials Corp.

   Metals & Mining        59,500          1,091,536  

Mitsubishi Motors Corp.

   Automobiles        297,500          819,669  

Mitsubishi UFJ Financial Group, Inc.

   Banks        4,998,000          53,720,888  

Mitsui & Co. Ltd.

   Trading Companies & Distributors        1,142,400          25,928,773  

Mitsui Chemicals, Inc.

   Chemicals        71,400          1,970,757  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Mitsui Fudosan Co. Ltd.

   Real Estate Management & Development        1,237,600          11,298,120  

Mitsui Fudosan Logistics Park, Inc.

   Industrial REITs        238          641,384  

Mitsui High-Tec, Inc.

   Semiconductors & Semiconductor Equipment        11,900          464,948  

Mitsui Mining & Smelting Co. Ltd.

   Metals & Mining        23,800          760,339  

Mitsui OSK Lines Ltd.

   Marine Transportation        154,700          4,633,499  

Miura Co. Ltd.

   Machinery        47,600          963,777  

Mizuho Financial Group, Inc.

   Banks        1,166,200          24,344,769  

b Money Forward, Inc.

   Software        23,800          798,216  

MonotaRO Co. Ltd.

   Trading Companies & Distributors        107,100          1,259,021  

Mori Hills REIT Investment Corp., Class C

   Office REITs        714          584,125  

Morinaga & Co. Ltd.

   Food Products        35,700          552,389  

Morinaga Milk Industry Co. Ltd.

   Food Products        35,700          748,133  

MS&AD Insurance Group Holdings, Inc.

   Insurance        618,800          13,752,393  

Murata Manufacturing Co. Ltd.

   Electronic Equipment, Instruments & Components        773,500          15,973,934  

Nabtesco Corp.

   Machinery        47,600          807,241  

Nagase & Co. Ltd.

   Trading Companies & Distributors        47,600          931,819  

Nagoya Railroad Co. Ltd.

   Ground Transportation        83,300          908,035  

Nankai Electric Railway Co. Ltd.

   Ground Transportation        47,600          790,374  

NEC Corp.

   IT Services        119,000          9,798,303  

NEC Networks & System Integration Corp.

   IT Services        35,700          542,180  

NET One Systems Co. Ltd.

   IT Services        35,700          654,256  

Nexon Co. Ltd.

   Entertainment        154,700          2,861,075  

NGK Insulators Ltd.

   Machinery        107,100          1,371,540  

NH Foods Ltd.

   Food Products        47,600          1,423,325  

NHK Spring Co. Ltd.

   Automobile Components        71,400          711,736  

Nichirei Corp.

   Food Products        47,600          1,047,520  

NIDEC Corp.

   Electrical Equipment        238,000          10,630,548  

Nifco, Inc.

   Automobile Components        35,700          851,554  

Nihon Kohden Corp.

   Health Care Equipment & Supplies        71,400          1,031,540  

Nihon M&A Center Holdings, Inc.

   Capital Markets        119,000          615,048  

Nikon Corp.

   Household Durables        142,800          1,443,446  

Nintendo Co. Ltd.

   Entertainment        476,000           25,318,016  

Nippon Accommodations Fund, Inc.

   Residential REITs        238          945,431  

Nippon Building Fund, Inc.

   Office REITs        714          2,498,956  

Nippon Electric Glass Co. Ltd.

   Electronic Equipment, Instruments & Components        35,700          812,050  

NIPPON EXPRESS HOLDINGS, Inc.

   Air Freight & Logistics        35,700          1,645,627  

Nippon Kayaku Co. Ltd.

   Chemicals        71,400          544,843  

Nippon Paint Holdings Co. Ltd.

   Chemicals        452,200          2,946,075  

Nippon Prologis REIT, Inc.

   Industrial REITs        1,071          1,671,149  

Nippon Sanso Holdings Corp.

   Chemicals        83,300          2,464,408  

Nippon Shinyaku Co. Ltd.

   Pharmaceuticals        23,800          481,593  

Nippon Shokubai Co. Ltd.

   Chemicals        59,500          594,223  

Nippon Steel Corp.

   Metals & Mining        380,800          8,051,105  

Nippon Telegraph & Telephone Corp.

   Diversified Telecommunication Services        12,947,200          12,217,984  

Nippon Yusen KK

   Marine Transportation        202,300          5,888,155  

Nipro Corp.

   Health Care Equipment & Supplies        47,600          373,290  

Nishi-Nippon Railroad Co. Ltd.

   Ground Transportation        35,700          572,030  

Nissan Chemical Corp.

   Chemicals        59,500          1,885,313  

Nissan Motor Co. Ltd.

   Automobiles        797,300          2,705,745  

Nisshin Seifun Group, Inc.

   Food Products        119,000          1,368,211  

Nissin Foods Holdings Co. Ltd.

   Food Products        95,200          2,415,805  

Niterra Co. Ltd.

   Automobile Components        83,300          2,418,320  

Nitori Holdings Co. Ltd.

   Specialty Retail        35,700          3,770,627  

Nitto Denko Corp.

   Chemicals        64,591          5,103,516  

Noevir Holdings Co. Ltd.

   Personal Care Products        11,900          417,232  

NOF Corp.

   Chemicals        95,200          1,300,226  

NOK Corp.

   Automobile Components        47,600          633,098  

Nomura Holdings, Inc.

   Capital Markets        1,297,100          7,434,578  

Nomura Real Estate Holdings, Inc.

   Real Estate Management & Development        47,600          1,192,811  

Nomura Real Estate Master Fund, Inc.

   Diversified REITs        2,023          1,794,617  

Nomura Research Institute Ltd.

   IT Services        190,400          5,351,227  

NS Solutions Corp.

   IT Services        23,800          402,881  

NSK Ltd.

   Machinery        190,400          925,250  

NTT Data Group Corp.

   IT Services        285,600          4,193,629  

Obayashi Corp.

   Construction & Engineering        309,400          3,677,563  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

OBIC Business Consultants Co. Ltd.

   Software        11,900          497,646  

Obic Co. Ltd.

   IT Services        31,540          4,066,515  

Odakyu Electric Railway Co. Ltd.

   Ground Transportation        142,800          1,381,305  

Oji Holdings Corp.

   Paper & Forest Products        404,600          1,596,668  

OKUMA Corp.

   Machinery        11,900          536,188  

Olympus Corp.

   Health Care Equipment & Supplies        499,800          8,058,133  

Omron Corp.

   Electronic Equipment, Instruments & Components        83,300          2,863,146  

Ono Pharmaceutical Co. Ltd.

   Pharmaceuticals        202,300          2,762,352  

Open House Group Co. Ltd.

   Household Durables        35,700          1,093,681  

Oracle Corp.

   Software        14,820          1,022,641  

Orient Corp.

   Consumer Finance        23,800          152,541  

Oriental Land Co. Ltd.

   Hotels, Restaurants & Leisure        499,800           13,925,796  

ORIX Corp.

   Financial Services        499,800          11,036,240  

Orix JREIT, Inc.

   Office REITs        1,190          1,177,720  

Osaka Gas Co. Ltd.

   Gas Utilities        166,600          3,669,426  

OSG Corp.

   Machinery        35,700          434,654  

Otsuka Corp.

   IT Services        95,200          1,829,312  

Otsuka Holdings Co. Ltd.

   Pharmaceuticals        226,100          9,515,709  

PALTAC Corp.

   Distributors        11,900          324,095  

Pan Pacific International Holdings Corp.

   Broadline Retail        178,500          4,176,762  

Panasonic Holdings Corp.

   Household Durables        940,100          7,696,828  

b Park24 Co. Ltd.

   Commercial Services & Supplies        59,500          592,744  

Penta-Ocean Construction Co. Ltd.

   Construction & Engineering        130,900          538,703  

b PeptiDream, Inc.

   Biotechnology        35,700          552,833  

Persol Holdings Co. Ltd.

   Professional Services        833,000          1,153,233  

Pigeon Corp.

   Household Products        47,600          430,400  

Pola Orbis Holdings, Inc.

   Personal Care Products        35,700          290,176  

Rakus Co. Ltd.

   Software        47,600          616,232  

b Rakuten Bank Ltd.

   Banks        35,700          646,488  

b Rakuten Group, Inc.

   Broadline Retail        642,600          3,315,266  

Recruit Holdings Co. Ltd.

   Professional Services        654,500          35,019,778  

Relo Group, Inc.

   Real Estate Management & Development        47,600          506,597  

Renesas Electronics Corp.

   Semiconductors & Semiconductor Equipment        702,100          13,133,277  

Rengo Co. Ltd.

   Containers & Packaging        95,200          617,563  

Resona Holdings, Inc.

   Banks        1,011,500          6,693,658  

Resonac Holdings Corp.

   Chemicals        83,300          1,823,838  

Resorttrust, Inc.

   Hotels, Restaurants & Leisure        23,800          353,020  

Ricoh Co. Ltd.

   Technology Hardware, Storage & Peripherals        261,800          2,238,629  

Rinnai Corp.

   Household Durables        47,600          1,083,029  

Rohm Co. Ltd.

   Semiconductors & Semiconductor Equipment        142,800          1,908,616  

Rohto Pharmaceutical Co. Ltd.

   Personal Care Products        95,200          1,995,022  

Ryohin Keikaku Co. Ltd.

   Broadline Retail        107,100          1,780,339  

Sanken Electric Co. Ltd.

   Semiconductors & Semiconductor Equipment        11,900          509,408  

Sankyo Co. Ltd.

   Leisure Products        71,400          774,987  

Sankyu, Inc.

   Air Freight & Logistics        23,800          811,976  

Sanrio Co. Ltd.

   Specialty Retail        95,200          1,750,601  

Santen Pharmaceutical Co. Ltd.

   Pharmaceuticals        142,800          1,459,426  

Sanwa Holdings Corp.

   Building Products        83,300          1,523,231  

Sapporo Holdings Ltd.

   Beverages        23,800          834,613  

Sawai Group Holdings Co. Ltd.

   Pharmaceuticals        11,900          483,590  

SBI Holdings, Inc.

   Capital Markets        130,900          3,309,526  

SCREEN Holdings Co. Ltd.

   Semiconductors & Semiconductor Equipment        37,256          3,358,274  

SCSK Corp.

   IT Services        71,400          1,426,136  

Secom Co. Ltd.

   Commercial Services & Supplies        95,200          5,620,505  

Sega Sammy Holdings, Inc.

   Leisure Products        71,400          1,060,170  

Seibu Holdings, Inc.

   Ground Transportation        95,200          1,312,063  

Seiko Epson Corp.

   Technology Hardware, Storage & Peripherals        119,000          1,848,695  

Seino Holdings Co. Ltd.

   Ground Transportation        59,500          802,839  

Sekisui Chemical Co. Ltd.

   Household Durables        178,500          2,470,104  

Sekisui House Ltd.

   Household Durables        249,900          5,535,209  

Sekisui House Reit, Inc.

   Diversified REITs        1,904          936,258  

Seven & i Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        1,059,100          12,904,613  

Seven Bank Ltd.

   Banks        309,400          517,398  

SG Holdings Co. Ltd.

   Air Freight & Logistics        190,400          1,754,743  

b Sharp Corp.

   Household Durables        95,200          550,451  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

b SHIFT, Inc.

   IT Services        4,100          371,615  

Shikoku Electric Power Co., Inc.

   Electric Utilities        71,400          612,533  

Shimadzu Corp.

   Electronic Equipment, Instruments & Components        119,000          2,977,589  

Shimamura Co. Ltd.

   Specialty Retail        23,800          1,082,141  

Shimano, Inc.

   Leisure Products        35,700          5,513,903  

Shimizu Corp.

   Construction & Engineering        249,900          1,403,610  

Shin-Etsu Chemical Co. Ltd.

   Chemicals        880,600          34,148,842  

Shinko Electric Industries Co. Ltd.

   Semiconductors & Semiconductor Equipment        35,700          1,251,697  

Shionogi & Co. Ltd.

   Pharmaceuticals        107,100          4,179,204  

Ship Healthcare Holdings, Inc.

   Health Care Providers & Services        35,700          527,089  

Shiseido Co. Ltd.

   Personal Care Products        178,500          5,091,123  

Shizuoka Financial Group, Inc.

   Banks        202,300          1,941,758  

SHO-BOND Holdings Co. Ltd.

   Construction & Engineering        23,800          852,367  

Skylark Holdings Co. Ltd.

   Hotels, Restaurants & Leisure        95,200          1,266,197  

SMC Corp.

   Machinery        25,444          12,075,065  

SMS Co. Ltd.

   Professional Services        23,800          302,124  

Socionext, Inc.

   Semiconductors & Semiconductor Equipment        83,300          1,972,459  

SoftBank Corp.

   Wireless Telecommunication Services        1,261,400          15,404,826  

SoftBank Group Corp.

   Wireless Telecommunication Services        452,200          29,207,746  

Sohgo Security Services Co. Ltd.

   Commercial Services & Supplies        190,400          1,112,146  

Sojitz Corp.

   Trading Companies & Distributors        95,200          2,313,420  

Sompo Holdings, Inc.

   Insurance        428,400          9,148,042  

Sony Group Corp.

   Household Durables        559,300          47,425,413  

Sotetsu Holdings, Inc.

   Ground Transportation        35,700          540,960  

Square Enix Holdings Co. Ltd.

   Entertainment        35,700          1,072,376  

Stanley Electric Co. Ltd.

   Automobile Components        47,600          849,260  

Subaru Corp.

   Automobiles        273,700          5,802,045  

Sugi Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        35,700          491,358  

SUMCO Corp.

   Semiconductors & Semiconductor Equipment        154,700          2,226,830  

Sumitomo Bakelite Co. Ltd.

   Chemicals        23,800          695,683  

Sumitomo Chemical Co. Ltd.

   Chemicals        690,200          1,479,000  

Sumitomo Corp.

   Trading Companies & Distributors        476,000           11,886,684  

Sumitomo Electric Industries Ltd.

   Automobile Components        345,100          5,368,723  

Sumitomo Forestry Co. Ltd.

   Household Durables        59,500          1,892,711  

Sumitomo Heavy Industries Ltd.

   Machinery        47,600          1,237,198  

Sumitomo Metal Mining Co. Ltd.

   Metals & Mining        107,100          3,247,755  

Sumitomo Mitsui Financial Group, Inc.

   Banks        571,200          38,083,551  

Sumitomo Mitsui Trust Holdings, Inc.

   Banks        321,300          7,330,418  

b Sumitomo Pharma Co. Ltd.

   Pharmaceuticals        83,300          209,726  

Sumitomo Realty & Development Co. Ltd.

   Real Estate Management & Development        178,500          5,238,708  

Sumitomo Rubber Industries Ltd.

   Automobile Components        83,300          829,841  

Sundrug Co. Ltd.

   Consumer Staples Distribution & Retail        29,940          754,549  

Suntory Beverage & Food Ltd.

   Beverages        59,500          2,110,944  

Suzuken Co. Ltd.

   Health Care Providers & Services        35,700          1,085,026  

Suzuki Motor Corp.

   Automobiles        833,000          9,585,248  

Sysmex Corp.

   Health Care Equipment & Supplies        261,800          4,216,858  

T&D Holdings, Inc.

   Insurance        226,100          3,947,544  

Taiheiyo Cement Corp.

   Construction Materials        47,600          1,194,883  

Taisei Corp.

   Construction & Engineering        71,400          2,641,436  

Taiyo Yuden Co. Ltd.

   Electronic Equipment, Instruments & Components        59,500          1,511,358  

Takara Holdings, Inc.

   Beverages        83,300          564,965  

Takashimaya Co. Ltd.

   Broadline Retail        59,500          1,001,469  

Takeda Pharmaceutical Co. Ltd.

   Pharmaceuticals        714,000          18,518,016  

TBS Holdings, Inc.

   Media        11,900          299,904  

TDK Corp.

   Electronic Equipment, Instruments & Components        166,600          10,217,015  

TechnoPro Holdings, Inc.

   Professional Services        48,760          798,723  

Teijin Ltd.

   Chemicals        83,300          692,095  

Terumo Corp.

   Health Care Equipment & Supplies        654,500          10,794,408  

THK Co. Ltd.

   Machinery        59,500          1,062,870  

TIS, Inc.

   IT Services        107,100          2,075,953  

Tobu Railway Co. Ltd.

   Ground Transportation        95,200          1,602,942  

Toda Corp.

   Construction & Engineering        119,000          778,242  

Toei Animation Co. Ltd.

   Entertainment        23,800          368,703  

Toho Co. Ltd.

   Entertainment        47,600          1,391,958  

Toho Gas Co. Ltd.

   Gas Utilities        35,700          866,201  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Tohoku Electric Power Co., Inc.

   Electric Utilities        214,200          1,932,807  

Tokai Carbon Co. Ltd.

   Chemicals        95,200          544,769  

Tokio Marine Holdings, Inc.

   Insurance        880,600          32,873,325  

Tokyo Century Corp.

   Financial Services        119,000          1,116,319  

b Tokyo Electric Power Co. Holdings, Inc.

   Electric Utilities        678,300          3,652,514  

Tokyo Electron Ltd.

   Semiconductors & Semiconductor Equipment        202,300          43,890,775  

Tokyo Gas Co. Ltd.

   Gas Utilities        178,500          3,833,877  

Tokyo Ohka Kogyo Co. Ltd.

   Chemicals        51,700          1,401,936  

Tokyo Seimitsu Co. Ltd.

   Semiconductors & Semiconductor Equipment        16,900          1,291,716  

Tokyo Tatemono Co. Ltd.

   Real Estate Management & Development        95,200          1,502,628  

Tokyu Corp.

   Ground Transportation        226,100          2,490,670  

Tokyu Fudosan Holdings Corp.

   Real Estate Management & Development        273,700          1,826,538  

TOPPAN Holdings, Inc.

   Commercial Services & Supplies        130,900          3,607,359  

Toray Industries, Inc.

   Chemicals        702,100          3,323,692  

Toridoll Holdings Corp.

   Hotels, Restaurants & Leisure        23,800          547,581  

Tosoh Corp.

   Chemicals        130,900          1,707,250  

TOTO Ltd.

   Building Products        71,400          1,685,796  

Toyo Seikan Group Holdings Ltd.

   Containers & Packaging        71,400          1,120,757  

Toyo Suisan Kaisha Ltd.

   Food Products        35,700          2,116,123  

Toyo Tire Corp.

   Automobile Components        47,600          760,044  

Toyoda Gosei Co. Ltd.

   Automobile Components        23,800          418,490  

Toyota Boshoku Corp.

   Automobile Components        35,700          472,826  

Toyota Industries Corp.

   Machinery        71,400          6,021,018  

Toyota Motor Corp.

   Automobiles        5,474,000          111,957,354  

Toyota Tsusho Corp.

   Trading Companies & Distributors        321,300          6,255,822  

Trend Micro, Inc.

   Software        47,600          1,932,585  

TS Tech Co. Ltd.

   Automobile Components        47,600          563,856  

Tsumura & Co.

   Pharmaceuticals        35,700          911,031  

Tsuruha Holdings, Inc.

   Consumer Staples Distribution & Retail        16,250          925,339  

UBE Corp.

   Chemicals        47,600          838,164  

Ulvac, Inc.

   Semiconductors & Semiconductor Equipment        23,800          1,555,004  

Unicharm Corp.

   Household Products        178,500          5,733,616  

United Urban Investment Corp.

   Diversified REITs        1,309          1,162,850  

Ushio, Inc.

   Electrical Equipment        35,700          464,282  

USS Co. Ltd.

   Specialty Retail        190,400          1,602,054  

Welcia Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        47,600          593,594  

West Japan Railway Co.

   Ground Transportation        214,200          3,988,120  

a Workman Co. Ltd.

   Specialty Retail        23,800          554,830  

Yakult Honsha Co. Ltd.

   Food Products        130,900          2,340,755  

Yamada Holdings Co. Ltd.

   Specialty Retail        249,900          671,123  

Yamaguchi Financial Group, Inc.

   Banks        83,300          945,320  

Yamaha Corp.

   Leisure Products        59,500          1,392,994  

Yamaha Motor Co. Ltd.

   Automobiles        404,600          3,745,178  

Yamato Holdings Co. Ltd.

   Air Freight & Logistics        119,000          1,308,290  

Yamato Kogyo Co. Ltd.

   Metals & Mining        15,900          773,551  

Yamazaki Baking Co. Ltd.

   Food Products        59,500          1,221,366  

Yaoko Co. Ltd.

   Consumer Staples Distribution & Retail        11,900          720,688  

Yaskawa Electric Corp.

   Machinery        119,000          4,273,673  

Yokogawa Electric Corp.

   Electronic Equipment, Instruments & Components        107,100          2,589,948  

Yokohama Rubber Co. Ltd.

   Automobile Components        59,500          1,315,688  

Zenkoku Hosho Co. Ltd.

   Financial Services        23,800          876,780  

Zensho Holdings Co. Ltd.

   Hotels, Restaurants & Leisure        35,700          1,364,883  

Zeon Corp.

   Chemicals        59,500          493,799  

ZOZO, Inc.

   Specialty Retail        47,600          1,191,923  
            

 

 

 

Total Common Stocks
(Cost $1,944,399,063)

               2,024,951,505  
            

 

 

 

Total Investments before Short-Term
Investments (Cost $1,944,399,063)

               2,024,951,505  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Short-Term Investments 0.1%

            

Investments from Cash Collateral Received for Loaned Securities 0.1%

            

United States 0.1%

            

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        607,698          607,698  
            

 

 

 

Money Market Funds 0.0%

            

United States 0.0%

            

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        491,683          491,683  
            

 

 

 

Total Short-Term Investments (Cost $1,099,381)

               1,099,381  
            

 

 

 

Total Investments (Cost $1,945,498,444) 99.4%

            2,026,050,886  

Other Assets, less Liabilities 0.6%

               12,146,317  
            

 

 

 

Net Assets 100.0%

             $ 2,038,197,203  
            

 

 

 

Rounds to less than 0.1% of net assets.

aA portion or all of the security is on loan at June 30, 2024.

bNon-income producing.

cThe rate shown is the annualized seven-day effective yield at period end.

dSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

Index Contracts

              

Nikkei 225 (OSE) SEP24

     Long        48      $ 11,810,518        9/12/24        $122,275  

* As of period end.

Abbreviations

Selected Portfolio

 

REIT        Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Japan Hedged ETF    Industry      Shares        Value  

Common Stocks 99.0%

            

Japan 99.0%

            

ABC-Mart, Inc.

   Specialty Retail        1,114        $ 19,564  

Acom Co. Ltd.

   Consumer Finance        6,300          16,018  

Activia Properties, Inc.

   Diversified REITs        10          22,691  

Advance Residence Investment Corp.

   Residential REITs        21          42,755  

Advantest Corp.

   Semiconductors & Semiconductor Equipment        11,083             442,672  

Aeon Co. Ltd.

   Consumer Staples Distribution & Retail        10,500          224,478  

AEON Financial Service Co. Ltd.

   Consumer Finance        2,100          17,219  

Aeon Mall Co. Ltd.

   Real Estate Management & Development        1,400          16,497  

AEON REIT Investment Corp.

   Retail REITs        21          17,389  

AGC, Inc.

   Building Products        2,677          86,637  

Aica Kogyo Co. Ltd.

   Chemicals        765          16,635  

Air Water, Inc.

   Chemicals        2,100          28,401  

Aisin Corp.

   Automobile Components        2,100          68,446  

Ajinomoto Co., Inc.

   Food Products        6,866          240,775  

Alfresa Holdings Corp.

   Health Care Providers & Services        2,100          28,760  

Alps Alpine Co. Ltd.

   Electronic Equipment, Instruments & Components        2,100          20,059  

Amada Co. Ltd.

   Machinery        4,200          46,397  

Amano Corp.

   Electronic Equipment, Instruments & Components        823          21,253  

ANA Holdings, Inc.

   Passenger Airlines        2,100          38,766  

Anritsu Corp.

   Electronic Equipment, Instruments & Components        2,100          16,097  

Aozora Bank Ltd.

   Banks        2,100          34,302  

Asahi Group Holdings Ltd.

   Beverages        6,300          222,258  

Asahi Intecc Co. Ltd.

   Health Care Equipment & Supplies        2,100          29,445  

Asahi Kasei Corp.

   Chemicals        18,900          121,077  

Asics Corp.

   Textiles, Apparel & Luxury Goods        8,772          134,203  

Astellas Pharma, Inc.

   Pharmaceuticals        27,300          269,843  

Azbil Corp.

   Electronic Equipment, Instruments & Components        2,100          58,499  

Bandai Namco Holdings, Inc.

   Leisure Products        8,400          163,969  

BayCurrent Consulting, Inc.

   Professional Services        2,100          42,298  

Bic Camera, Inc.

   Specialty Retail        2,100          20,013  

BIPROGY, Inc.

   IT Services        1,046          28,988  

Bridgestone Corp.

   Automobile Components        8,400          330,131  

Brother Industries Ltd.

   Technology Hardware, Storage & Peripherals        3,553          62,530  

Calbee, Inc.

   Food Products        1,029          19,760  

Canon Marketing Japan, Inc.

   Electronic Equipment, Instruments & Components        674          18,746  

Canon, Inc.

   Technology Hardware, Storage & Peripherals        14,054          380,400  

Capcom Co. Ltd.

   Entertainment        5,241          98,819  

Casio Computer Co. Ltd.

   Household Durables        2,100          15,685  

Central Japan Railway Co.

   Ground Transportation        13,500          291,468  

Chiba Bank Ltd.

   Banks        10,500          93,473  

Chubu Electric Power Co., Inc.

   Electric Utilities        10,500          124,086  

Chugai Pharmaceutical Co. Ltd.

   Pharmaceuticals        9,738          346,030  

Chugin Financial Group, Inc.

   Banks        2,100          22,017  

Chugoku Electric Power Co., Inc.

   Electric Utilities        4,200          27,585  

Coca-Cola Bottlers Japan Holdings, Inc.

   Beverages        2,100          26,332  

COMSYS Holdings Corp.

   Construction & Engineering        1,494          28,708  

Concordia Financial Group Ltd.

   Banks        16,800          98,820  

Cosmo Energy Holdings Co. Ltd.

   Oil, Gas & Consumable Fuels        909          45,772  

Cosmos Pharmaceutical Corp.

   Consumer Staples Distribution & Retail        233          18,794  

Credit Saison Co. Ltd.

   Consumer Finance        2,100          43,446  

CyberAgent, Inc.

   Media        6,300          39,458  

Dai Nippon Printing Co. Ltd.

   Commercial Services & Supplies        3,220          108,334  

Daicel Corp.

   Chemicals        4,200          40,274  

Daido Steel Co. Ltd.

   Metals & Mining        2,100          19,386  

Daifuku Co. Ltd.

   Machinery        4,200          78,590  

Dai-ichi Life Holdings, Inc.

   Insurance        13,632          364,232  

Daiichi Sankyo Co. Ltd.

   Pharmaceuticals        28,082          964,348  

Daiichikosho Co. Ltd.

   Entertainment        1,052          10,833  

Daikin Industries Ltd.

   Building Products        3,952          549,585  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Daio Paper Corp.

   Paper & Forest Products        2,100          11,621  

Daito Trust Construction Co. Ltd.

   Real Estate Management & Development        903          93,101  

Daiwa House Industry Co. Ltd.

   Real Estate Management & Development        8,400          212,898  

Daiwa House REIT Investment Corp.

   Diversified REITs        33          50,425  

Daiwa Office Investment Corp.

   Office REITs        8          14,094  

Daiwa Securities Group, Inc.

   Capital Markets        18,900          144,164  

Daiwa Securities Living Investments Corp.

   Residential REITs        21          13,708  

Denka Co. Ltd.

   Chemicals        1,386          18,641  

Denso Corp.

   Automobile Components        30,505          473,713  

Dentsu Group, Inc.

   Media        3,187          80,299  

Dentsu Soken, Inc.

   IT Services        323          10,602  

Descente Ltd.

   Textiles, Apparel & Luxury Goods        590          12,379  

DIC Corp.

   Chemicals        1,395          26,459  

Disco Corp.

   Semiconductors & Semiconductor Equipment        1,260          478,120  

DMG Mori Co. Ltd.

   Machinery        2,100          54,530  

Dowa Holdings Co. Ltd.

   Metals & Mining        787          27,931  

East Japan Railway Co.

   Ground Transportation        15,888          263,170  

Ebara Corp.

   Machinery        6,905          109,181  

Eisai Co. Ltd.

   Pharmaceuticals        4,200          172,115  

Electric Power Development Co. Ltd.

   Independent Power Producers & Energy Traders        2,366          36,926  

ENEOS Holdings, Inc.

   Oil, Gas & Consumable Fuels        42,000          215,822  

EXEO Group, Inc.

   Construction & Engineering        2,736          27,205  

Ezaki Glico Co. Ltd.

   Food Products        848          22,041  

Fancl Corp.

   Personal Care Products        908          15,523  

FANUC Corp.

   Machinery        14,116          386,904  

Fast Retailing Co. Ltd.

   Specialty Retail        2,343          590,775  

Food & Life Cos. Ltd.

   Hotels, Restaurants & Leisure        1,330          21,526  

FP Corp.

   Containers & Packaging        684          10,256  

Frontier Real Estate Investment Corp.

   Retail REITs        8          21,858  

Fuji Electric Co. Ltd.

   Electrical Equipment        1,843          104,856  

Fuji Kyuko Co. Ltd.

   Hotels, Restaurants & Leisure        513          10,173  

Fuji Soft, Inc.

   Software        925          41,747  

FUJIFILM Holdings Corp.

   Technology Hardware, Storage & Peripherals        17,875          418,039  

Fujikura Ltd.

   Electrical Equipment        4,200          82,924  

Fujitsu Ltd.

   IT Services        24,251          379,459  

Fukuoka Financial Group, Inc.

   Banks        2,100          56,136  

Fuyo General Lease Co. Ltd.

   Financial Services        252          19,277  

GLP J-Reit

   Industrial REITs        63          51,423  

GMO internet group, Inc.

   IT Services        864          13,192  

GMO Payment Gateway, Inc.

   Financial Services        620          34,122  

Goldwin, Inc.

   Textiles, Apparel & Luxury Goods        468          25,643  

GS Yuasa Corp.

   Electrical Equipment        1,295          25,657  

Hachijuni Bank Ltd.

   Banks        6,300          41,103  

Hakuhodo DY Holdings, Inc.

   Media        4,200          30,679  

Hamamatsu Photonics KK

   Electronic Equipment, Instruments & Components        2,100          56,240  

Hankyu Hanshin Holdings, Inc.

   Ground Transportation        3,331          88,504  

Harmonic Drive Systems, Inc.

   Machinery        613          17,339  

Haseko Corp.

   Household Durables        4,200          46,423  

Hikari Tsushin, Inc.

   Industrial Conglomerates        350          65,198  

a Hino Motors Ltd.

   Machinery        4,200          10,914  

Hirogin Holdings, Inc.

   Banks        4,200          32,454  

Hirose Electric Co. Ltd.

   Electronic Equipment, Instruments & Components        424          46,839  

Hisamitsu Pharmaceutical Co., Inc.

   Pharmaceuticals        846          19,549  

Hitachi Construction Machinery Co. Ltd.

   Machinery        1,494          40,011  

Hitachi Ltd.

   Industrial Conglomerates        66,260          1,483,291  

Honda Motor Co. Ltd.

   Automobiles        71,400          763,446  

Horiba Ltd.

   Electronic Equipment, Instruments & Components        594          47,931  

Hoshizaki Corp.

   Machinery        1,753          55,600  

House Foods Group, Inc.

   Food Products        1,066          18,860  

Hoya Corp.

   Health Care Equipment & Supplies        5,296          615,825  

Hulic Co. Ltd.

   Real Estate Management & Development        6,300          55,790  

Ibiden Co. Ltd.

   Electronic Equipment, Instruments & Components        1,599          65,089  

Idemitsu Kosan Co. Ltd.

   Oil, Gas & Consumable Fuels        18,900          122,369  

IHI Corp.

   Machinery        2,100          62,728  

Iida Group Holdings Co. Ltd.

   Household Durables        2,100          27,644  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Industrial & Infrastructure Fund Investment Corp.

   Industrial REITs        42          33,055  

INFRONEER Holdings, Inc.

   Construction & Engineering        2,100          17,030  

Inpex Corp.

   Oil, Gas & Consumable Fuels        12,600          185,405  

Internet Initiative Japan, Inc.

   Diversified Telecommunication Services        1,494          22,007  

Invincible Investment Corp.

   Hotel & Resort REITs        105          42,559  

Isetan Mitsukoshi Holdings Ltd.

   Broadline Retail        6,300          118,277  

Isuzu Motors Ltd.

   Automobiles        8,400          111,279  

Ito En Ltd.

   Beverages        843          18,248  

ITOCHU Corp.

   Trading Companies & Distributors        20,278          990,075  

Iwatani Corp.

   Oil, Gas & Consumable Fuels        746          43,380  

Iyogin Holdings, Inc.

   Banks        4,200          38,890  

Izumi Co. Ltd.

   Broadline Retail        611          12,219  

J Front Retailing Co. Ltd.

   Broadline Retail        4,200          43,799  

Japan Airlines Co. Ltd.

   Passenger Airlines        2,100          33,140  

Japan Airport Terminal Co. Ltd.

   Transportation Infrastructure        1,101          37,556  

Japan Exchange Group, Inc.

   Capital Markets        7,607          177,430  

Japan Hotel REIT Investment Corp.

   Hotel & Resort REITs        63          30,431  

Japan Logistics Fund, Inc.

   Industrial REITs        13          21,497  

Japan Metropolitan Fund Invest

   Retail REITs        105          59,073  

Japan Post Bank Co. Ltd.

   Banks        21,000          198,368  

Japan Post Holdings Co. Ltd.

   Insurance        25,200          249,869  

Japan Post Insurance Co. Ltd.

   Insurance        2,100          40,744  

Japan Prime Realty Investment Corp.

   Office REITs        14          28,198  

Japan Real Estate Investment Corp.

   Office REITs        20          63,161  

Japan Steel Works Ltd.

   Machinery        787          20,954  

Japan Tobacco, Inc.

   Tobacco        17,799          481,102  

Jeol Ltd.

   Electronic Equipment, Instruments & Components        620          28,013  

JFE Holdings, Inc.

   Metals & Mining        8,400          120,914  

JGC Holdings Corp.

   Construction & Engineering        4,200          32,911  

JTEKT Corp.

   Automobile Components        4,200          29,230  

Kadokawa Corp.

   Media        1,140          18,281  

Kagome Co. Ltd.

   Food Products        1,244          25,273  

Kajima Corp.

   Construction & Engineering        6,300          108,936  

Kakaku.com, Inc.

   Interactive Media & Services        2,100          27,526  

Kamigumi Co. Ltd.

   Transportation Infrastructure        1,286          26,486  

Kandenko Co. Ltd.

   Construction & Engineering        2,100          22,480  

Kaneka Corp.

   Chemicals        783          20,566  

Kansai Electric Power Co., Inc.

   Electric Utilities        10,500          176,371  

Kansai Paint Co. Ltd.

   Chemicals        2,100          33,812  

Kao Corp.

   Personal Care Products        6,900          279,843  

Kawasaki Heavy Industries Ltd.

   Machinery        2,100          79,765  

Kawasaki Kisen Kaisha Ltd.

   Marine Transportation        6,300          91,645  

KDDI Corp.

   Wireless Telecommunication Services        22,948          606,868  

KDX Realty Investment Corp.

   Diversified REITs        63          61,292  

Keihan Holdings Co. Ltd.

   Industrial Conglomerates        1,367          24,457  

Keikyu Corp.

   Ground Transportation        4,200          30,692  

Keio Corp.

   Ground Transportation        2,100          48,734  

Keisei Electric Railway Co. Ltd.

   Ground Transportation        2,100          67,572  

Kewpie Corp.

   Food Products        2,100          41,762  

Keyence Corp.

   Electronic Equipment, Instruments & Components        2,947          1,292,496  

Kikkoman Corp.

   Food Products        13,762          159,427  

Kinden Corp.

   Construction & Engineering        2,100          41,815  

Kintetsu Group Holdings Co. Ltd.

   Ground Transportation        2,100          45,718  

Kirin Holdings Co. Ltd.

   Beverages        12,600          162,376  

Kobayashi Pharmaceutical Co. Ltd.

   Personal Care Products        872          28,313  

Kobe Bussan Co. Ltd.

   Consumer Staples Distribution & Retail        2,100          46,789  

Kobe Steel Ltd.

   Metals & Mining        4,200          52,128  

Koei Tecmo Holdings Co. Ltd.

   Entertainment        2,100          18,133  

Koito Manufacturing Co. Ltd.

   Automobile Components        3,050          42,074  

Kokusai Electric Corp.

   Semiconductors & Semiconductor Equipment        1,300          37,903  

Kokuyo Co. Ltd.

   Commercial Services & Supplies        1,640          27,496  

Komatsu Ltd.

   Machinery        13,532          392,938  

Konami Group Corp.

   Entertainment        1,421          102,295  

Konica Minolta, Inc.

   Technology Hardware, Storage & Peripherals        6,300          17,436  

Kose Corp.

   Personal Care Products        526          33,468  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Kotobuki Spirits Co. Ltd.

   Food Products        2,100          24,380  

K’s Holdings Corp.

   Specialty Retail        2,100          19,745  

Kubota Corp.

   Machinery        14,700          205,614  

Kuraray Co. Ltd.

   Chemicals        4,200          48,290  

Kurita Water Industries Ltd.

   Machinery        1,698          71,980  

Kusuri No. Aoki Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        720          13,607  

Kyocera Corp.

   Electronic Equipment, Instruments & Components        16,800          193,368  

Kyoto Financial Group, Inc.

   Banks        4,200          74,517  

Kyowa Kirin Co. Ltd.

   Pharmaceuticals        3,834          65,485  

Kyudenko Corp.

   Construction & Engineering        811          29,811  

Kyushu Electric Power Co., Inc.

   Electric Utilities        6,300          64,896  

Kyushu Financial Group, Inc.

   Banks        6,300          36,940  

Kyushu Railway Co.

   Ground Transportation        2,100          45,496  

LaSalle Logiport REIT

   Industrial REITs        27          24,774  

Lasertec Corp.

   Semiconductors & Semiconductor Equipment        1,250          280,446  

Lion Corp.

   Household Products        4,200          32,742  

Lixil Corp.

   Building Products        4,200          44,217  

LY Corp.

   Interactive Media & Services        39,900          96,463  

M3, Inc.

   Health Care Technology        6,300          60,059  

Mabuchi Motor Co. Ltd.

   Electrical Equipment        1,396          20,720  

Macnica Holdings, Inc.

   Electronic Equipment, Instruments & Components        662          27,779  

Makita Corp.

   Machinery        3,552          96,540  

Mani, Inc.

   Health Care Equipment & Supplies        822          10,143  

Marubeni Corp.

   Trading Companies & Distributors        23,100          427,291  

Marui Group Co. Ltd.

   Consumer Finance        2,100          29,621  

Maruichi Steel Tube Ltd.

   Metals & Mining        999          23,171  

Maruwa Co. Ltd.

   Electronic Equipment, Instruments & Components        130          31,074  

Matsui Securities Co. Ltd.

   Capital Markets        2,100          10,966  

MatsukiyoCocokara & Co.

   Consumer Staples Distribution & Retail        5,250          75,392  

Mazda Motor Corp.

   Automobiles        8,400          81,253  

McDonald’s Holdings Co. Japan Ltd.

   Hotels, Restaurants & Leisure        1,273          50,173  

Mebuki Financial Group, Inc.

   Banks        14,700          57,243  

Medipal Holdings Corp.

   Health Care Providers & Services        2,100          31,958  

MEIJI Holdings Co. Ltd.

   Food Products        3,827          82,531  

a Mercari, Inc.

   Broadline Retail        2,100          26,077  

MINEBEA MITSUMI, Inc.

   Machinery        6,300          129,047  

MISUMI Group, Inc.

   Machinery        4,200          71,815  

Mitsubishi Chemical Group Corp.

   Chemicals        18,900          104,933  

Mitsubishi Corp.

   Trading Companies & Distributors        56,065          1,097,182  

Mitsubishi Electric Corp.

   Electrical Equipment        29,400          469,256  

Mitsubishi Estate Co. Ltd.

   Real Estate Management & Development        16,316          255,603  

Mitsubishi Gas Chemical Co., Inc.

   Chemicals        2,100          40,052  

Mitsubishi HC Capital, Inc.

   Financial Services        12,600          83,185  

Mitsubishi Heavy Industries Ltd.

   Machinery        44,100          472,363  

Mitsubishi Logistics Corp.

   Transportation Infrastructure        987          32,397  

Mitsubishi Materials Corp.

   Metals & Mining        2,100          38,525  

Mitsubishi Motors Corp.

   Automobiles        10,500          28,930  

Mitsubishi UFJ Financial Group, Inc.

   Banks        161,700          1,738,029  

Mitsui & Co. Ltd.

   Trading Companies & Distributors        37,168          843,593  

Mitsui Chemicals, Inc.

   Chemicals        2,100          57,963  

Mitsui Fudosan Co. Ltd.

   Real Estate Management & Development        41,000          374,291  

Mitsui Fudosan Logistics Park, Inc.

   Industrial REITs        8          21,559  

Mitsui High-Tec, Inc.

   Semiconductors & Semiconductor Equipment        361          14,105  

Mitsui Mining & Smelting Co. Ltd.

   Metals & Mining        932          29,775  

Mitsui OSK Lines Ltd.

   Marine Transportation        5,099          152,723  

Miura Co. Ltd.

   Machinery        1,330          26,929  

Mizuho Financial Group, Inc.

   Banks        37,800          789,086  

a Money Forward, Inc.

   Software        786          26,361  

MonotaRO Co. Ltd.

   Trading Companies & Distributors        4,200          49,373  

Mori Hills REIT Investment Corp., Class C

   Office REITs        21          17,180  

Morinaga & Co. Ltd.

   Food Products        1,156          17,887  

Morinaga Milk Industry Co. Ltd.

   Food Products        1,165          24,414  

MS&AD Insurance Group Holdings, Inc.

   Insurance        21,000          466,710  

Murata Manufacturing Co. Ltd.

   Electronic Equipment, Instruments & Components        25,200          520,418  

Nabtesco Corp.

   Machinery        2,100          35,614  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Nagase & Co. Ltd.

   Trading Companies & Distributors        2,100          41,110  

Nagoya Railroad Co. Ltd.

   Ground Transportation        2,100          22,892  

Nankai Electric Railway Co. Ltd.

   Ground Transportation        2,100          34,869  

NEC Corp.

   IT Services        3,809          313,628  

NEC Networks & System Integration Corp.

   IT Services        1,071          16,265  

NET One Systems Co. Ltd.

   IT Services        1,233          22,597  

Nexon Co. Ltd.

   Entertainment        5,250          97,095  

NGK Insulators Ltd.

   Machinery        4,200          53,786  

NH Foods Ltd.

   Food Products        1,482          44,314  

NHK Spring Co. Ltd.

   Automobile Components        2,100          20,933  

Nichirei Corp.

   Food Products        1,452          31,954  

NIDEC Corp.

   Electrical Equipment        7,839          350,138  

Nifco, Inc.

   Automobile Components        1,138          27,145  

Nihon Kohden Corp.

   Health Care Equipment & Supplies        2,026          29,270  

Nihon M&A Center Holdings, Inc.

   Capital Markets        4,200          21,708  

Nikon Corp.

   Household Durables        4,200          42,454  

Nintendo Co. Ltd.

   Entertainment        15,542          826,665  

Nippon Accommodations Fund, Inc.

   Residential REITs        7          27,807  

Nippon Building Fund, Inc.

   Office REITs        22          76,999  

Nippon Electric Glass Co. Ltd.

   Electronic Equipment, Instruments & Components        1,015          23,088  

NIPPON EXPRESS HOLDINGS, Inc.

   Air Freight & Logistics        915          42,178  

Nippon Kayaku Co. Ltd.

   Chemicals        2,100          16,025  

Nippon Paint Holdings Co. Ltd.

   Chemicals        14,700          95,770  

Nippon Prologis REIT, Inc.

   Industrial REITs        37          57,733  

Nippon Sanso Holdings Corp.

   Chemicals        2,723          80,559  

Nippon Shinyaku Co. Ltd.

   Pharmaceuticals        777          15,723  

Nippon Shokubai Co. Ltd.

   Chemicals        2,112          21,092  

Nippon Steel Corp.

   Metals & Mining        12,403          262,232  

Nippon Telegraph & Telephone Corp.

   Diversified Telecommunication Services        420,000          396,345  

Nippon Yusen KK

   Marine Transportation        6,300          183,368  

Nipro Corp.

   Health Care Equipment & Supplies        2,100          16,469  

Nishi-Nippon Railroad Co. Ltd.

   Ground Transportation        1,035          16,584  

Nissan Chemical Corp.

   Chemicals        1,874          59,379  

Nissan Motor Co. Ltd.

   Automobiles        25,200          85,520  

Nisshin Seifun Group, Inc.

   Food Products        4,200          48,290  

Nissin Foods Holdings Co. Ltd.

   Food Products        3,075          78,032  

Niterra Co. Ltd.

   Automobile Components        2,100          60,966  

Nitori Holdings Co. Ltd.

   Specialty Retail        1,123          118,611  

Nitto Denko Corp.

   Chemicals        2,100          165,927  

NOF Corp.

   Chemicals        3,387          46,259  

NOK Corp.

   Automobile Components        2,100          27,931  

Nomura Holdings, Inc.

   Capital Markets        42,000          240,731  

Nomura Real Estate Holdings, Inc.

   Real Estate Management & Development        1,436          35,985  

Nomura Real Estate Master Fund, Inc.

   Diversified REITs        63          55,888  

Nomura Research Institute Ltd.

   IT Services        6,300          177,063  

NS Solutions Corp.

   IT Services        936          15,844  

NSK Ltd.

   Machinery        6,300          30,615  

NTT Data Group Corp.

   IT Services        8,400          123,342  

Obayashi Corp.

   Construction & Engineering        10,500          124,804  

OBIC Business Consultants Co. Ltd.

   Software        424          17,731  

Obic Co. Ltd.

   IT Services        1,041          134,218  

Odakyu Electric Railway Co. Ltd.

   Ground Transportation        4,200          40,627  

Oji Holdings Corp.

   Paper & Forest Products        12,600          49,723  

OKUMA Corp.

   Machinery        428          19,285  

Olympus Corp.

   Health Care Equipment & Supplies        16,800          270,862  

Omron Corp.

   Electronic Equipment, Instruments & Components        2,805          96,412  

Ono Pharmaceutical Co. Ltd.

   Pharmaceuticals        6,300          86,025  

Open House Group Co. Ltd.

   Household Durables        1,031          31,585  

Oracle Corp.

   Software        529          36,503  

Oriental Land Co. Ltd.

   Hotels, Restaurants & Leisure        15,983          445,330  

ORIX Corp.

   Financial Services        16,800          370,966  

Orix JREIT, Inc.

   Office REITs        42          41,567  

Osaka Gas Co. Ltd.

   Gas Utilities        5,636          124,135  

OSG Corp.

   Machinery        1,075          13,088  

Otsuka Corp.

   IT Services        3,168          60,875  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Otsuka Holdings Co. Ltd.

   Pharmaceuticals        7,232          304,368  

PALTAC Corp.

   Distributors        449          12,228  

Pan Pacific International Holdings Corp.

   Broadline Retail        5,867          137,283  

Panasonic Holdings Corp.

   Household Durables        31,500          257,898  

a Park24 Co. Ltd.

   Commercial Services & Supplies        2,100          20,920  

Penta-Ocean Construction Co. Ltd.

   Construction & Engineering        4,200          17,285  

a PeptiDream, Inc.

   Biotechnology        2,100          32,520  

Persol Holdings Co. Ltd.

   Professional Services        25,200          34,888  

Pigeon Corp.

   Household Products        2,100          18,988  

Pola Orbis Holdings, Inc.

   Personal Care Products        2,100          17,069  

Rakus Co. Ltd.

   Software        1,365          17,671  

a Rakuten Bank Ltd.

   Banks        1,373          24,864  

a Rakuten Group, Inc.

   Broadline Retail        21,000          108,342  

Recruit Holdings Co. Ltd.

   Professional Services        21,101          1,129,033  

Relo Group, Inc.

   Real Estate Management & Development        2,100          22,350  

Renesas Electronics Corp.

   Semiconductors & Semiconductor Equipment        22,670          424,058  

Rengo Co. Ltd.

   Containers & Packaging        4,200          27,245  

Resona Holdings, Inc.

   Banks        33,600          222,350  

Resonac Holdings Corp.

   Chemicals        2,100          45,979  

Resorttrust, Inc.

   Hotels, Restaurants & Leisure        822          12,193  

Ricoh Co. Ltd.

   Technology Hardware, Storage & Peripherals        8,400          71,828  

Rinnai Corp.

   Household Durables        2,100          47,781  

Rohm Co. Ltd.

   Semiconductors & Semiconductor Equipment        4,200          56,136  

Rohto Pharmaceutical Co. Ltd.

   Personal Care Products        2,885          60,458  

Ryohin Keikaku Co. Ltd.

   Broadline Retail        3,290          54,690  

Sanken Electric Co. Ltd.

   Semiconductors & Semiconductor Equipment        260          11,130  

Sankyo Co. Ltd.

   Leisure Products        2,100          22,794  

Sankyu, Inc.

   Air Freight & Logistics        809          27,600  

Sanrio Co. Ltd.

   Specialty Retail        2,988          54,945  

Santen Pharmaceutical Co. Ltd.

   Pharmaceuticals        4,200          42,924  

Sanwa Holdings Corp.

   Building Products        2,100          38,401  

Sapporo Holdings Ltd.

   Beverages        899          31,526  

Sawai Group Holdings Co. Ltd.

   Pharmaceuticals        594          24,139  

SBI Holdings, Inc.

   Capital Markets        4,200          106,188  

SCREEN Holdings Co. Ltd.

   Semiconductors & Semiconductor Equipment        1,177          106,095  

SCSK Corp.

   IT Services        2,100          41,945  

Secom Co. Ltd.

   Commercial Services & Supplies        3,088          182,312  

Sega Sammy Holdings, Inc.

   Leisure Products        2,100          31,181  

Seibu Holdings, Inc.

   Ground Transportation        4,200          57,885  

Seiko Epson Corp.

   Technology Hardware, Storage & Peripherals        4,200          65,248  

Seino Holdings Co. Ltd.

   Ground Transportation        2,100          28,336  

Sekisui Chemical Co. Ltd.

   Household Durables        6,300          87,180  

Sekisui House Ltd.

   Household Durables        8,400          186,057  

Sekisui House Reit, Inc.

   Diversified REITs        63          30,979  

Seven & i Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        33,600          409,399  

Seven Bank Ltd.

   Banks        10,500          17,559  

SG Holdings Co. Ltd.

   Air Freight & Logistics        6,300          58,061  

a Sharp Corp.

   Household Durables        4,200          24,285  

a SHIFT, Inc.

   IT Services        149          13,505  

Shikoku Electric Power Co., Inc.

   Electric Utilities        2,100          18,016  

Shimadzu Corp.

   Electronic Equipment, Instruments & Components        4,200          105,091  

Shimamura Co. Ltd.

   Specialty Retail        588          26,735  

Shimano, Inc.

   Leisure Products        1,136          175,456  

Shimizu Corp.

   Construction & Engineering        8,400          47,180  

Shin-Etsu Chemical Co. Ltd.

   Chemicals        28,514          1,105,746  

Shinko Electric Industries Co. Ltd.

   Semiconductors & Semiconductor Equipment        972          34,080  

Shionogi & Co. Ltd.

   Pharmaceuticals        3,587          139,970  

Ship Healthcare Holdings, Inc.

   Health Care Providers & Services        1,114          16,448  

Shiseido Co. Ltd.

   Personal Care Products        5,791          165,169  

Shizuoka Financial Group, Inc.

   Banks        6,300          60,470  

SHO-BOND Holdings Co. Ltd.

   Construction & Engineering        695          24,891  

Skylark Holdings Co. Ltd.

   Hotels, Restaurants & Leisure        4,200          55,862  

SMC Corp.

   Machinery        819          388,676  

Socionext, Inc.

   Semiconductors & Semiconductor Equipment        2,768          65,543  

SoftBank Corp.

   Wireless Telecommunication Services        40,881          499,259  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

SoftBank Group Corp.

   Wireless Telecommunication Services        14,660          946,894  

Sohgo Security Services Co. Ltd.

   Commercial Services & Supplies        6,300          36,799  

Sojitz Corp.

   Trading Companies & Distributors        3,098          75,283  

Sompo Holdings, Inc.

   Insurance        13,332          284,691  

Sony Group Corp.

   Household Durables        17,945          1,521,632  

Sotetsu Holdings, Inc.

   Ground Transportation        1,015          15,380  

Square Enix Holdings Co. Ltd.

   Entertainment        1,271          38,179  

Stanley Electric Co. Ltd.

   Automobile Components        2,100          37,467  

Subaru Corp.

   Automobiles        8,400          178,068  

Sugi Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        1,244          17,122  

SUMCO Corp.

   Semiconductors & Semiconductor Equipment        4,200          60,457  

Sumitomo Bakelite Co. Ltd.

   Chemicals        945          27,623  

Sumitomo Chemical Co. Ltd.

   Chemicals        23,100          49,500  

Sumitomo Corp.

   Trading Companies & Distributors        15,031          375,355  

Sumitomo Electric Industries Ltd.

   Automobile Components        10,500          163,349  

Sumitomo Forestry Co. Ltd.

   Household Durables        2,100          66,802  

Sumitomo Heavy Industries Ltd.

   Machinery        1,820          47,305  

Sumitomo Metal Mining Co. Ltd.

   Metals & Mining        3,603          109,259  

Sumitomo Mitsui Financial Group, Inc.

   Banks        18,532          1,235,582  

Sumitomo Mitsui Trust Holdings, Inc.

   Banks        10,500          239,556  

a Sumitomo Pharma Co. Ltd.

   Pharmaceuticals        2,100          5,287  

Sumitomo Realty & Development Co. Ltd.

   Real Estate Management & Development        6,021          176,707  

Sumitomo Rubber Industries Ltd.

   Automobile Components        2,100          20,920  

Sundrug Co. Ltd.

   Consumer Staples Distribution & Retail        1,100          27,722  

Suntory Beverage & Food Ltd.

   Beverages        1,843          65,386  

Suzuken Co. Ltd.

   Health Care Providers & Services        1,084          32,946  

Suzuki Motor Corp.

   Automobiles        27,300          314,138  

Sysmex Corp.

   Health Care Equipment & Supplies        8,400          135,300  

T&D Holdings, Inc.

   Insurance        7,350          128,326  

Taiheiyo Cement Corp.

   Construction Materials        1,820          45,687  

Taisei Corp.

   Construction & Engineering        2,100          77,689  

Taiyo Yuden Co. Ltd.

   Electronic Equipment, Instruments & Components        2,100          53,342  

Takara Holdings, Inc.

   Beverages        2,100          14,243  

Takashimaya Co. Ltd.

   Broadline Retail        2,100          35,346  

Takeda Pharmaceutical Co. Ltd.

   Pharmaceuticals        23,100          599,112  

TDK Corp.

   Electronic Equipment, Instruments & Components        5,362          328,833  

TechnoPro Holdings, Inc.

   Professional Services        1,672          27,389  

Teijin Ltd.

   Chemicals        2,100          17,448  

Terumo Corp.

   Health Care Equipment & Supplies        21,321          351,639  

THK Co. Ltd.

   Machinery        2,100          37,513  

TIS, Inc.

   IT Services        3,531          68,442  

Tobu Railway Co. Ltd.

   Ground Transportation        2,781          46,825  

Toda Corp.

   Construction & Engineering        4,200          27,467  

Toho Co. Ltd.

   Entertainment        1,650          48,251  

Toho Gas Co. Ltd.

   Gas Utilities        1,319          32,003  

Tohoku Electric Power Co., Inc.

   Electric Utilities        6,300          56,847  

Tokai Carbon Co. Ltd.

   Chemicals        4,200          24,034  

Tokio Marine Holdings, Inc.

   Insurance        28,368          1,058,994  

Tokyo Century Corp.

   Financial Services        4,200          39,399  

a Tokyo Electric Power Co. Holdings, Inc.

   Electric Utilities        23,100          124,389  

Tokyo Electron Ltd.

   Semiconductors & Semiconductor Equipment        6,534          1,417,609  

Tokyo Gas Co. Ltd.

   Gas Utilities        5,801          124,596  

Tokyo Ohka Kogyo Co. Ltd.

   Chemicals        1,675          45,421  

Tokyo Seimitsu Co. Ltd.

   Semiconductors & Semiconductor Equipment        592          45,248  

Tokyo Tatemono Co. Ltd.

   Real Estate Management & Development        2,681          42,317  

Tokyu Corp.

   Ground Transportation        8,400          92,533  

Tokyu Fudosan Holdings Corp.

   Real Estate Management & Development        8,400          56,057  

TOPPAN Holdings, Inc.

   Commercial Services & Supplies        4,200          115,744  

Toray Industries, Inc.

   Chemicals        23,100          109,354  

Toridoll Holdings Corp.

   Hotels, Restaurants & Leisure        525          12,079  

Tosoh Corp.

   Chemicals        4,200          54,778  

TOTO Ltd.

   Building Products        2,100          49,582  

Toyo Seikan Group Holdings Ltd.

   Containers & Packaging        2,100          32,963  

Toyo Suisan Kaisha Ltd.

   Food Products        1,361          80,673  

Toyo Tire Corp.

   Automobile Components        2,100          33,531  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Toyoda Gosei Co. Ltd.

   Automobile Components        1,095          19,254  

Toyota Boshoku Corp.

   Automobile Components        804          10,649  

Toyota Industries Corp.

   Machinery        2,348          198,002  

Toyota Motor Corp.

   Automobiles        177,300          3,626,240  

Toyota Tsusho Corp.

   Trading Companies & Distributors        9,900          192,756  

Trend Micro, Inc.

   Software        1,638          66,504  

TS Tech Co. Ltd.

   Automobile Components        2,100          24,876  

Tsumura & Co.

   Pharmaceuticals        871          22,227  

Tsuruha Holdings, Inc.

   Consumer Staples Distribution & Retail        603          34,337  

UBE Corp.

   Chemicals        2,100          36,978  

Ulvac, Inc.

   Semiconductors & Semiconductor Equipment        746          48,741  

Unicharm Corp.

   Household Products        5,676          182,319  

United Urban Investment Corp.

   Diversified REITs        42          37,311  

Ushio, Inc.

   Electrical Equipment        2,100          27,311  

USS Co. Ltd.

   Specialty Retail        6,300          53,009  

Welcia Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        1,563          19,491  

West Japan Railway Co.

   Ground Transportation        6,942          129,251  

Workman Co. Ltd.

   Specialty Retail        680          15,852  

Yakult Honsha Co. Ltd.

   Food Products        4,200          75,104  

Yamada Holdings Co. Ltd.

   Specialty Retail        8,400          22,559  

Yamaguchi Financial Group, Inc.

   Banks        2,100          23,832  

Yamaha Corp.

   Leisure Products        2,100          49,164  

Yamaha Motor Co. Ltd.

   Automobiles        12,600          116,632  

Yamato Holdings Co. Ltd.

   Air Freight & Logistics        4,200          46,175  

Yamato Kogyo Co. Ltd.

   Metals & Mining        514          25,007  

Yamazaki Baking Co. Ltd.

   Food Products        2,100          43,107  

Yaoko Co. Ltd.

   Consumer Staples Distribution & Retail        357          21,621  

Yaskawa Electric Corp.

   Machinery        3,742          134,387  

Yokogawa Electric Corp.

   Electronic Equipment, Instruments & Components        3,406          82,366  

Yokohama Rubber Co. Ltd.

   Automobile Components        2,100          46,436  

Zenkoku Hosho Co. Ltd.

   Financial Services        779          28,698  

Zensho Holdings Co. Ltd.

   Hotels, Restaurants & Leisure        1,326          50,696  

Zeon Corp.

   Chemicals        2,100          17,428  

ZOZO, Inc.

   Specialty Retail        2,100          52,585  
            

 

 

 

Total Common Stocks (Cost $64,162,044)

            65,593,469  
            

 

 

 

Total Investments before Short-Term Investments (Cost $64,162,044)

               65,593,469  
            

 

 

 

Short-Term Investments 0.1%

            

Money Market Funds 0.1%

            

United States 0.1%

            

b,c Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        61,119          61,119  
            

 

 

 

Total Short-Term Investments (Cost $61,119)

            61,119  
            

 

 

 

Total Investments (Cost $64,223,163) 99.1%

            65,654,588  

Other Assets, less Liabilities 0.9%

               596,178  
            

 

 

 

Net Assets 100.0%

             $ 66,250,766  
            

 

 

 

aNon-income producing.

bThe rate shown is the annualized seven-day effective yield at period end.

cSee Note 3 regarding investments in affiliated management investment companies.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following forward exchange contracts outstanding.

Forward Exchange Contracts

 

Currency    Counterpartya
     Type      Quantity      Contract
Amount
     Settlement
Date
     Unrealized
Appreciation
     Unrealized
Depreciation
 

 

 

OTC Forward Exchange Contracts

                    

Japanese Yen

     UBSW        Buy        94,695,326      $ 594,053        7/02/24      $    —      $ (5,372

Japanese Yen

     SSBT        Buy        94,695,326        594,052        7/02/24               (5,370

Japanese Yen

     BOFA        Buy        47,347,663        297,027        7/02/24               (2,686

Japanese Yen

     BOFA        Buy        2,006,993,087        12,476,645        7/02/24                

Japanese Yen

     UBSW        Sell        4,013,986,174        24,953,041        7/02/24        248         

Japanese Yen

     BOFA        Sell        97,825,750        625,385        7/02/24        17,242         

Japanese Yen

     UBSW        Sell        195,651,500        1,250,771        7/02/24        34,487         

Japanese Yen

     SSBT        Sell        195,651,500        1,250,771        7/02/24        34,487         

Japanese Yen

     BOFA        Sell        1,956,515,000        12,503,211        7/02/24        340,368         

Japanese Yen

     UBSW        Sell        3,913,030,000        25,005,288        7/02/24        679,601         

Japanese Yen

     SSBT        Sell        3,913,030,000        25,006,534        7/02/24        680,847         

Japanese Yen

     UBSW        Buy        4,229,380,000        26,415,613        8/02/24               (973

Japanese Yen

     SSBT        Buy        4,229,380,000        26,415,926        8/02/24               (660

Japanese Yen

     BOFA        Buy        2,114,690,000        13,208,227        8/02/24               (66
                 

 

 

 

Total Forward Exchange Contracts

                   $ 1,787,280       $ (15,127
                 

 

 

 

Net unrealized appreciation (depreciation)

 

                $ 1,772,153  
                 

 

 

 

aMay be comprised of multiple contracts with the same counterparty, currency and settlement date.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Index Contracts

              

Nikkei 225 Mini

     Long        19        $467,500        9/12/24        $4,771  

*As of period end.

Abbreviations

Selected Portfolio

 

BOFA       Bank of America Corp.
REIT       Real Estate Investment Trust
SSBT       State Street Bank & Trust Co.
UBSW       UBS AG


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Latin America ETF    Industry      Shares        Value  

Common Stocks 79.5%

            

Brazil 41.3%

            

Allos SA

   Real Estate Management & Development        40,500        $ 153,995  

Alupar Investimento SA, UNIT

   Electric Utilities        11,232          60,200  

Ambev SA

   Beverages        391,500          804,223  

a Atacadao SA

   Consumer Staples Distribution & Retail        45,900          74,538  

Auren Energia SA

   Independent Power Producers & Energy Traders        32,400          71,981  

B3 SA - Brasil Bolsa Balcao

   Capital Markets        499,500          920,862  

Banco Bradesco SA

   Banks        135,000          271,971  

Banco BTG Pactual SA

   Capital Markets        114,600          637,738  

Banco do Brasil SA

   Banks        153,900          740,068  

Banco Santander Brasil SA

   Banks        32,400          160,179  

BB Seguridade Participacoes SA

   Insurance        62,100          368,165  

Bradespar SA

   Metals & Mining        2,700          8,725  

a BRF SA

   Food Products        59,400          242,436  

Caixa Seguridade Participacoes SA

   Insurance        40,500          104,341  

CCR SA

   Transportation Infrastructure        99,900          209,352  

Centrais Eletricas Brasileiras SA

   Electric Utilities        118,800          766,769  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

   Water Utilities        30,400          410,317  

Cia Energetica de Minas Gerais

   Electric Utilities        7,020          15,444  

Cia Paranaense de Energia - Copel

   Electric Utilities        70,200          104,773  

Cia Siderurgica Nacional SA

   Metals & Mining        56,700          131,786  

Cielo SA

   Financial Services        102,600          103,996  

Cosan SA

   Oil, Gas & Consumable Fuels        108,000          263,270  

CPFL Energia SA

   Electric Utilities        16,200          95,460  

CSN Mineracao SA

   Metals & Mining        45,900          42,888  

Dexco SA

   Paper & Forest Products        32,400          38,265  

a Diagnosticos da America SA

   Health Care Providers & Services        24,300          12,118  

a Embraer SA

   Aerospace & Defense        64,800          421,737  

Energisa SA

   Electric Utilities        26,000          213,544  

a Eneva SA

   Independent Power Producers & Energy Traders        51,300          117,295  

Engie Brasil Energia SA

   Independent Power Producers & Energy Traders        16,200          129,175  

Equatorial Energia SA

   Electric Utilities        79,700          440,366  

a Equatorial Energia SA

   Electric Utilities        1,235          6,913  

b GPS Participacoes e Empreendimentos SA

   Commercial Services & Supplies        37,800          117,324  

Grupo Mateus SA

   Consumer Staples Distribution & Retail        35,100          43,792  

a,b Hapvida Participacoes e Investimentos SA

   Health Care Providers & Services        423,900          292,295  

Hypera SA

   Pharmaceuticals        36,000          186,013  

Intelbras SA Industria de Telecomunicacao Eletronica Brasileira

   Communications Equipment        8,100          33,672  

Itau Unibanco Holding SA

   Banks        40,500          204,817  

Klabin SA

   Containers & Packaging        81,000          312,657  

Localiza Rent a Car SA

   Ground Transportation        75,479          570,735  

Lojas Renner SA

   Specialty Retail        86,400          194,128  

M Dias Branco SA

   Food Products        10,800          57,029  

a Magazine Luiza SA

   Broadline Retail        30,510          66,189  

Multiplan Empreendimentos Imobiliarios SA

   Real Estate Management & Development        24,300          98,610  

Natura & Co. Holding SA

   Personal Care Products        86,400          241,726  

Neoenergia SA

   Electric Utilities        21,600          72,214  

Petroleo Brasileiro SA

   Oil, Gas & Consumable Fuels        332,100           2,414,316  

Porto Seguro SA

   Insurance        16,200          90,268  

PRIO SA

   Oil, Gas & Consumable Fuels        60,600          477,429  

Raia Drogasil SA

   Consumer Staples Distribution & Retail        99,900          461,870  

b Rede D’Or Sao Luiz SA

   Health Care Providers & Services        70,200          343,768  

Rumo SA

   Ground Transportation        113,400          423,021  

Sao Martinho SA

   Food Products        14,200          83,674  

a Sendas Distribuidora SA

   Consumer Staples Distribution & Retail        121,500          226,181  

SLC Agricola SA

   Food Products        17,800          55,921  

Smartfit Escola de Ginastica e Danca SA

   Hotels, Restaurants & Leisure        10,800          41,999  

Suzano SA

   Paper & Forest Products        62,100          637,385  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Telefonica Brasil SA

   Diversified Telecommunication Services        38,800          316,718  

TIM SA

   Wireless Telecommunication Services        72,900          208,419  

TOTVS SA

   Software        40,500          221,879  

Transmissora Alianca de Energia Eletrica SA

   Electric Utilities        18,900          116,474  

Ultrapar Participacoes SA

   Oil, Gas & Consumable Fuels        75,600          293,991  

Usinas Siderurgicas de Minas Gerais SA Usiminas

   Metals & Mining        13,500          18,545  

Vale SA

   Metals & Mining        347,770          3,895,660  

Vamos Locacao de Caminhoes Maquinas e Equipamentos SA

   Ground Transportation        35,100          47,837  

Vibra Energia SA

   Specialty Retail        99,900          375,899  

WEG SA

   Electrical Equipment        132,300          1,004,913  
            

 

 

 
               22,390,258  
            

 

 

 

Chile 5.5%

            

Aguas Andinas SA, Class A

   Water Utilities        250,668          68,249  

Banco de Chile

   Banks        3,919,617          436,051  

Banco de Credito e Inversiones SA

   Banks        8,505          238,591  

Banco Itau Chile SA

   Banks        6,696          73,421  

Banco Santander Chile

   Banks        5,555,655          260,148  

Cencosud SA

   Consumer Staples Distribution & Retail        118,773          223,346  

Cencosud Shopping SA

   Real Estate Management & Development        43,308          65,380  

Cia Cervecerias Unidas SA

   Beverages        12,042          68,698  

Cia Sud Americana de Vapores SA

   Marine Transportation        1,562,517          98,923  

Colbun SA

   Independent Power Producers & Energy Traders        649,782          83,838  

Empresas CMPC SA

   Paper & Forest Products        107,190          200,997  

Empresas Copec SA

   Oil, Gas & Consumable Fuels        43,767          336,161  

Enel Americas SA

   Electric Utilities        1,700,028          157,769  

Enel Chile SA

   Electric Utilities        2,220,048          124,888  

a Falabella SA

   Broadline Retail        70,956          218,072  

Latam Airlines Group SA

   Passenger Airlines        15,133,419          205,857  

Plaza SA

   Real Estate Management & Development        27,216          39,498  

Quinenco SA

   Industrial Conglomerates        23,760          77,654  

Sociedad de Inversiones Oro Blanco SA

   Capital Markets        4,490,937          27,609  
            

 

 

 
               3,005,150  
            

 

 

 

Colombia 0.8%

            

Ecopetrol SA

   Oil, Gas & Consumable Fuels        425,034          237,945  

Interconexion Electrica SA ESP

   Electric Utilities        39,420          173,122  
            

 

 

 
               411,067  
            

 

 

 

Mexico 30.4%

            

Alfa SAB de CV, Class A

   Industrial Conglomerates        324,621          189,779  

a Alpek SAB de CV

   Chemicals        34,236          24,846  

Alsea SAB de CV

   Hotels, Restaurants & Leisure        46,170          160,587  

America Movil SAB de CV

   Wireless Telecommunication Services        2,018,466          1,718,712  

Arca Continental SAB de CV

   Beverages        39,717          389,687  

b Banco del Bajio SA

   Banks        63,639          193,191  

Becle SAB de CV

   Beverages        48,222          87,211  

Cemex SAB de CV

   Construction Materials        1,361,610          871,973  

Coca-Cola Femsa SAB de CV

   Beverages        47,250          405,354  

Concentradora Fibra Danhos SA de CV

   Diversified REITs        22,113          23,932  

Corp. Inmobiliaria Vesta SAB de CV

   Real Estate Management & Development        76,761          229,752  

El Puerto de Liverpool SAB de CV, Class C1

   Broadline Retail        17,739          127,221  

Fibra Uno Administracion SA de CV

   Diversified REITs        256,095          314,841  

Fomento Economico Mexicano SAB de CV

   Beverages        163,647          1,761,540  

Gruma SAB de CV, Class B

   Food Products        16,065          293,256  

Grupo Aeroportuario del Centro Norte SAB de CV

   Transportation Infrastructure        24,732          209,861  

Grupo Aeroportuario del Pacifico SAB de CV, Class B

   Transportation Infrastructure        35,262          551,873  

Grupo Aeroportuario del Sureste SAB de CV, Class B

   Transportation Infrastructure        17,928          540,031  

Grupo Bimbo SAB de CV

   Food Products        194,562          687,466  

Grupo Carso SAB de CV

   Industrial Conglomerates        40,554          278,913  

Grupo Comercial Chedraui SA de CV

   Consumer Staples Distribution & Retail        22,734          157,984  

Grupo Elektra SAB de CV

   Banks        5,400          313,106  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Grupo Financiero Banorte SAB de CV, Class O

   Banks        259,011          2,019,338  

a Grupo Financiero Inbursa SAB de CV, Class O

   Banks        177,093          421,002  

Grupo Mexico SAB de CV, Class B

   Metals & Mining        283,338          1,524,885  

Grupo Televisa SAB

   Media        214,353          117,226  

a Industrias Penoles SAB de CV

   Metals & Mining        11,097          144,284  

Kimberly-Clark de Mexico SAB de CV, Class A

   Household Products        74,358          128,705  

Megacable Holdings SAB de CV

   Media        27,297          68,640  

a,c Ollamani SAB

   Hotels, Restaurants & Leisure        9,099          20,606  

Operadora De Sites Mexicanos SAB de CV

   Diversified Telecommunication Services        112,131          101,121  

Orbia Advance Corp. SAB de CV

   Chemicals        86,751          121,121  

Prologis Property Mexico SA de CV

   Industrial REITs        62,343          203,815  

Promotora y Operadora de Infraestructura SAB de CV

   Transportation Infrastructure        19,656          181,946  

Qualitas Controladora SAB de CV

   Insurance        14,850          151,005  

Regional SAB de CV

   Banks        21,168          158,041  

Wal-Mart de Mexico SAB de CV, Class V

   Consumer Staples Distribution & Retail        463,752          1,579,022  
            

 

 

 
               16,471,873  
            

 

 

 

United States 1.5%

            

GCC SAB de CV

   Construction Materials        14,580          136,690  

a JBS SA

   Food Products        121,500          705,885  
            

 

 

 
               842,575  
            

 

 

 

Total Common Stocks (Cost $39,477,284)

               43,120,923  
            

 

 

 

Preferred Stocks 18.9%

            

Brazil 17.2%

            

a Alpargatas SA, pfd.

   Textiles, Apparel & Luxury Goods        18,900          31,032  

d Banco Bradesco SA, 9.006%, pfd.

   Banks        464,400          1,035,075  

d Bradespar SA, 15.084%, pfd.

   Metals & Mining        21,600          71,981  

a Braskem SA, Class A, pfd.

   Chemicals        16,200          52,090  

d Centrais Eletricas Brasileiras SA, Class B, 4.546%, pfd.

   Electric Utilities        24,300          175,432  

d Cia Energetica de Minas Gerais, 9.565%, pfd.

   Electric Utilities        148,230          263,932  

d Cia Paranaense de Energia - Copel, Class B, Class B, 3.548%, pfd.

   Electric Utilities        118,800          198,911  

d CTEEP-Cia de Transmissao de Energia Eletrica Paulista, 7.133%, pfd.

   Electric Utilities        16,200          76,589  

d Gerdau SA, 6.055%, pfd.

   Metals & Mining        117,180          387,756  

d Itau Unibanco Holding SA, 6.674%, pfd.

   Banks        434,700          2,536,458  

d Itausa SA, 7.78%, pfd.

   Banks        486,000          859,225  

d Metalurgica Gerdau SA, 13.427%, pfd.

   Metals & Mining        59,400          113,893  

d Petroleo Brasileiro SA, 13.798%, pfd.

   Oil, Gas & Consumable Fuels        502,200          3,440,252  

d Unipar Carbocloro SA, Class B, 5.675%, pfd.

   Chemicals        4,694          41,232  

d Usinas Siderurgicas de Minas Gerais SA Usiminas, Class A, 3.578%, pfd.

   Metals & Mining        43,200          61,520  
            

 

 

 
               9,345,378  
            

 

 

 

Chile 1.1%

            

d Embotelladora Andina SA, Class B, 6.276%, pfd.

   Beverages        33,642          94,946  

d Sociedad Quimica y Minera de Chile SA, Class B, 0.002%, pfd.

   Electrical Equipment        12,231          492,739  
            

 

 

 
               587,685  
            

 

 

 

Colombia 0.6%

            

d Bancolombia SA, 10.376%, pfd.

   Banks        40,311          331,503  
            

 

 

 

Total Preferred Stocks (Cost $9,387,645)

               10,264,566  
            

 

 

 

Rights 0.0%

            

Brazil 0.0%

            

a Localiza Rent a Car SA

   Ground Transportation        762          1,235  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Chile 0.0%

            

a Plaza SA

   Real Estate Management & Development        3,193          67  
            

 

 

 

Total Rights (Cost $0)

               1,302  
            

 

 

 

Total Investments before Short-Term Investments (Cost $48,864,929)

               53,386,791  
            

 

 

 

Short-Term Investments 0.1%

            

Investments from Cash Collateral Received for Loaned Securities 0.1%

            

United States 0.1%

            

e,f Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        19,440          19,440  
            

 

 

 

Money Market Funds 0.0%

            

United States 0.0%

            

e,f Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        19,198          19,198  
            

 

 

 

Total Short-Term Investments (Cost $38,638)

               38,638  
            

 

 

 

Total Investments (Cost $48,903,567) 98.5%

            53,425,429  

Other Assets, less Liabilities 1.5%

               800,029  
            

 

 

 

Net Assets 100.0%

             $ 54,225,458  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $946,578, representing 1.7% of net assets.

cA portion or all of the security is on loan at June 30, 2024.

dVariable rate security. The rate shown represents the yield at period end.

eThe rate shown is the annualized seven-day effective yield at period end.

fSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Equity Contracts

                 

Bovespa Index

     Long        25        $564,417        8/14/24                   $ 9,704  

Index Contracts

                 

Mex Bolsa Index

     Long        11        320,943        9/20/24           1,219  
                 

 

 

 

Total Futures Contracts

                    $10,923  
                 

 

 

 

*As of period end.

Abbreviations

Selected Portfolio

 

REIT      Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Mexico ETF    Industry      Shares        Value  

Common Stocks 99.3%

            

Mexico 98.4%

            

Alfa SAB de CV, Class A

   Industrial Conglomerates        1,701,150        $ 994,520  

a,b Alpek SAB de CV

   Chemicals        175,560          127,406  

Alsea SAB de CV

   Hotels, Restaurants & Leisure        242,330          842,864  

America Movil SAB de CV

   Wireless Telecommunication Services        8,793,290          7,487,437  

Arca Continental SAB de CV

   Beverages        207,625          2,037,133  

c Banco del Bajio SA

   Banks        333,410          1,012,146  

Becle SAB de CV

   Beverages        253,550          458,555  

Cemex SAB de CV

   Construction Materials        5,288,195          3,386,550  

Coca-Cola Femsa SAB de CV

   Beverages        247,225          2,120,926  

Concentradora Fibra Danhos SA de CV

   Diversified REITs        114,895          124,348  

Corp. Inmobiliaria Vesta SAB de CV

   Real Estate Management & Development        402,270          1,204,027  

El Puerto de Liverpool SAB de CV, Class C1

   Broadline Retail        92,950          666,619  

Fibra Uno Administracion SA de CV

   Diversified REITs        1,340,790          1,648,353  

Fomento Economico Mexicano SAB de CV

   Beverages        712,580          7,670,401  

Gruma SAB de CV, Class B

   Food Products        84,095          1,535,100  

Grupo Aeroportuario del Centro Norte SAB de CV

   Transportation Infrastructure        129,525          1,099,073  

Grupo Aeroportuario del Pacifico SAB de CV, Class B

   Transportation Infrastructure        156,750          2,453,240  

Grupo Aeroportuario del Sureste SAB de CV, Class B

   Transportation Infrastructure        82,005          2,470,173  

Grupo Bimbo SAB de CV

   Food Products        810,810          2,864,917  

Grupo Carso SAB de CV

   Industrial Conglomerates        212,520          1,461,623  

Grupo Comercial Chedraui SA de CV

   Consumer Staples Distribution & Retail        119,570          830,919  

Grupo Elektra SAB de CV

   Banks        28,346          1,643,574  

Grupo Financiero Banorte SAB de CV, Class O

   Banks        1,122,770          8,753,498  

a Grupo Financiero Inbursa SAB de CV, Class O

   Banks        928,070          2,206,295  

Grupo Mexico SAB de CV, Class B

   Metals & Mining        1,246,355          6,707,708  

Grupo Televisa SAB

   Media        1,129,480          617,692  

a Industrias Penoles SAB de CV

   Metals & Mining        58,355          758,738  

Kimberly-Clark de Mexico SAB de CV, Class A

   Household Products        391,325          677,336  

Megacable Holdings SAB de CV

   Media        140,910          354,327  

a,b Ollamani SAB

   Hotels, Restaurants & Leisure        47,685          107,989  

Operadora De Sites Mexicanos SAB de CV

   Diversified Telecommunication Services        589,435          531,557  

Orbia Advance Corp. SAB de CV

   Chemicals        456,445          637,283  

Prologis Property Mexico SA de CV

   Industrial REITs        326,645          1,067,886  

Promotora y Operadora de Infraestructura SAB de CV

   Transportation Infrastructure        102,905          952,542  

Qualitas Controladora SAB de CV

   Insurance        78,100          794,176  

Regional SAB de CV

   Banks        111,265          830,707  

Wal-Mart de Mexico SAB de CV, Class V

   Consumer Staples Distribution & Retail        2,027,410          6,903,095  
            

 

 

 
               76,040,733  
            

 

 

 

United States 0.9%

            

GCC SAB de CV

   Construction Materials        76,780          719,827  
            

 

 

 

Total Common Stocks (Cost $79,635,751)

               76,760,560  
            

 

 

 

Total Investments before Short-Term Investments (Cost $79,635,751)

               76,760,560  
            

 

 

 

Short-Term Investments 0.2%

            

Investments from Cash Collateral Received for Loaned Securities 0.2%

            

United States 0.2%

            

d,e Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        179,120          179,120  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Money Market Funds 0.0%

            

United States 0.0%

            

d,e Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        97          97  
            

 

 

 

Total Short-Term Investments (Cost $179,217)

            179,217  
            

 

 

 

Total Investments (Cost $79,814,968) 99.5%

               76,939,777  

Other Assets, less Liabilities 0.5%

               387,874  
            

 

 

 

Net Assets 100.0%

             $ 77,327,651  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bA portion or all of the security is on loan at June 30, 2024.

cSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $1,012,146, representing 1.3% of net assets.

dThe rate shown is the annualized seven-day effective yield at period end.

eSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description

 

  

Type

 

    

Number of
Contracts

 

    

Notional
Amount*

 

    

Expiration
Date

 

    

Value/Unrealized
Appreciation
(Depreciation)

 

 

Index Contracts

              

Mex Bolsa Index

     Long        16        $466,827        9/20/24        $(909

*As of period end.

Abbreviations

Selected Portfolio

 

REIT   – Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Russia ETF    Industry      Shares        Value  

Common Stocks 0.0%

            

a Russia 0.0%

            

b Aeroflot PJSC

   Passenger Airlines        174,496        $  

Alrosa PJSC

   Metals & Mining        361,232           

b Credit Bank of Moscow PJSC

   Banks        2,127,840           

b Federal Grid Co.-Rosseti PJSC

   Electric Utilities        80,095,477           

b Gazprom PJSC

   Oil, Gas & Consumable Fuels        981,872           

GMK Norilskiy Nickel PAO

   Metals & Mining        288,800           

Inter RAO UES PJSC

   Electric Utilities        6,229,280           

LUKOIL PJSC

   Oil, Gas & Consumable Fuels        36,048           

b M.Video PJSC

   Specialty Retail        8,000           

Magnit PJSC

   Consumer Staples Distribution & Retail        8,112           

Magnitogorsk Iron & Steel Works PJSC

   Metals & Mining        370,640           

b Mobile TeleSystems PJSC

   Wireless Telecommunication Services        147,584           

Moscow Exchange MICEX-Rates PJSC

   Capital Markets        253,248           

Mosenergo PJSC

   Electric Utilities        1,418,704           

Novatek PJSC

   Oil, Gas & Consumable Fuels        47,472           

Novolipetsk Steel PJSC

   Metals & Mining        200,944           

PhosAgro PJSC

   Chemicals        6,208           

b Polyus PJSC

   Metals & Mining        3,504           

b Raspadskaya OJSC

   Metals & Mining        10,720           

Rosneft Oil Co. PJSC

   Oil, Gas & Consumable Fuels        92,320           

Rostelecom PJSC

   Diversified Telecommunication Services        165,056           

RusHydro PJSC

   Electric Utilities        20,149,712           

b Sberbank of Russia PJSC

   Banks        959,968           

b,c Segezha Group PJSC

   Paper & Forest Products        666,096           

Severstal PAO

   Metals & Mining        27,744           

Sistema AFK PAO

   Wireless Telecommunication Services        499,664           

Sovcomflot PJSC

   Oil, Gas & Consumable Fuels        72,128           

Surgutneftegas PJSC

   Oil, Gas & Consumable Fuels        634,480           

Tatneft PJSC

   Oil, Gas & Consumable Fuels        105,552           

b Unipro PJSC

   Independent Power Producers & Energy Traders        1,811,376           

b United Co. RUSAL International PJSC

   Metals & Mining        447,600           

b VTB Bank PJSC

   Banks        886,353,216           
            

 

 

 

Total Common Stocks (Cost $21,363,101)

                
            

 

 

 

Preferred Stocks 0.0%

            

a Russia 0.0%

            

Bashneft PJSC, pfd.

   Oil, Gas & Consumable Fuels        3,392           

Surgutneftegas PJSC, pfd.

   Oil, Gas & Consumable Fuels        682,080           

Tatneft PJSC, pfd.

   Oil, Gas & Consumable Fuels        10,416           

Transneft PJSC, pfd.

   Oil, Gas & Consumable Fuels        27,600           
            

 

 

 

Total Preferred Stocks (Cost $1,113,686)

                
            

 

 

 

Total Investments (Cost $22,476,787) 0.0%

             

Other Assets, less Liabilities 100.0%

               4,782  
            

 

 

 

Net Assets 100.0%

             $ 4,782  
            

 

 

 

aFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

bNon-income producing.

cSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $0, representing 0.0% of net assets.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Saudi Arabia ETF    Industry      Shares        Value  

Common Stocks 99.9%

            

Saudi Arabia 99.9%

            

Abdullah Al Othaim Markets Co.

   Consumer Staples Distribution & Retail        24,090        $ 72,946  

ACWA Power Co.

   Independent Power Producers & Energy Traders        11,390           1,075,365  

a Ades Holding Co.

   Energy Equipment & Services        23,750          127,372  

a Advanced Petrochemical Co.

   Chemicals        6,920          71,107  

Al Rajhi Bank

   Banks        101,730          2,209,989  

Aldrees Petroleum & Transport Services Co.

   Oil, Gas & Consumable Fuels        2,680          87,295  

Alinma Bank

   Banks        66,680          552,764  

Almarai Co. JSC

   Food Products        13,300          201,010  

Arab National Bank

   Banks        48,490          261,864  

b Arabian Centres Co.

   Real Estate Management & Development        9,910          53,253  

a Arabian Contracting Services Co.

   Media        820          49,835  

Arabian Drilling Co.

   Energy Equipment & Services        1,460          52,460  

Arabian Internet & Communications Services Co.

   IT Services        1,360          105,998  

Astra Industrial Group

   Industrial Conglomerates        1,870          77,858  

Bank AlBilad

   Banks        33,460          290,755  

a Bank Al-Jazira

   Banks        27,440          120,684  

Banque Saudi Fransi

   Banks        32,050          303,277  

BinDawood Holding Co.

   Consumer Staples Distribution & Retail        16,040          31,639  

Bupa Arabia for Cooperative Insurance Co.

   Insurance        4,050          277,442  

Catrion Catering Holding Co.

   Commercial Services & Supplies        2,190          73,086  

Co. for Cooperative Insurance

   Insurance        4,020          154,945  

Dallah Healthcare Co.

   Health Care Providers & Services        2,050          86,883  

a Dar Al Arkan Real Estate Development Co.

   Real Estate Management & Development        28,910          90,931  

Dr Sulaiman Al Habib Medical Services Group Co.

   Health Care Providers & Services        4,620          355,404  

Elm Co.

   IT Services        1,400          319,885  

a Emaar Economic City

   Real Estate Management & Development        19,970          34,440  

Etihad Etisalat Co.

   Wireless Telecommunication Services        20,610          293,361  

Jarir Marketing Co.

   Specialty Retail        32,120          108,562  

Leejam Sports Co. JSC

   Hotels, Restaurants & Leisure        1,380          83,353  

Mobile Telecommunications Co. Saudi Arabia

   Wireless Telecommunication Services        24,060          75,163  

Mouwasat Medical Services Co.

   Health Care Providers & Services        5,190          167,669  

Nahdi Medical Co.

   Consumer Staples Distribution & Retail        2,840          99,774  

a National Industrialization Co., Class C

   Chemicals        17,900          54,488  

Power & Water Utility Co. for Jubail & Yanbu

   Multi-Utilities        4,100          66,337  

Qassim Cement Co.

   Construction Materials        2,950          44,664  

a Rabigh Refining & Petrochemical Co.

   Oil, Gas & Consumable Fuels        22,820          40,937  

Riyad Bank

   Banks        80,170          556,677  

Riyadh Cables Group Co.

   Electrical Equipment        3,300          88,666  

SABIC Agri-Nutrients Co.

   Chemicals        12,740          383,056  

Sahara International Petrochemical Co.

   Chemicals        19,410          151,075  

SAL Saudi Logistics Services

   Air Freight & Logistics        1,310          105,384  

a Saudi Arabian Mining Co.

   Metals & Mining        64,690          742,324  

b Saudi Arabian Oil Co.

   Oil, Gas & Consumable Fuels        233,830          1,726,488  

Saudi Aramco Base Oil Co.

   Chemicals        2,760          96,669  

Saudi Awwal Bank

   Banks        51,780          533,452  

Saudi Basic Industries Corp.

   Chemicals        47,720          934,913  

Saudi Cement Co.

   Construction Materials        4,100          49,179  

Saudi Electricity Co.

   Electric Utilities        42,700          187,345  

Saudi Industrial Investment Group

   Chemicals        20,200          113,395  

Saudi Investment Bank

   Banks        33,460          114,518  

a Saudi Kayan Petrochemical Co.

   Chemicals        40,150          86,794  

Saudi National Bank

   Banks        152,350          1,490,363  

a Saudi Research & Media Group

   Media        2,140          118,078  

Saudi Tadawul Group Holding Co.

   Capital Markets        2,620          174,033  

Saudi Telecom Co.

   Diversified Telecommunication Services        95,160          951,194  

Saudia Dairy & Foodstuff Co.

   Food Products        840          78,456  

a Savola Group

   Food Products        14,290          178,073  

a Seera Group Holding

   Hotels, Restaurants & Leisure        7,950          53,931  

Southern Province Cement Co.

   Construction Materials        3,770          36,528  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

United Electronics Co.

   Specialty Retail        2,140          53,905  

Yamama Cement Co.

   Construction Materials        5,420          48,181  

Yanbu National Petrochemical Co.

   Chemicals        15,060          147,124  
            

 

 

 

Total Common Stocks (Cost $15,692,626)

               17,372,596  
            

 

 

 

Total Investments (Cost $15,692,626) 99.9%

               17,372,596  

Other Assets, less Liabilities 0.1%

               9,586  
            

 

 

 

Net Assets 100.0%

             $ 17,382,182  
            

 

 

 

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $1,779,741, representing 10.2% of net assets.

At June 30, 2024, the Fund had the following forward exchange contracts outstanding.

Forward Exchange Contracts

 

Currency    Counterpartya      Type      Quantity      Contract
Amount
     Settlement
Date
     Unrealized
Appreciation
     Unrealized
Depreciation
 

 

 

OTC Forward Exchange Contracts

                    

South African Rand

     SSBT        Sell        82,534        $21,988        7/01/24        $—        $(11
                 

 

 

 

Net unrealized appreciation (depreciation)

 

                 $(11
                 

 

 

 

aMay be comprised of multiple contracts with the same counterparty, currency and settlement date.

Abbreviations

Selected Portfolio

 

SSBT        State Street Bank & Trust Co.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE South Korea ETF    Industry      Shares        Value  

Common Stocks 96.0%

            

South Korea 96.0%

            

a Alteogen, Inc., Class A

   Biotechnology        10,148        $  2,067,936  

Amorepacific Corp., Class H

   Personal Care Products        7,052          857,101  

AMOREPACIFIC Group, Class A

   Personal Care Products        6,106          143,501  

BGF retail Co. Ltd.

   Consumer Staples Distribution & Retail        1,892          141,986  

BNK Financial Group, Inc., Class H

   Banks        66,134          406,942  

a Celltrion Pharm, Inc., Class A

   Pharmaceuticals        4,300          277,399  

Celltrion, Inc., Class A

   Biotechnology        34,916          4,421,256  

Cheil Worldwide, Inc., Class A

   Media        16,684          223,019  

CJ CheilJedang Corp., Class A

   Food Products        1,892          529,870  

CJ Corp., Class A

   Industrial Conglomerates        3,096          273,276  

a CJ ENM Co. Ltd., Class A

   Entertainment        2,494          152,557  

CJ Logistics Corp., Class A

   Air Freight & Logistics        1,978          136,657  

a CosmoAM&T Co. Ltd.

   Technology Hardware, Storage & Peripherals        5,418          567,581  

Coway Co. Ltd.

   Household Durables        13,588          633,745  

a Daewoo Engineering & Construction Co. Ltd., Class A

   Construction & Engineering        48,590          131,315  

DB Insurance Co. Ltd., Class A

   Insurance        10,750          894,206  

DGB Financial Group, Inc., Class A

   Banks        36,378          211,952  

DL E&C Co. Ltd., Class A

   Construction & Engineering        6,450          151,820  

DL Holdings Co. Ltd., Class A

   Chemicals        2,580          110,772  

Dongsuh Cos., Inc., Class A

   Consumer Staples Distribution & Retail        7,482          104,362  

Doosan Bobcat, Inc., Class A

   Machinery        11,868          442,302  

a Doosan Enerbility Co. Ltd., Class H

   Electrical Equipment        102,340          1,494,394  

a Ecopro BM Co. Ltd.

   Electrical Equipment        11,008          1,463,468  

a Ecopro Co. Ltd.

   Electrical Equipment        23,650          1,548,031  

a Ecopro Materials Co. Ltd.

   Electrical Equipment        2,838          187,413  

E-MART, Inc., Class A

   Consumer Staples Distribution & Retail        4,644          190,618  

F&F Co. Ltd.

   Textiles, Apparel & Luxury Goods        3,784          171,538  

Fila Holdings Corp.

   Textiles, Apparel & Luxury Goods        12,384          360,769  

Green Cross Corp.

   Biotechnology        1,290          107,117  

a GS Engineering & Construction Corp.

   Construction & Engineering        15,222          166,209  

GS Holdings Corp.

   Industrial Conglomerates        10,836          369,203  

GS Retail Co. Ltd.

   Consumer Staples Distribution & Retail        10,406          157,621  

Hana Financial Group, Inc.

   Banks        63,382          2,794,978  

Hanjin Kal Corp.

   Passenger Airlines        7,654          359,207  

Hankook Tire & Technology Co. Ltd.

   Automobile Components        17,716          581,739  

Hanmi Pharm Co. Ltd.

   Pharmaceuticals        1,720          338,002  

Hanmi Science Co. Ltd.

   Pharmaceuticals        5,848          131,915  

Hanmi Semiconductor Co. Ltd.

   Semiconductors & Semiconductor Equipment        10,578          1,324,075  

Hanon Systems

   Automobile Components        38,786          133,278  

Hanwha Aerospace Co. Ltd.

   Aerospace & Defense        8,342          1,512,044  

Hanwha Corp.

   Industrial Conglomerates        10,922          213,044  

Hanwha Life Insurance Co. Ltd.

   Insurance        86,688          188,931  

a Hanwha Ocean Co. Ltd., Class A

   Machinery        21,672          480,988  

Hanwha Solutions Corp.

   Chemicals        24,940          500,068  

HD Hyundai Co. Ltd.

   Oil, Gas & Consumable Fuels        10,148          549,238  

a HD Hyundai Heavy Industries Co. Ltd.

   Machinery        5,160          583,663  

HD Hyundai Infracore Co. Ltd.

   Machinery        33,282          184,725  

a HD Korea Shipbuilding & Offshore Engineering Co. Ltd.

   Machinery        10,406          1,200,489  

Hite Jinro Co. Ltd.

   Beverages        7,396          114,177  

HL Mando Co. Ltd.

   Automobile Components        7,998          255,076  

a HLB, Inc.

   Health Care Equipment & Supplies        28,552          1,213,434  

HMM Co. Ltd.

   Marine Transportation        70,262          1,001,993  

Hotel Shilla Co. Ltd.

   Specialty Retail        7,482          291,344  

HYBE Co. Ltd.

   Entertainment        5,074          746,448  

Hyundai Autoever Corp.

   IT Services        1,634          195,154  

Hyundai Department Store Co. Ltd.

   Broadline Retail        3,268          115,620  

Hyundai Engineering & Construction Co. Ltd.

   Construction & Engineering        17,544          408,489  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Hyundai Glovis Co. Ltd.

   Air Freight & Logistics        4,472          711,491  

Hyundai Marine & Fire Insurance Co. Ltd.

   Insurance        14,018          351,341  

a Hyundai Mipo Dockyard Co. Ltd.

   Machinery        4,902          331,192  

Hyundai Mobis Co. Ltd.

   Automobile Components        16,254            2,969,765  

Hyundai Motor Co.

   Automobiles        32,078          6,874,689  

Hyundai Steel Co.

   Metals & Mining        20,210          426,517  

Hyundai Wia Corp.

   Automobile Components        3,784          159,167  

Industrial Bank of Korea

   Banks        65,532          667,460  

Kakao Corp.

   Interactive Media & Services        80,238          2,369,542  

a Kakao Games Corp.

   Entertainment        9,718          144,729  

KakaoBank Corp.

   Banks        51,858          764,778  

a Kakaopay Corp.

   Financial Services        6,708          131,090  

Kangwon Land, Inc.

   Hotels, Restaurants & Leisure        25,628          258,421  

KB Financial Group, Inc.

   Banks        81,270          4,634,722  

KCC Corp.

   Chemicals        1,032          231,291  

KEPCO Plant Service & Engineering Co. Ltd.

   Commercial Services & Supplies        5,160          142,261  

Kia Corp.

   Automobiles        59,942          5,630,585  

Korea Aerospace Industries Ltd.

   Aerospace & Defense        16,942          652,325  

Korea Electric Power Corp.

   Electric Utilities        61,490          874,217  

a Korea Gas Corp.

   Gas Utilities        6,192          234,815  

Korea Investment Holdings Co. Ltd.

   Capital Markets        9,202          467,955  

Korea Zinc Co. Ltd.

   Metals & Mining        2,580          965,274  

Korean Air Lines Co. Ltd.

   Passenger Airlines        44,548          752,445  

a Krafton, Inc.

   Entertainment        8,686          1,776,323  

KT&G Corp.

   Tobacco        24,080          1,542,939  

a Kum Yang Co. Ltd.

   Chemicals        8,170          510,440  

Kumho Petrochemical Co. Ltd.

   Chemicals        3,956          421,035  

a L&F Co. Ltd.

   Electrical Equipment        6,020          591,722  

LG Chem Ltd.

   Chemicals        11,352          2,849,340  

LG Corp.

   Industrial Conglomerates        21,156          1,238,775  

a LG Display Co. Ltd.

   Electronic Equipment, Instruments & Components        75,164          626,321  

LG Electronics, Inc.

   Household Durables        25,972          2,092,477  

a LG Energy Solution Ltd.

   Electrical Equipment        9,632          2,284,670  

LG H&H Co. Ltd.

   Personal Care Products        2,236          561,234  

LG Innotek Co. Ltd.

   Electronic Equipment, Instruments & Components        3,354          662,759  

LG Uplus Corp.

   Diversified Telecommunication Services        51,170          365,049  

Lotte Chemical Corp.

   Chemicals        4,386          365,473  

Lotte Chilsung Beverage Co. Ltd.

   Beverages        860          82,970  

Lotte Corp.

   Industrial Conglomerates        6,364          116,508  

Lotte Energy Materials Corp.

   Electronic Equipment, Instruments & Components        5,160          197,928  

LOTTE Fine Chemical Co. Ltd.

   Chemicals        3,440          111,210  

Lotte Shopping Co. Ltd.

   Broadline Retail        2,666          122,987  

LS Corp.

   Electrical Equipment        4,128          431,543  

Meritz Financial Group, Inc.

   Financial Services        22,102          1,270,082  

Mirae Asset Securities Co. Ltd.

   Capital Markets        64,242          341,628  

NAVER Corp.

   Interactive Media & Services        32,766          3,972,863  

NCSoft Corp.

   Entertainment        3,784          494,545  

a,b Netmarble Corp.

   Entertainment        5,246          204,657  

NH Investment & Securities Co. Ltd., Class C

   Capital Markets        32,680          301,278  

NongShim Co. Ltd.

   Food Products        774          274,963  

OCI Holdings Co. Ltd.

   Chemicals        3,698          237,757  

Orion Corp.

   Food Products        5,332          357,145  

Ottogi Corp.

   Food Products        344          108,211  

Pan Ocean Co. Ltd.

   Marine Transportation        58,652          182,582  

Paradise Co. Ltd.

   Hotels, Restaurants & Leisure        11,094          113,640  

a Pearl Abyss Corp.

   Entertainment        7,998          256,529  

Posco DX Co. Ltd.

   IT Services        12,728          354,609  

POSCO Future M Co. Ltd.

   Electrical Equipment        6,880          1,292,031  

POSCO Holdings, Inc.

   Metals & Mining        18,060          4,762,644  

Posco International Corp.

   Trading Companies & Distributors        11,008          523,010  

S-1 Corp.

   Commercial Services & Supplies        4,558          192,055  

a,b Samsung Biologics Co. Ltd.

   Life Sciences Tools & Services        4,300          2,271,050  

Samsung C&T Corp.

   Industrial Conglomerates        20,038          2,067,124  

Samsung Card Co. Ltd.

   Consumer Finance        7,224          201,002  

a Samsung E&A Co. Ltd.

   Construction & Engineering        37,926          665,393  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Samsung Electro-Mechanics Co. Ltd.

   Electronic Equipment, Instruments & Components        13,416          1,539,940  

Samsung Electronics Co. Ltd.

   Technology Hardware, Storage & Peripherals        563,644          33,372,311  

Samsung Fire & Marine Insurance Co. Ltd.

   Insurance        7,912          2,235,938  

a Samsung Heavy Industries Co. Ltd.

   Machinery        156,778          1,064,929  

Samsung Life Insurance Co. Ltd.

   Insurance        17,888          1,150,082  

Samsung SDI Co. Ltd.

   Electronic Equipment, Instruments & Components        12,642          3,251,194  

Samsung SDS Co. Ltd.

   IT Services        8,772          946,344  

Samsung Securities Co. Ltd.

   Capital Markets        15,222          440,128  

a SD Biosensor, Inc.

   Health Care Equipment & Supplies        8,600          61,540  

Seegene, Inc.

   Biotechnology        6,364          92,466  

Shinhan Financial Group Co. Ltd.

   Banks        119,970          4,196,553  

Shinsegae, Inc.

   Broadline Retail        1,634          186,251  

a SK Biopharmaceuticals Co. Ltd.

   Pharmaceuticals        6,794          382,517  

a SK Bioscience Co. Ltd.

   Biotechnology        5,762          220,182  

SK Chemicals Co. Ltd.

   Chemicals        2,408          85,369  

SK Hynix, Inc.

   Semiconductors & Semiconductor Equipment        130,376          22,400,235  

a,b SK IE Technology Co. Ltd.

   Electrical Equipment        6,192          198,378  

a SK Innovation Co. Ltd.

   Oil, Gas & Consumable Fuels        14,362          1,211,354  

SK Networks Co. Ltd.

   Trading Companies & Distributors        23,134          80,923  

a SK Square Co. Ltd.

   Industrial Conglomerates        22,274          1,618,162  

SK, Inc.

   Industrial Conglomerates        8,514          979,125  

a SKC Co. Ltd.

   Chemicals        4,472          547,751  

S-Oil Corp.

   Oil, Gas & Consumable Fuels        9,890          477,795  

Solus Advanced Materials Co. Ltd.

   Electronic Equipment, Instruments & Components        6,364          84,329  

a Wemade Co. Ltd.

   Entertainment        4,816          149,221  

Woori Financial Group, Inc.

   Banks        144,136          1,538,219  

Yuhan Corp.

   Pharmaceuticals        12,556          737,944  
            

 

 

 

Total Common Stocks (Cost $148,678,777)

            181,905,808  
            

 

 

 

Preferred Stocks 3.8%

            

South Korea 3.8%

            

c Amorepacific Corp., 1.951%, pfd.

  

Personal Care Products

       2,580          87,906  

c CJ CheilJedang Corp., 2.951%, pfd.

   Food Products        344          38,536  

c Hanwha Corp., 5.309%, pfd.

   Industrial Conglomerates        5,504          60,258  

c Hyundai Motor Co., 7.642%, pfd.

   Automobiles        8,428          1,121,692  

c Hyundai Motor Co., 7.664%, pfd.

   Automobiles        5,332          704,219  

c LG Chem Ltd., 1.473%, pfd.

   Chemicals        1,892          331,255  

c LG Electronics, Inc., 2.772%, pfd.

   Household Durables        4,128          146,047  

c LG H&H Co. Ltd., 2.328%, pfd.

   Personal Care Products        516          57,167  

c Samsung Electronics Co. Ltd., 1.704%, pfd.

   Technology Hardware, Storage & Peripherals        97,438          4,502,039  

c Samsung Fire & Marine Insurance Co. Ltd., 5.747%, pfd.

   Insurance        688          139,199  

c Samsung SDI Co. Ltd., 0.478%, pfd.

   Electronic Equipment, Instruments & Components        344          54,855  
            

 

 

 

Total Preferred Stocks (Cost $5,770,839)

               7,243,173  
            

 

 

 

Total Investments before Short-Term Investments (Cost $154,449,616)

               189,148,981  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Short-Term Investments 0.0%

            

Money Market Funds 0.0%

            

United States 0.0%

            

d,e Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        31,096          31,096  
            

 

 

 

Total Short-Term Investments (Cost $31,096)

            31,096  
            

 

 

 

Total Investments (Cost $154,480,712) 99.8%

            189,180,077  

Other Assets, less Liabilities 0.2%

               448,777  
            

 

 

 

Net Assets 100.0%

             $ 189,628,854  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $2,674,085, representing 1.4% of net assets.

cVariable rate security. The rate shown represents the yield at period end.

dThe rate shown is the annualized seven-day effective yield at period end.

eSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Index Contracts

              

Kospi 200 Mini

     Long        4        $280,676        9/12/24        $578  

*As of period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Switzerland ETF    Industry      Shares        Value  

Common Stocks 98.0%

            

Switzerland 95.1%

            

ABB Ltd.

   Electrical Equipment        45,101        $ 2,505,500  

Adecco Group AG

   Professional Services        6,120          203,092  

Alcon, Inc.

   Health Care Equipment & Supplies        17,357          1,549,498  

Avolta AG

   Specialty Retail        4,012          155,819  

Bachem Holding AG, Class B

   Life Sciences Tools & Services        1,207          110,747  

Baloise Holding AG

   Insurance        1,717          302,281  

Banque Cantonale Vaudoise

   Banks        1,088          115,447  

Barry Callebaut AG

   Food Products        134          218,313  

Belimo Holding AG

   Building Products        357          179,016  

BKW AG

   Electric Utilities        697          111,151  

Chocoladefabriken Lindt & Spruengli AG

   Food Products        80          933,897  

Cie Financiere Richemont SA, Class A

   Textiles, Apparel & Luxury Goods        15,232          2,377,351  

Clariant AG

   Chemicals        8,432          132,682  

DKSH Holding AG

   Trading Companies & Distributors        1,360          91,867  

Emmi AG

   Food Products        80          79,056  

EMS-Chemie Holding AG

   Chemicals        268          219,655  

Flughafen Zurich AG

   Transportation Infrastructure        731          161,640  

Geberit AG

   Building Products        1,269          749,594  

Georg Fischer AG

   Machinery        3,148          211,069  

Givaudan SA

   Chemicals        297          1,407,990  

Helvetia Holding AG

   Insurance        1,326          179,289  

Julius Baer Group Ltd.

   Capital Markets        7,735          432,113  

Kuehne & Nagel International AG

   Marine Transportation        1,921          552,400  

Logitech International SA

   Technology Hardware, Storage & Peripherals        5,882          568,956  

Lonza Group AG

   Life Sciences Tools & Services        2,680          1,462,577  

Nestle SA

   Food Products        88,213          9,003,891  

Novartis AG

   Pharmaceuticals        68,799          7,363,009  

Partners Group Holding AG

   Capital Markets        839          1,077,460  

PSP Swiss Property AG

   Real Estate Management & Development        1,734          222,491  

Roche Holding AG

   Pharmaceuticals        23,324          6,476,005  

Roche Holding AG

   Pharmaceuticals        1,258          383,308  

Sandoz Group AG

   Pharmaceuticals        16,473          596,518  

Schindler Holding AG, PC

   Machinery        1,547          388,730  

Schindler Holding AG

   Machinery        782          194,934  

SGS SA

   Professional Services        5,683          505,943  

SIG Group AG

   Containers & Packaging        12,444          227,803  

Sika AG

   Chemicals        5,389          1,542,456  

Sonova Holding AG

   Health Care Equipment & Supplies        1,819          561,935  

Straumann Holding AG

   Health Care Equipment & Supplies        4,066          503,612  

Swatch Group AG

   Textiles, Apparel & Luxury Goods        1,071          219,361  

Swatch Group AG

   Textiles, Apparel & Luxury Goods        1,989          81,233  

Swiss Life Holding AG

   Insurance        1,105          812,334  

Swiss Prime Site AG

   Real Estate Management & Development        2,924          277,237  

Swiss Re AG

   Insurance        11,067          1,373,214  

Swisscom AG

   Diversified Telecommunication Services        969          545,103  

Tecan Group AG

   Life Sciences Tools & Services        476          159,338  

Temenos AG

   Software        2,329          160,692  

UBS Group AG

   Capital Markets        109,276          3,216,504  

a VAT Group AG

   Machinery        969          549,308  

Zurich Insurance Group AG

   Insurance        4,267          2,275,005  
            

 

 

 
               53,728,424  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

United States 2.9%

            

Holcim AG, Class B

   Construction Materials           18,870          1,671,967  
            

 

 

 

Total Common Stocks (Cost $51,972,748)

            55,400,391  
            

 

 

 

Total Investments (Cost $51,972,748) 98.0%

            55,400,391  

Other Assets, less Liabilities 2.0%

               1,114,163  
            

 

 

 

Net Assets 100.0%

             $ 56,514,554  
            

 

 

 

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $549,308, representing 1.0% of net assets.

At June 30, 2024, the Fund had the following futures contracts outstanding.

 

Futures Contracts

 

     

Description

 

  

Type

 

    

Number of
Contracts

 

    

Notional
Amount*

 

    

Expiration
Date

 

    

Value/Unrealized
Appreciation
(Depreciation)

 

 

 

 

Equity Contracts

              

Swiss Mid Cap Future Index

     Long        8      $ 1,070,376        9/20/24        $(2,772)  

*As of period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE Taiwan ETF    Industry      Shares        Value  

Common Stocks 99.3%

            

China 0.9%

            

Airtac International Group, Class A

   Machinery        32,890        $ 1,001,659  

Silergy Corp.

   Semiconductors & Semiconductor Equipment        78,500          1,117,920  
            

 

 

 
                 2,119,579  
            

 

 

 

Taiwan 98.2%

            

Accton Technology Corp.

   Communications Equipment        126,470          2,163,613  

Acer, Inc., Class H

   Technology Hardware, Storage & Peripherals        687,000          992,123  

Advanced Energy Solution Holding Co. Ltd.

   Electrical Equipment        5,430          105,616  

Advantech Co. Ltd.

   Technology Hardware, Storage & Peripherals        109,898          1,253,403  

Alchip Technologies Ltd.

   Semiconductors & Semiconductor Equipment        18,282          1,383,484  

ASE Technology Holding Co. Ltd., Class A

   Semiconductors & Semiconductor Equipment        808,100          4,197,243  

Asia Cement Corp.

   Construction Materials        586,730          793,062  

Asia Vital Components Co. Ltd.

   Technology Hardware, Storage & Peripherals        67,884          1,600,766  

ASMedia Technology, Inc.

   Semiconductors & Semiconductor Equipment        9,100          628,331  

ASPEED Technology, Inc.

   Semiconductors & Semiconductor Equipment        7,290          1,087,607  

Asustek Computer, Inc.

   Technology Hardware, Storage & Peripherals        168,640          2,588,743  

AUO Corp., Class H

   Electronic Equipment, Instruments & Components        1,680,000          921,782  

Capital Securities Corp., Class A

   Capital Markets        480,000          371,376  

Catcher Technology Co. Ltd.

   Technology Hardware, Storage & Peripherals        145,310          1,039,160  

a Cathay Financial Holding Co. Ltd., Class A

   Insurance        2,205,000          4,010,141  

Chailease Holding Co. Ltd., Class A

   Financial Services        337,239          1,595,678  

Chang Hwa Commercial Bank Ltd., Class A

   Banks        1,627,633          925,661  

Cheng Shin Rubber Industry Co. Ltd., Class A

   Automobile Components        439,100          669,312  

Chicony Electronics Co. Ltd.

   Technology Hardware, Storage & Peripherals        140,960          743,004  

China Airlines Ltd., Class A

   Passenger Airlines        689,000          503,346  

a China Development Financial Holding Corp., Class A

   Insurance        3,771,000          1,755,224  

China Motor Corp., Class A

   Automobiles        61,110          233,579  

China Steel Corp., Class A

   Metals & Mining        2,830,000          2,015,104  

a Chunghwa Telecom Co. Ltd.

   Diversified Telecommunication Services        911,100          3,524,592  

Compal Electronics, Inc., Class H

   Technology Hardware, Storage & Peripherals        974,000          1,041,808  

CTBC Financial Holding Co. Ltd., Class A

   Banks        4,375,000          5,104,380  

Delta Electronics, Inc., Class A

   Electronic Equipment, Instruments & Components        517,950          6,186,694  

E Ink Holdings, Inc.

   Electronic Equipment, Instruments & Components        189,900          1,475,111  

E.Sun Financial Holding Co. Ltd., Class A

   Banks        3,567,000          3,139,123  

Eclat Textile Co. Ltd., Class A

   Textiles, Apparel & Luxury Goods        47,840          780,092  

Elite Material Co. Ltd.

   Electronic Equipment, Instruments & Components        72,590          1,062,844  

a eMemory Technology, Inc.

   Semiconductors & Semiconductor Equipment        15,798          1,251,510  

Ennostar, Inc., Class H

   Semiconductors & Semiconductor Equipment        168,040          225,062  

Eternal Materials Co. Ltd., Class H

   Chemicals        232,885          221,819  

Eva Airways Corp., Class H

   Passenger Airlines        647,000          760,848  

Evergreen Marine Corp. Taiwan Ltd.

   Marine Transportation        243,710          1,449,872  

Far Eastern International Bank

   Banks        536,000          274,266  

Far Eastern New Century Corp.

   Industrial Conglomerates        700,230          760,850  

Far EasTone Telecommunications Co. Ltd.

   Wireless Telecommunication Services        423,500          1,097,864  

Feng TAY Enterprise Co. Ltd.

   Textiles, Apparel & Luxury Goods        118,264          565,045  

First Financial Holding Co. Ltd.

   Banks        2,572,000          2,227,801  

a Formosa Chemicals & Fibre Corp.

   Chemicals        818,800          1,272,060  

a Formosa Petrochemical Corp.

   Oil, Gas & Consumable Fuels        327,360          653,882  

a Formosa Plastics Corp.

   Chemicals        445,140          788,976  

Formosa Sumco Technology Corp.

   Semiconductors & Semiconductor Equipment        15,140          81,203  

Formosa Taffeta Co. Ltd.

   Textiles, Apparel & Luxury Goods        240,000          166,453  

Foxconn Technology Co. Ltd.

   Electronic Equipment, Instruments & Components        264,590          581,516  

Fubon Financial Holding Co. Ltd.

   Insurance        1,855,100          4,534,606  

Genius Electronic Optical Co. Ltd.

   Electronic Equipment, Instruments & Components        20,450          417,302  

Giant Manufacturing Co. Ltd.

   Leisure Products        75,225          491,583  

Gigabyte Technology Co. Ltd.

   Technology Hardware, Storage & Peripherals        117,160          1,103,290  

Global Unichip Corp.

   Semiconductors & Semiconductor Equipment        21,170          1,047,358  

Globalwafers Co. Ltd.

   Semiconductors & Semiconductor Equipment        55,940          929,416  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Hiwin Technologies Corp.

   Machinery        69,289          454,928  

Hon Hai Precision Industry Co. Ltd.

   Electronic Equipment, Instruments & Components        2,859,100          18,860,022  

Hotai Motor Co. Ltd.

   Specialty Retail        77,975          1,495,013  

a HTC Corp.

   Technology Hardware, Storage & Peripherals        177,300          252,220  

Hua Nan Financial Holdings Co. Ltd., Class C

   Banks        2,434,000          1,980,722  

Innolux Corp.

   Electronic Equipment, Instruments & Components        2,026,000          896,170  

Inventec Corp.

   Technology Hardware, Storage & Peripherals        615,000          1,057,812  

Largan Precision Co. Ltd.

   Electronic Equipment, Instruments & Components        24,401          2,064,662  

Lite-On Technology Corp.

   Technology Hardware, Storage & Peripherals        500,200          1,634,363  

MediaTek, Inc.

   Semiconductors & Semiconductor Equipment        355,020          15,320,747  

Mega Financial Holding Co. Ltd.

   Banks        2,740,297          3,412,543  

Micro-Star International Co. Ltd.

   Technology Hardware, Storage & Peripherals        163,900          899,286  

momo.com, Inc.

   Broadline Retail        17,247          228,337  

a Nan Ya Plastics Corp.

   Chemicals        1,243,810          1,890,166  

a Nan Ya Printed Circuit Board Corp.

   Electronic Equipment, Instruments & Components        49,940          286,326  

a Nanya Technology Corp.

   Semiconductors & Semiconductor Equipment        277,590          596,397  

Nien Made Enterprise Co. Ltd.

   Household Durables        32,700          393,108  

Novatek Microelectronics Corp.

   Semiconductors & Semiconductor Equipment        137,630          2,570,898  

a Oneness Biotech Co. Ltd.

   Pharmaceuticals        84,484          427,088  

Pegatron Corp.

   Technology Hardware, Storage & Peripherals        489,795          1,577,719  

a PharmaEssentia Corp.

   Biotechnology        52,650          908,836  

Pou Chen Corp.

   Textiles, Apparel & Luxury Goods        533,000          575,035  

a Powerchip Semiconductor Manufacturing Corp.

   Semiconductors & Semiconductor Equipment        709,000          585,707  

Powertech Technology, Inc.

   Semiconductors & Semiconductor Equipment        162,300          940,536  

President Chain Store Corp.

   Consumer Staples Distribution & Retail        134,920          1,137,451  

Quanta Computer, Inc.

   Technology Hardware, Storage & Peripherals        635,740          6,114,109  

Realtek Semiconductor Corp.

   Semiconductors & Semiconductor Equipment        113,496          1,910,171  

Ruentex Development Co. Ltd.

   Real Estate Management & Development        369,710          496,875  

Shanghai Commercial & Savings Bank Ltd.

   Banks        894,000          1,269,013  

a Shin Kong Financial Holding Co. Ltd.

   Insurance        3,212,000          974,248  

Sino-American Silicon Products, Inc.

   Semiconductors & Semiconductor Equipment        121,750          816,258  

SinoPac Financial Holdings Co. Ltd.

   Banks        2,759,700          2,160,701  

Synnex Technology International Corp.

   Electronic Equipment, Instruments & Components        324,300          730,741  

Taishin Financial Holding Co. Ltd.

   Banks        2,838,000          1,649,008  

Taiwan Business Bank

   Banks        1,301,328          730,058  

Taiwan Cooperative Financial Holding Co. Ltd.

   Banks        2,539,150          2,034,983  

Taiwan Fertilizer Co. Ltd.

   Chemicals        176,946          350,712  

a Taiwan Glass Industry Corp.

   Building Products        308,000          183,709  

Taiwan High Speed Rail Corp.

   Transportation Infrastructure        499,000          467,599  

Taiwan Mobile Co. Ltd.

   Wireless Telecommunication Services        355,810          1,173,548  

Taiwan Secom Co. Ltd.

   Commercial Services & Supplies        65,200          264,285  

Taiwan Semiconductor Manufacturing Co. Ltd.

   Semiconductors & Semiconductor Equipment        1,641,360          48,874,243  

a Tatung Co. Ltd.

   Electrical Equipment        525,000          922,430  

TCC Group Holdings

   Construction Materials        1,591,618          1,677,892  

Teco Electric & Machinery Co. Ltd.

   Electrical Equipment        280,000          461,754  

Transcend Information, Inc.

   Technology Hardware, Storage & Peripherals        67,200          238,213  

U-Ming Marine Transport Corp.

   Marine Transportation        97,883          168,361  

Unimicron Technology Corp.

   Electronic Equipment, Instruments & Components        311,190          1,726,622  

Uni-President Enterprises Corp.

   Food Products        1,148,700          2,878,699  

a United Microelectronics Corp.

   Semiconductors & Semiconductor Equipment        2,816,080          4,835,031  

Vanguard International Semiconductor Corp.

   Semiconductors & Semiconductor Equipment        216,310          863,466  

Voltronic Power Technology Corp.

   Electrical Equipment        15,950          946,434  

Walsin Lihwa Corp.

   Electrical Equipment        648,385          709,513  

Walsin Technology Corp.

   Electronic Equipment, Instruments & Components        76,850          279,528  

Wan Hai Lines Ltd.

   Marine Transportation        221,130          603,921  

Win Semiconductors Corp.

   Semiconductors & Semiconductor Equipment        96,500          519,065  

Winbond Electronics Corp.

   Semiconductors & Semiconductor Equipment        740,291          586,455  

Wistron Corp.

   Technology Hardware, Storage & Peripherals        674,810          2,204,888  

Wiwynn Corp.

   Technology Hardware, Storage & Peripherals        20,770          1,693,407  

WPG Holdings Ltd.

   Electronic Equipment, Instruments & Components        355,000          982,661  

Yageo Corp.

   Electronic Equipment, Instruments & Components        93,339          2,100,318  

Yang Ming Marine Transport Corp.

   Marine Transportation        418,456          962,249  

Yuanta Financial Holding Co. Ltd.

   Financial Services        2,912,890          2,877,738  

Yulon Motor Co. Ltd.

   Automobiles        139,056          286,329  

Yulon Nissan Motor Co. Ltd.

   Automobiles        4,980          20,954  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Zhen Ding Technology Holding Ltd.

   Electronic Equipment, Instruments & Components        151,260          603,800  
            

 

 

 
               234,590,665  
            

 

 

 

United States 0.2%

            

Parade Technologies Ltd.

   Semiconductors & Semiconductor Equipment        16,654          430,191  
            

 

 

 

Total Common Stocks (Cost $170,160,479)

            237,140,435  
            

 

 

 

Total Investments before Short-Term Investments (Cost $170,160,479)

               237,140,435  
            

 

 

 

Short-Term Investments 0.1%

            

Money Market Funds 0.1%

            

United States 0.1%

            

b,c Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        304,010          304,010  
            

 

 

 

Total Short-Term Investments (Cost $304,010)

            304,010  
            

 

 

 

Total Investments (Cost $170,464,489) 99.4%

            237,444,445  

Other Assets, less Liabilities 0.6%

               1,527,406  
            

 

 

 

Net Assets 100.0%

             $ 238,971,851  
            

 

 

 

aNon-income producing.

bThe rate shown is the annualized seven-day effective yield at period end.

cSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Index Contracts

              

FTSE Taiwan Index Futures

     Long        26        $2,005,900        7/30/24        $5,681  

*As of period end.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin FTSE United Kingdom ETF    Industry      Shares        Value  

Common Stocks 99.5%

            

Australia 5.2%

            

Glencore PLC

   Metals & Mining        3,118,428        $ 17,782,376  

Rio Tinto PLC

   Metals & Mining        274,050           18,017,640  
            

 

 

 
               35,800,016  
            

 

 

 

Austria 0.3%

            

Mondi PLC

   Paper & Forest Products        113,796          2,184,354  
            

 

 

 

Bermuda 0.2%

            

Hiscox Ltd.

   Insurance        84,564          1,229,319  
            

 

 

 

Chile 0.3%

            

Antofagasta PLC

   Metals & Mining        88,740          2,366,918  
            

 

 

 

Ireland 5.4%

            

CRH PLC

   Construction Materials        175,914          13,111,100  

DCC PLC

   Industrial Conglomerates        25,056          1,754,699  

Experian PLC

   Professional Services        235,422          10,969,419  

a Flutter Entertainment PLC

   Hotels, Restaurants & Leisure        45,414          8,304,040  

Smurfit Kappa Group PLC

   Containers & Packaging        66,294          2,958,218  
            

 

 

 
               37,097,476  
            

 

 

 

Isle Of Man 0.2%

            

Entain PLC

   Hotels, Restaurants & Leisure        156,600          1,247,135  
            

 

 

 

Mexico 0.0%

            

Fresnillo PLC

   Metals & Mining        46,458          330,049  
            

 

 

 

Netherlands 8.6%

            

Shell PLC

   Oil, Gas & Consumable Fuels        1,640,124          58,756,751  
            

 

 

 

Nigeria 0.1%

            

b Airtel Africa PLC

   Wireless Telecommunication Services        309,024          469,155  
            

 

 

 

Russia 0.0%

            

a,c Evraz PLC

   Metals & Mining        128,818           
            

 

 

 

Switzerland 0.3%

            

Coca-Cola HBC AG

   Beverages        52,722          1,798,105  
            

 

 

 

United Kingdom 78.9%

            

3i Group PLC

   Capital Markets        238,032          9,225,475  

abrdn PLC

   Capital Markets        465,624          872,298  

Admiral Group PLC

   Insurance        74,646          2,467,513  

Anglo American PLC

   Metals & Mining        319,464          10,103,933  

Ashtead Group PLC

   Trading Companies & Distributors        112,230          7,493,567  

Associated British Foods PLC

   Food Products        81,954          2,563,015  

AstraZeneca PLC

   Pharmaceuticals        384,192          60,007,766  

b Auto Trader Group PLC

   Interactive Media & Services        228,636          2,315,617  

Aviva PLC

   Insurance        693,216          4,176,417  

B&M European Value Retail SA

   Broadline Retail        239,076          1,321,288  

BAE Systems PLC

   Aerospace & Defense        778,824          12,995,545  

Barclays PLC

   Banks        3,848,184          10,161,914  

Barratt Developments PLC

   Household Durables        249,516          1,489,380  

Beazley PLC

   Insurance        171,216          1,532,353  

Berkeley Group Holdings PLC

   Household Durables        26,100          1,513,719  

BP PLC

   Oil, Gas & Consumable Fuels        4,334,166          26,035,338  

British American Tobacco PLC

   Tobacco        512,604          15,745,973  

British Land Co. PLC

   Diversified REITs        238,032          1,238,488  

BT Group PLC

   Diversified Telecommunication Services        1,620,288          2,874,656  

Bunzl PLC

   Trading Companies & Distributors        86,652          3,297,056  

Burberry Group PLC

   Textiles, Apparel & Luxury Goods        91,350          1,013,644  

Centrica PLC

   Multi-Utilities        1,367,118          2,331,306  

Compass Group PLC

   Hotels, Restaurants & Leisure        436,914          11,929,739  

b ConvaTec Group PLC

   Health Care Equipment & Supplies        424,386          1,259,622  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Croda International PLC

   Chemicals        36,018          1,797,538  

Diageo PLC

   Beverages        570,546          17,954,943  

DS Smith PLC

   Containers & Packaging        354,438          1,886,269  

Endeavour Mining PLC

   Metals & Mining        51,156          1,090,273  

Ferguson PLC

   Trading Companies & Distributors        51,678          9,952,436  

GSK PLC

   Pharmaceuticals        1,026,252          19,841,968  

Haleon PLC

   Personal Care Products        1,773,234          7,231,221  

Halma PLC

   Electronic Equipment, Instruments & Components        97,092          3,321,181  

Hargreaves Lansdown PLC

   Capital Markets        97,614          1,396,818  

Hikma Pharmaceuticals PLC

   Pharmaceuticals        41,760          998,236  

Howden Joinery Group PLC

   Trading Companies & Distributors        140,940          1,565,155  

HSBC Holdings PLC

   Banks        4,832,154          41,774,822  

IMI PLC

   Machinery        66,816          1,489,911  

Imperial Brands PLC

   Tobacco        221,328          5,662,759  

Informa PLC

   Media        350,262          3,789,191  

InterContinental Hotels Group PLC

   Hotels, Restaurants & Leisure        41,760          4,395,195  

Intermediate Capital Group PLC

   Capital Markets        67,860          1,871,759  

a International Consolidated Airlines Group SA

   Passenger Airlines        537,138          1,101,671  

Intertek Group PLC

   Professional Services        41,238          2,499,061  

J Sainsbury PLC

   Consumer Staples Distribution & Retail        463,014          1,492,504  

JD Sports Fashion PLC

   Specialty Retail        643,626          972,261  

Johnson Matthey PLC

   Chemicals        46,980          930,600  

Kingfisher PLC

   Specialty Retail        480,762          1,512,035  

Land Securities Group PLC

   Diversified REITs        175,914          1,377,599  

Legal & General Group PLC

   Insurance        1,533,636          4,400,777  

Lloyds Banking Group PLC

   Banks        16,222,194          11,225,240  

London Stock Exchange Group PLC

   Capital Markets        127,368          15,134,547  

M&G PLC

   Financial Services        558,540          1,440,342  

Marks & Spencer Group PLC

   Consumer Staples Distribution & Retail        523,044          1,894,280  

Melrose Industries PLC

   Aerospace & Defense        336,168          2,351,672  

National Grid PLC

   Multi-Utilities        1,232,442          13,750,284  

NatWest Group PLC

   Banks        1,612,458          6,355,442  

Next PLC

   Broadline Retail        30,798          3,517,872  

a,c NMC Health PLC

   Health Care Providers & Services        3,705           

a Ocado Group PLC

   Consumer Staples Distribution & Retail        152,946          558,556  

Pearson PLC

   Diversified Consumer Services        174,870          2,190,194  

Persimmon PLC

   Household Durables        81,954          1,400,645  

Phoenix Group Holdings PLC

   Insurance        192,618          1,269,792  

Prudential PLC

   Insurance        705,744          6,409,066  

Reckitt Benckiser Group PLC

   Household Products        181,134          9,804,555  

RELX PLC

   Professional Services        479,718          22,067,306  

Rentokil Initial PLC

   Commercial Services & Supplies        647,280          3,773,660  

Rightmove PLC

   Interactive Media & Services        204,102          1,385,488  

a Rolls-Royce Holdings PLC

   Aerospace & Defense        2,160,036          12,472,925  

RS Group PLC

   Trading Companies & Distributors        121,626          1,077,769  

Sage Group PLC

   Software        257,346          3,541,010  

Schroders PLC

   Capital Markets        216,108          993,836  

Segro PLC

   Industrial REITs        342,954          3,893,948  

Severn Trent PLC

   Water Utilities        67,860          2,041,607  

Smith & Nephew PLC

   Health Care Equipment & Supplies        224,982          2,788,823  

Smiths Group PLC

   Industrial Conglomerates        89,262          1,923,855  

Spirax Group PLC

   Machinery        18,792          2,014,420  

SSE PLC

   Electric Utilities        280,314          6,341,000  

St. James’s Place PLC

   Capital Markets        141,462          977,262  

Standard Chartered PLC

   Banks        546,534          4,946,653  

Taylor Wimpey PLC

   Household Durables        907,758          1,631,166  

Tesco PLC

   Consumer Staples Distribution & Retail        1,806,642          6,988,352  

Unilever PLC

   Personal Care Products        632,142          34,720,476  

UNITE Group PLC

   Residential REITs        92,916          1,047,699  

United Utilities Group PLC

   Water Utilities        174,870          2,172,067  

Vodafone Group PLC

   Wireless Telecommunication Services        5,612,544          4,949,342  

Weir Group PLC

   Machinery        66,816          1,675,727  

Whitbread PLC

   Hotels, Restaurants & Leisure        46,980          1,766,775  

a Wise PLC, Class A

   Financial Services        193,140          1,663,870  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

WPP PLC

   Media        275,094          2,519,073  
            

 

 

 
               540,948,401  
            

 

 

 

Total Common Stocks (Cost $655,804,949)

               682,227,679  
            

 

 

 

Total Investments before Short-Term Investments (Cost $655,804,949)

               682,227,679  
            

 

 

 

Short-Term Investments 0.0%

            

Money Market Funds 0.0%

            

United States 0.0%

            

d,e Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        15,268          15,268  
            

 

 

 

Total Short-Term Investments (Cost $15,268)

               15,268  
            

 

 

 

Total Investments (Cost $655,820,217) 99.5%

               682,242,947  

Other Assets, less Liabilities 0.5%

               3,303,453  
            

 

 

 

Net Assets 100.0%

             $ 685,546,400  
            

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $4,044,394, representing 0.6% of net assets.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

dThe rate shown is the annualized seven-day effective yield at period end.

eSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

Index Contracts

                        

FTSE 100 Index

     Long        28        $2,906,620        9/20/24          $(923

*As of period end.

Abbreviations

Selected Portfolio

 

REIT      Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Genomic Advancements ETF    Country      Shares        Value  

Common Stocks 97.6%

            

Biotechnology 46.3%

            

a 4D Molecular Therapeutics, Inc.

   United States        5,013        $ 105,223  

a Alnylam Pharmaceuticals, Inc.

   United States        646          156,978  

a Avid Bioservices, Inc.

   United States        7,643          54,571  

a Bavarian Nordic AS

   Denmark        995          24,681  

a Beam Therapeutics, Inc.

   United States        3,399          79,639  

a BioNTech SE, ADR

   Germany        1,561          125,442  

a Bridgebio Pharma, Inc.

   United States        3,397          86,046  

a CRISPR Therapeutics AG167

   Switzerland        1,305          70,483  

a Dynavax Technologies Corp.

   United States        1,732          19,450  

a Exact Sciences Corp.

   United States        2,406          101,653  

a Insmed, Inc.

   United States        2,740          183,580  

a Intellia Therapeutics, Inc.

   United States        3,813          85,335  

a Ionis Pharmaceuticals, Inc.

   United States        5,135          244,734  

a Krystal Biotech, Inc.

   United States        2,320          426,045  

a Moderna, Inc.

   United States        2,047          243,081  

a Natera, Inc.

   United States        2,996          324,437  

a Neurocrine Biosciences, Inc.

   United States        683          94,029  

a Neurogene, Inc.

   United States        753          27,402  

a Recursion Pharmaceuticals, Inc., Class A

   United States        8,385          62,887  

a Regeneron Pharmaceuticals, Inc.

   United States        484          508,698  

a Rocket Pharmaceuticals, Inc.

   United States        8,201          176,568  

a Sarepta Therapeutics, Inc.

   United States        1,209          191,022  

a Twist Bioscience Corp.

   United States        2,595          127,882  

a Ultragenyx Pharmaceutical, Inc.

   United States        2,049          84,214  

a United Therapeutics Corp.

   United States        480          152,904  

a Veracyte, Inc.

   United States        687          14,887  

a Vertex Pharmaceuticals, Inc.

   United States        1,121          525,435  

a Voyager Therapeutics, Inc.

   United States        13,364          105,709  
            

 

 

 
               4,403,015  
            

 

 

 

Chemicals 2.1%

            

Corteva, Inc.

   United States        3,710          200,117  
            

 

 

 

Health Care Providers & Services 0.9%

            

Labcorp Holdings, Inc.

   United States        436          88,730  
            

 

 

 

Health Care REITs 0.3%

            

Alexandria Real Estate Equities, Inc.

   United States        242          28,307  
            

 

 

 

Health Care Technology 0.4%

            

Simulations Plus, Inc.

   United States        861          41,862  
            

 

 

 

Life Sciences Tools & Services 36.6%

            

Agilent Technologies, Inc.

   United States        1,461          189,389  

a Avantor, Inc.

   United States        1,945          41,234  

a Azenta, Inc.

   United States        1,900          99,978  

a Bio-Rad Laboratories, Inc., Class A

   United States        150          40,966  

Bio-Techne Corp.

   United States        1,252          89,706  

Bruker Corp.

   United States        3,576          228,185  

a Charles River Laboratories International, Inc.

   United States        953          196,871  

Danaher Corp.

   United States        1,869          466,970  

a Evotec SE

   Germany        911          8,763  

a ICON PLC, ADR

   Ireland        544          170,528  

a IQVIA Holdings, Inc.

   United States        466          98,531  

Lonza Group AG

   Switzerland        188          102,599  

a Medpace Holdings, Inc.

   United States        1,664          685,318  

a Olink Holding AB, ADR

   Sweden        480          12,230  

a,b OmniAb, Inc., 12.5 Earnout

   United States        240           

a,b OmniAb, Inc., 15.0 Earnout

   United States        240           

a Qiagen NV

   United States        4,189          172,126  

a Repligen Corp.

   United States        370          46,642  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Revvity, Inc.

   United States        1,202          126,042  

a,c Samsung Biologics Co. Ltd.

   South Korea        489          258,266  

Thermo Fisher Scientific, Inc.

   United States        798          441,294  
            

 

 

 
               3,475,638  
            

 

 

 

Pharmaceuticals 8.7%

            

AstraZeneca PLC, ADR

   United Kingdom        3,314          258,459  

Bristol-Myers Squibb Co.

   United States        565          23,464  

Eli Lilly & Co.

   United States        523          473,514  

a Ligand Pharmaceuticals, Inc.

   United States        805          67,829  
            

 

 

 
               823,266  
            

 

 

 

Software 2.3%

            

a Cadence Design Systems, Inc.

   United States        726          223,427  
            

 

 

 

Total Common Stocks (Cost $9,727,227)

               9,284,362  
            

 

 

 

Preferred Stock 2.0%

            

Life Sciences Tools & Services 2.0%

            

d Sartorius AG, %, 0.338%, pfd.

   Germany        801          188,006  
            

 

 

 

Total Preferred Stocks (Cost $512,402)

            188,006  
            

 

 

 

Total Investments (Cost $10,239,629) 99.6%

            9,472,368  

Other Assets, less Liabilities 0.4%

               35,924  
            

 

 

 

Net Assets 100.0%

             $ 9,508,292  
            

 

 

 

aNon-income producing.

bFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

cSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $258,266, representing 2.7% of net assets.

dVariable rate security. The rate shown represents the yield at period end.

Abbreviations

Selected Portfolio

 

ADR   – American Depositary Receipt


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin High Yield Corporate ETF    Country      Principal Amount*        Value  

Corporate Bonds & Notes 92.9%

            

Advertising 1.0%

            

Outfront Media Capital LLC/Outfront Media Capital Corp.,

         

a   7.375%, 2/15/31

   United States        1,000,000        $ 1,041,934  

a   4.625%, 3/15/30

   United States        2,100,000          1,894,058  
            

 

 

 
               2,935,992  
            

 

 

 

Aerospace/Defense 1.0%

            

a Boeing Co., 6.528%, 5/01/34

   United States        600,000          614,647  

a Bombardier, Inc., 7.00%, 6/01/32

   Canada        2,200,000          2,233,310  
            

 

 

 
               2,847,957  
            

 

 

 

Airlines 1.1%

            

a American Airlines, Inc./AAdvantage Loyalty IP Ltd., 5.50%, 4/20/26

   United States        1,466,667          1,454,986  

a United Airlines, Inc., 4.375%, 4/15/26

   United States        1,800,000          1,740,901  
            

 

 

 
               3,195,887  
            

 

 

 

Apparel 0.5%

            

a Hanesbrands, Inc., 9.00%, 2/15/31

   United States        1,400,000          1,468,048  
            

 

 

 

Automobiles & Components 4.1%

            

Adient Global Holdings Ltd.,

            

a   7.00%, 4/15/28

   United States        600,000          614,647  

a   8.25%, 4/15/31

   United States        1,600,000          1,671,456  

a Dornoch Debt Merger Sub, Inc., 6.625%, 10/15/29

   United States        2,500,000          2,128,744  

a Garrett Motion Holdings, Inc./Garrett LX I SARL, 7.75%, 5/31/32

   United States        1,200,000          1,217,108  

Goodyear Tire & Rubber Co.,

            

4.875%, 3/15/27

   United States        1,000,000          967,324  

5.00%, 7/15/29

   United States        2,300,000          2,143,077  

a Jaguar Land Rover Automotive PLC, 5.50%, 7/15/29

   United Kingdom        1,700,000          1,631,173  

a ZF North America Capital, Inc., 6.875%, 4/23/32

   Germany        1,900,000          1,965,512  
            

 

 

 
               12,339,041  
            

 

 

 

Capital Goods 1.4%

            

a ATS Corp., 4.125%, 12/15/28

   Canada        1,400,000          1,278,227  

a Cornerstone Building Brands, Inc., 6.125%, 1/15/29

   United States        1,400,000          1,154,683  

a Vertiv Group Corp., 4.125%, 11/15/28

   United States        1,900,000          1,775,971  
            

 

 

 
               4,208,881  
            

 

 

 

Chemicals 0.7%

            

a Rain Carbon, Inc., 12.25%, 9/01/29

   United States        1,900,000          2,047,313  
            

 

 

 

Commercial & Professional Services 3.3%

            

a APX Group, Inc., 5.75%, 7/15/29

   United States        1,200,000          1,152,168  

Gartner, Inc.,

            

a   3.625%, 6/15/29

   United States        1,100,000          1,008,354  

a   senior note, 4.50%, 7/01/28

   United States        1,800,000          1,736,380  

Grand Canyon University, 5.125%, 10/01/28

   United States        1,900,000          1,718,189  

a MPH Acquisition Holdings LLC, 5.75%, 11/01/28

   United States        1,600,000          862,616  

a Prime Security Services Borrower LLC/Prime Finance, Inc., first lien, 3.375%, 8/31/27

   United States        2,300,000          2,130,043  

a PROG Holdings, Inc., 6.00%, 11/15/29

   United States        1,500,000          1,426,156  
            

 

 

 
               10,033,906  
            

 

 

 

Commercial Services 3.5%

            

a Allied Universal Holdco LLC, 7.875%, 2/15/31

   United States        1,000,000          1,003,502  

a Ashtead Capital, Inc., 5.80%, 4/15/34

   United Kingdom        1,200,000          1,191,528  

EquipmentShare.com, Inc.,

            

a   8.625%, 5/15/32

   United States        700,000          726,720  

a   9.00%, 5/15/28

   United States        2,000,000          2,066,448  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a H&E Equipment Services, Inc., senior note, 3.875%, 12/15/28

   United States        1,300,000          1,174,451  

a Herc Holdings, Inc., 6.625%, 6/15/29

   United States        1,500,000          1,522,122  

United Rentals North America, Inc.,

            

     5.50%, 5/15/27

   United States        800,000          794,522  

a   6.125%, 3/15/34

   United States        2,200,000          2,194,726  
            

 

 

 
               10,674,019  
            

 

 

 

Construction Materials 2.2%

            

a EMRLD Borrower LP/Emerald Co.-Issuer, Inc., 6.625%, 12/15/30

   United States        2,800,000          2,825,346  

a Miter Brands Acquisition Holdco, Inc./MIWD Borrower LLC, 6.75%, 4/01/32

   United States        1,300,000          1,310,058  

a Smyrna Ready Mix Concrete LLC, 8.875%, 11/15/31

   United States        2,200,000          2,336,369  
            

 

 

 
               6,471,773  
            

 

 

 

Consumer Discretionary Distribution & Retail 0.9%

            

a Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc., 6.75%, 1/15/30

   United States        2,600,000          2,285,261  

a FirstCash, Inc., 4.625%, 9/01/28

   United States        300,000          282,258  
            

 

 

 
               2,567,519  
            

 

 

 

Consumer Durables & Apparel 0.4%

            

a Ashton Woods USA LLC/Ashton Woods Finance Co., 4.625%, 4/01/30

   United States        1,400,000          1,252,902  
            

 

 

 

Consumer Services 2.6%

            

a,b,c 24 Hour Fitness Worldwide, Inc., senior note, 8.00%, 6/01/22

   United States        800,000           

Carnival Corp.,

            

a   7.625%, 3/01/26

   United States        600,000          606,354  

a   senior note, 5.75%, 3/01/27

   United States        2,700,000          2,669,079  

a NCL Corp. Ltd., 5.875%, 3/15/26

   United States        1,800,000          1,780,800  

a Royal Caribbean Cruises Ltd., 5.50%, 8/31/26

   United States        300,000          296,860  

a Station Casinos LLC, 4.50%, 2/15/28

   United States        2,700,000          2,543,091  
            

 

 

 
               7,896,184  
            

 

 

 

Distribution/Wholesale 0.4%

            

a Gates Corp., 6.875%, 7/01/29

   United States        800,000          814,952  

a Ritchie Bros Holdings, Inc., 6.75%, 3/15/28

   Canada        400,000          407,717  
            

 

 

 
               1,222,669  
            

 

 

 

Diversified Financial Services 5.2%

            

Encore Capital Group, Inc.,

            

a   9.25%, 4/01/29

   United States        700,000          730,325  

a   8.50%, 5/15/30

   United States        1,100,000          1,121,170  

a Freedom Mortgage Holdings LLC, 9.25%, 2/01/29

   United States        500,000          500,110  

GGAM Finance Ltd.,

            

a   8.00%, 2/15/27

   Ireland        800,000          826,870  

a   8.00%, 6/15/28

   Ireland        1,600,000          1,686,282  

a Jane Street Group/JSG Finance, Inc., 4.50%, 11/15/29

   United States        500,000          469,446  

a Jefferson Capital Holdings LLC, 9.50%, 2/15/29

   United States        1,900,000          1,960,439  

Macquarie Airfinance Holdings Ltd.,

            

a   6.40%, 3/26/29

   United Kingdom        600,000          610,579  

a   6.50%, 3/26/31

   United Kingdom        600,000          617,405  

a Nationstar Mortgage Holdings, Inc., 5.75%, 11/15/31

   United States        2,000,000          1,881,552  

OneMain Finance Corp., 9.00%, 1/15/29

   United States        2,200,000          2,323,127  

PRA Group, Inc.,

            

a   8.375%, 2/01/28

   United States        300,000          299,204  

a   8.875%, 1/31/30

   United States        700,000          699,406  

a StoneX Group, Inc., 7.875%, 3/01/31

   United States        2,000,000          2,064,384  
            

 

 

 
               15,790,299  
            

 

 

 

Electric 1.1%

            

a Talen Energy Supply LLC, 8.625%, 6/01/30

   United States        1,400,000          1,493,840  

a Vistra Operations Co. LLC, 7.75%, 10/15/31

   United States        1,800,000          1,875,917  
            

 

 

 
               3,369,757  
            

 

 

 

Energy 6.4%

            

a Antero Resources Corp., 7.625%, 2/01/29

   United States        801,000          825,348  

a Atlantica Sustainable Infrastructure PLC, 4.125%, 6/15/28

   Spain        1,600,000          1,567,114  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Calumet Specialty Products Partners LP/Calumet Finance Corp., 8.125%, 1/15/27

   United States        500,000          471,912  

a Chesapeake Energy Corp., 6.75%, 4/15/29

   United States        1,500,000          1,504,173  

a CrownRock LP/CrownRock Finance, Inc., 5.00%, 5/01/29

   United States        1,100,000          1,091,821  

a DT Midstream, Inc., 4.125%, 6/15/29

   United States        700,000          647,256  

a Enerflex Ltd., 9.00%, 10/15/27

   Canada        1,200,000          1,219,285  

EnLink Midstream Partners LP, 4.15%, 6/01/25

   United States        2,300,000          2,262,035  

a EQM Midstream Partners LP, 7.50%, 6/01/27

   United States        1,600,000          1,635,130  

a Harbour Energy PLC, 5.50%, 10/15/26

   United Kingdom        2,600,000          2,551,037  

a Kinetik Holdings LP, 5.875%, 6/15/30

   United States        1,500,000          1,479,053  

a Nabors Industries Ltd., senior note, 7.25%, 1/15/26

   United States        500,000          507,639  

a Nabors Industries, Inc., 7.375%, 5/15/27

   United States        700,000          712,580  

a SunCoke Energy, Inc., 4.875%, 6/30/29

   United States        600,000          544,241  

Sunoco LP/Sunoco Finance Corp., 6.00%, 4/15/27

   United States        700,000          699,526  

Venture Global Calcasieu Pass LLC,

            

a   4.125%, 8/15/31

   United States        800,000          718,416  

a   3.875%, 8/15/29

   United States        1,000,000          911,380  
            

 

 

 
               19,347,946  
            

 

 

 

Entertainment 3.7%

            

a Allwyn Entertainment Financing U.K. PLC, 7.875%, 4/30/29

   Czech Republic        2,300,000          2,377,890  

a Banijay Entertainment SASU, 8.125%, 5/01/29

   France        2,000,000          2,047,372  

Caesars Entertainment, Inc.,

            

a   4.625%, 10/15/29

   United States        600,000          550,494  

a   7.00%, 2/15/30

   United States        700,000          715,614  

a   6.50%, 2/15/32

   United States        1,200,000          1,206,671  

a Six Flags Entertainment Corp./Six Flags Theme Parks, Inc., 6.625%, 5/01/32

   United States        2,100,000          2,135,419  

a Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., 7.125%, 2/15/31

   United States        2,000,000          2,075,208  
            

 

 

 
               11,108,668  
            

 

 

 

Environmental Control 0.6%

            

a Wrangler Holdco Corp., 6.625%, 4/01/32

   Canada        1,900,000          1,893,119  
            

 

 

 

Financial Services 5.2%

            

a Apollo Commercial Real Estate Finance, Inc., 4.625%, 6/15/29

   United States        2,300,000          1,930,704  

a Global Net Lease, Inc./Global Net Lease Operating Partnership LP, senior note, 3.75%, 12/15/27

   United States        1,400,000          1,227,346  

Iron Mountain, Inc.,

            

a   7.00%, 2/15/29

   United States        1,400,000          1,426,041  

a   5.625%, 7/15/32

   United States        1,800,000          1,710,800  

a Jefferson Capital Holdings LLC, 6.00%, 8/15/26

   United States        700,000          690,985  

a Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp., 4.75%, 6/15/29

   United States        1,600,000          1,479,250  

a Necessity Retail REIT, Inc./American Finance Operating Partner LP,4.50%, 9/30/28

   United States        1,200,000          1,057,018  

a PRA Group, Inc., 5.00%, 10/01/29

   United States        1,500,000          1,286,029  

RHP Hotel Properties LP/RHP Finance Corp.,

            

a   7.25%, 7/15/28

   United States        1,300,000          1,345,306  

a   6.50%, 4/01/32

   United States        1,600,000          1,601,428  

a VICI Properties LP/VICI Note Co., Inc., 3.875%, 2/15/29

   United States        2,100,000          1,943,344  
            

 

 

 
               15,698,251  
            

 

 

 

Food 2.3%

            

a Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC, 3.50%, 3/15/29

   United States        1,700,000          1,530,581  

a Chobani LLC/Chobani Finance Corp., Inc., 7.625%, 7/01/29

   United States        1,800,000          1,856,081  

Pilgrim’s Pride Corp., 6.875%, 5/15/34

   United States        1,400,000          1,491,727  

a Post Holdings, Inc., 6.25%, 2/15/32

   United States        1,000,000          1,002,549  

a U.S. Foods, Inc., 7.25%, 1/15/32

   United States        900,000          935,138  
            

 

 

 
               6,816,076  
            

 

 

 

Food, Beverage & Tobacco 0.6%

            

a Primo Water Holdings, Inc., 4.375%, 4/30/29

   Canada        2,000,000          1,844,130  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Hand/Machine Tools 0.5%

            

Regal Rexnord Corp.,

            

     6.30%, 2/15/30

   United States        600,000          613,675  

     6.40%, 4/15/33

   United States        1,000,000          1,023,787  
            

 

 

 
               1,637,462  
            

 

 

 

Health Care Equipment & Services 1.5%

            

CHS/Community Health Systems, Inc.,

            

a   6.875%, 4/15/29

   United States        900,000          689,317  

a   senior secured note, 6.00%, 1/15/29

   United States        1,100,000          971,737  

a DaVita, Inc., 4.625%, 6/01/30

   United States        3,200,000          2,894,302  
            

 

 

 
               4,555,356  
            

 

 

 

Healthcare-Products 0.8%

            

a Neogen Food Safety Corp., 8.625%, 7/20/30

   United States        2,200,000          2,378,798  
            

 

 

 

Healthcare-Services 2.2%

            

a CHS/Community Health Systems, Inc., 10.875%, 1/15/32

   United States        1,400,000          1,458,851  

a Concentra Escrow Issuer Corp., 6.875%, 7/15/32

   United States        500,000          507,205  

a Fortrea Holdings, Inc., 7.50%, 7/01/30

   United States        1,600,000          1,591,739  

Tenet Healthcare Corp.,

            

     6.75%, 5/15/31

   United States        500,000          507,919  

     6.125%, 10/01/28

   United States        1,000,000          995,755  

     6.125%, 6/15/30

   United States        1,500,000          1,491,746  
            

 

 

 
               6,553,215  
            

 

 

 

Home Builders 1.1%

            

a Dream Finders Homes, Inc., 8.25%, 8/15/28

   United States        1,700,000          1,742,519  

a LGI Homes, Inc., 8.75%, 12/15/28

   United States        1,400,000          1,459,121  
            

 

 

 
               3,201,640  
            

 

 

 

Household & Personal Products 1.0%

            

a VM Consolidated, Inc., 5.50%, 4/15/29

   United States        3,200,000          3,054,996  
            

 

 

 

Household Products 0.5%

            

a Coty, Inc./HFC Prestige Products, Inc./HFC Prestige International U.S. LLC, 6.625%, 7/15/30

   United States        1,600,000          1,624,941  
            

 

 

 

Insurance 2.4%

            

Acrisure LLC/Acrisure Finance, Inc.,

            

a   7.50%, 11/06/30

   United States        1,200,000          1,201,755  

a   8.50%, 6/15/29

   United States        1,300,000          1,314,527  

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer,

            

a   6.75%, 4/15/28

   United States        800,000          802,030  

a   7.00%, 1/15/31

   United States        1,600,000          1,617,671  

a HUB International Ltd., 7.25%, 6/15/30

   United States        1,000,000          1,025,856  

a Jones Deslauriers Insurance Management, Inc., 10.50%, 12/15/30

   Canada        1,100,000          1,182,315  
            

 

 

 
               7,144,154  
            

 

 

 

Internet 0.4%

            

a Cogent Communications Group, Inc./Cogent Communications Finance, Inc., 7.00%, 6/15/27

   United States        1,300,000          1,287,720  
            

 

 

 

Iron/Steel 0.3%

            

ATI, Inc., 7.25%, 8/15/30

   United States        1,000,000          1,033,672  
            

 

 

 

IT Services 0.8%

            

a Fortress Intermediate 3, Inc., 7.50%, 6/01/31

   United States        2,300,000          2,359,340  
            

 

 

 

Leisure Time 1.6%

            

a Carnival Holdings Bermuda Ltd., 10.375%, 5/01/28

   United States        600,000          649,964  

a NCL Corp. Ltd., 7.75%, 2/15/29

   United States        1,300,000          1,352,489  

Viking Cruises Ltd.,

            

a   9.125%, 7/15/31

   United States        500,000          541,937  

a   5.875%, 9/15/27

   United States        600,000          594,168  

a   7.00%, 2/15/29

   United States        1,700,000          1,710,341  
            

 

 

 
               4,848,899  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Lodging 0.2%

            

a Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp., 5.25%, 5/15/27

   United States        700,000          683,253  
            

 

 

 

Machinery-Diversified 0.4%

            

a Esab Corp., 6.25%, 4/15/29

   United States        1,200,000          1,208,696  
            

 

 

 

Materials 4.6%

            

a Advanced Drainage Systems, Inc., 6.375%, 6/15/30

   United States        700,000          703,192  

a Arcosa, Inc., 4.375%, 4/15/29

   United States        2,300,000          2,137,998  

a Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc., senior note, 5.25%, 8/15/27

   Luxembourg        200,000          124,782  

a Consolidated Energy Finance SA, 5.625%, 10/15/28

   Luxembourg        400,000          340,441  

a Constellium SE, 3.75%, 4/15/29

   France        2,000,000          1,816,064  

a Eco Material Technologies, Inc., 7.875%, 1/31/27

   United States        1,300,000          1,304,434  

a Glatfelter Corp., 4.75%, 11/15/29

   United States        900,000          744,970  

a GPD Cos., Inc., senior secured note, 10.125%, 4/01/26

   United States        1,250,000          1,196,224  

a Novelis Corp., 4.75%, 1/30/30

   United States        2,000,000          1,857,350  

a OI European Group BV, 4.75%, 2/15/30

   United States        1,200,000          1,098,565  

a Pactiv Evergreen Group Issuer, Inc./Pactiv Evergreen Group Issuer LLC, 4.00%, 10/15/27

   United States        1,500,000          1,406,353  

a Rain CII Carbon LLC/CII Carbon Corp., 7.25%, 4/01/25

   United States        22,000          21,586  

a Trivium Packaging Finance BV, senior note, 5.50%, 8/15/26

   Netherlands        1,000,000          980,862  
            

 

 

 
               13,732,821  
            

 

 

 

Media 0.5%

            

a CSC Holdings LLC, 3.375%, 2/15/31

   United States        2,500,000          1,562,700  
            

 

 

 

Media & Entertainment 3.1%

            

CCO Holdings LLC/CCO Holdings Capital Corp.,

            

a   5.375%, 6/01/29

   United States        1,400,000          1,274,965  

a   4.50%, 8/15/30

   United States        1,900,000          1,609,939  

Clear Channel Outdoor Holdings, Inc.,

            

a   7.875%, 4/01/30

   United States        700,000          705,146  

a   7.50%, 6/01/29

   United States        2,100,000          1,756,913  

Diamond Sports Group LLC/Diamond Sports Finance Co.,

            

a,b   senior note, 6.625%, 8/15/27

   United States        900,000          18,562  

a,b   5.375%, 8/15/26

   United States        900,000          18,563  

a Directv Financing LLC/Directv Financing Co.-Obligor, Inc., 5.875%, 8/15/27

   United States        2,100,000          1,976,985  

a Sirius XM Radio, Inc., 4.00%, 7/15/28

   United States        1,600,000          1,446,797  

a Virgin Media Secured Finance PLC, 4.50%, 8/15/30

   United Kingdom        600,000          509,302  
            

 

 

 
               9,317,172  
            

 

 

 

Miscellaneous Manufacturing 0.9%

            

a Calderys Financing LLC, 11.25%, 6/01/28

   France        1,500,000          1,588,581  

Hillenbrand, Inc., 6.25%, 2/15/29

   United States        1,100,000          1,106,647  
            

 

 

 
               2,695,228  
            

 

 

 

Office/Business Equipment 0.6%

            

a Zebra Technologies Corp., 6.50%, 6/01/32

   United States        1,800,000          1,821,608  
            

 

 

 

Oil & Gas 4.7%

            

a Calumet Specialty Products Partners LP/Calumet Finance Corp., 9.25%, 7/15/29

   United States        1,400,000          1,428,000  

a CITGO Petroleum Corp., 8.375%, 1/15/29

   United States        1,200,000          1,237,899  

Civitas Resources, Inc.,

            

a   8.75%, 7/01/31

   United States        1,200,000          1,286,640  

a   8.375%, 7/01/28

   United States        1,500,000          1,573,618  

a Matador Resources Co., 6.50%, 4/15/32

   United States        1,400,000          1,401,147  

a Nabors Industries, Inc., 9.125%, 1/31/30

   United States        1,100,000          1,140,463  

PBF Holding Co. LLC/PBF Finance Corp.,

            

     6.00%, 2/15/28

   United States        100,000          97,588  

a   7.875%, 9/15/30

   United States        700,000          717,186  

a Sunoco LP, 7.25%, 5/01/32

   United States        1,000,000          1,035,099  

a Transocean Titan Financing Ltd., 8.375%, 2/01/28

   United States        100,000          103,309  

a Transocean, Inc., 8.75%, 2/15/30

   United States        810,000          851,057  

a Viper Energy, Inc., 7.375%, 11/01/31

   United States        1,100,000          1,140,318  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Vital Energy, Inc.,

          

a   7.875%, 4/15/32

     United States          800,000        813,856  

9.75%, 10/15/30

     United States          1,300,000        1,420,626  
          

 

 

 
             14,246,806  
          

 

 

 

Oil & Gas Services 0.6%

          

a Kodiak Gas Services LLC, 7.25%, 2/15/29

     United States          1,300,000        1,333,632  

Oceaneering International, Inc., 6.00%, 2/01/28

     United States          500,000        494,771  
          

 

 

 
             1,828,403  
          

 

 

 

Packaging & Containers 1.0%

          

Mauser Packaging Solutions Holding Co.,

          

a   9.25%, 4/15/27

     United States          500,000        500,936  

a   7.875%, 4/15/27

     United States          1,600,000        1,633,986  

a Owens-Brockway Glass Container, Inc., senior note, 7.25%, 5/15/31

     United States          300,000        299,854  

a Sealed Air Corp./Sealed Air Corp. U.S., 6.125%, 2/01/28

     United States          600,000        599,135  
          

 

 

 
             3,033,911  
          

 

 

 

Pharmaceuticals 2.0%

          

a 1375209 BC Ltd., 9.00%, 1/30/28

     Canada          1,961,000        1,888,113  

Bausch Health Cos., Inc.,

          

a   14.00%, 10/15/30

     Canada          92,000        71,300  

a   11.00%, 9/30/28

     Canada          465,000        415,012  

a Endo Finance Holdings, Inc., 8.50%, 4/15/31

     United States          1,200,000        1,239,872  

a Grifols SA, 4.75%, 10/15/28

     Spain          1,300,000        1,123,115  

a,c Par Pharmaceutical, Inc., 7.50%, 4/01/27

     United States          400,000         

Teva Pharmaceutical Finance Netherlands III BV,

          

7.875%, 9/15/29

     Israel          600,000        645,190  

8.125%, 9/15/31

     Israel          600,000        667,865  
          

 

 

 
             6,050,467  
          

 

 

 

Pharmaceuticals, Biotechnology & Life Sciences 1.6%

          

a Bausch Health Cos., Inc., 4.875%, 6/01/28

     United States          1,000,000        749,545  

a Kedrion SpA, 6.50%, 9/01/29

     Italy          3,100,000        2,845,606  

Teva Pharmaceutical Finance Netherlands III BV, 4.75%, 5/09/27

     Israel          1,300,000        1,254,381  
          

 

 

 
             4,849,532  
          

 

 

 

Pipelines 3.0%

          

a Hess Midstream Operations LP, 6.50%, 6/01/29

     United States          1,000,000        1,014,387  

a Martin Midstream Partners LP/Martin Midstream Finance Corp., 11.50%, 2/15/28

     United States          2,400,000        2,597,784  

a Northriver Midstream Finance LP, 6.75%, 7/15/32

     Canada          2,100,000        2,104,988  

Venture Global LNG, Inc.,

          

a   8.375%, 6/01/31

     United States          800,000        830,381  

a   8.125%, 6/01/28

     United States          900,000        927,906  

a   9.50%, 2/01/29

     United States          1,400,000        1,534,010  
          

 

 

 
             9,009,456  
          

 

 

 

Real Estate Management & Development 0.3%

          

a Greystar Real Estate Partners LLC, 7.75%, 9/01/30

     United States          900,000        948,490  
          

 

 

 

Retail 2.2%

          

a 1011778 BC ULC/New Red Finance, Inc., 6.125%, 6/15/29

     Canada          1,800,000        1,807,847  

a Bausch & Lomb Corp., 8.375%, 10/01/28

     United States          1,400,000        1,435,000  

a Evergreen Acqco 1 LP/TVI, Inc., 9.75%, 4/26/28

     United States          810,000        866,121  

a Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc., 4.625%, 1/15/29

     United States          500,000        455,720  

a FirstCash, Inc., 6.875%, 3/01/32

     United States          1,900,000        1,902,121  
          

 

 

 
             6,466,809  
          

 

 

 

Software & Services 0.2%

          

a Rocket Software, Inc., 6.50%, 2/15/29

     United States          800,000        698,239  
          

 

 

 

Technology Hardware & Equipment 0.6%

          

a McAfee Corp., 7.375%, 2/15/30

     United States          1,800,000        1,664,168  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Telecommunication Services 0.8%

          

a Altice France Holding SA, senior note, 10.50%, 5/15/27

     Luxembourg          600,000        240,168  

a Altice France SA, first lien, 8.125%, 2/01/27

     France          1,000,000        750,806  

a CommScope Technologies LLC, 5.00%, 3/15/27

     United States          1,800,000        747,839  

a Iliad Holding SASU, 6.50%, 10/15/26

     France          800,000        797,168  
          

 

 

 
             2,535,981  
          

 

 

 

Telecommunications 0.1%

          

a Viasat, Inc., 7.50%, 5/30/31

     United States          500,000        332,769  
          

 

 

 

Transportation 1.5%

          

a First Student Bidco, Inc./First Transit Parent, Inc., 4.00%, 7/31/29

     United States          2,100,000        1,894,082  

a XPO, Inc., 7.125%, 2/01/32

     United States          2,400,000        2,462,052  
          

 

 

 
             4,356,134  
          

 

 

 

Utilities 2.7%

          

Calpine Corp.,

          

a   senior note, 5.125%, 3/15/28

     United States          900,000        866,249  

a   first lien, 4.50%, 2/15/28

     United States          1,400,000        1,331,284  

a Leeward Renewable Energy Operations LLC, 4.25%, 7/01/29

     United States          2,500,000        2,236,585  

a TTM Technologies, Inc., 4.00%, 3/01/29

     United States          2,400,000        2,205,060  

a Vistra Operations Co. LLC, senior note, 5.50%, 9/01/26

     United States          1,500,000        1,480,276  
          

 

 

 
             8,119,454  
          

 

 

 

Total Corporate Bonds & Notes (Cost $284,849,487)

             279,872,627  
          

 

 

 
          
              Shares         

Common Stocks 0.2%

          

Pharmaceuticals 0.0%

          

d Endo, Inc.

     United States          1,424        40,050  

d Endo, Inc.

     United States          4,191        118,396  
          

 

 

 
             158,446  
          

 

 

 

Utilities 0.2%

          

d Talen Energy Corp.

     United States          4,508        500,478  
          

 

 

 

Total Common Stocks (Cost $242,156)

             658,924  
          

 

 

 
          
              Principal Amount*         

e Senior Floating Rate Interests 2.8%

          

Materials 0.7%

          

Hexion Holdings Corp.,

          

   2022 USD Term Loan, 3 mo. USD Term SOFR + 4.50%, 9.977%, 3/15/29

     United States          1,080,750        1,078,529  

   2022 USD 2nd Lien Term Loan, 1 mo. USD Term SOFR + 7.44%, 12.881%, 3/15/30

     United States          1,186,047        1,091,459  
          

 

 

 
             2,169,988  
          

 

 

 

Software & Services 1.0%

          

Athenahealth Group, Inc., 2022 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.594%, 2/15/29

     United States          1,485,216        1,482,202  

McAfee LLC, 2022 USD Term Loan B, 1 mo. USD Term SOFR + 3.75%, 8.579%, 3/01/29

     United States          1,375,500        1,375,823  
          

 

 

 
             2,858,025  
          

 

 

 

Chemicals 0.5%

          

PMHC II, Inc., 2022 Term Loan B, 3 mo. USD Term SOFR + 4.25%, 9.706%, 4/23/29

     United States          1,670,250        1,633,505  
          

 

 

 

Media & Entertainment 0.6%

          

Diamond Sports Group LLC, 2022 First Priority Term Loan, 1 mo. USD Term SOFR + 10.00%, 15.429%, 5/25/26

     United States          88,404        83,365  

Fertitta Entertainment LLC, 2022 Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.081%, 1/27/29

     United States          1,661,750        1,665,589  
          

 

 

 
             1,748,954  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Media 0.0%

          

Diamond Sports Group LLC, 2024 DIP PIK Term Loan, 1 mo. USD Term SOFR + 10.00%, 5.00%, 12/02/24

     United States          101,144        143,371  
          

 

 

 

Total Floating Rate Loans (Cost $8,582,221)

             8,553,843  
          

 

 

 

Total Investments before Short-Term
Investments (Cost $293,673,864)

             289,085,394  
          

 

 

 

Short-Term Investments 3.0%

          

U.S. Government & Agency Securities 3.0%

          

f Federal Home Loan Bank Discount Notes, 07/01/24

     United States          8,870,000        8,866,130  
          

 

 

 

Total Short-Term Investments (Cost $8,870,000)

             8,866,130  
          

 

 

 

Total Investments (Cost $302,543,864) 98.9%

             297,951,524  

Other Assets, less Liabilities 1.1%

             3,459,744  
          

 

 

 

Net Assets 100.0%

           $ 301,411,268  
          

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $256,119,478, representing 85.0% of net assets.

bDefaulted securities.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

dNon-income producing.

eVariable rate security. The rate shown represents the yield at period end.

fThe security was issued on a discount basis with no stated coupon rate.

Abbreviations

Selected Portfolio

 

PIK        Payment-In-Kind
REIT        Real Estate Investment Trust
SOFR        Secured Overnight Financing Rate
SPA        Standby Purchase Agreement


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Income Equity Focus ETF      Shares        Value  

Common Stocks 85.3%

         

Communication Services 4.4%

         

Comcast Corp., Class A

       35,388        $ 1,385,794  

Verizon Communications, Inc.

       80,517          3,320,521  
         

 

 

 
            4,706,315  
         

 

 

 

Consumer Discretionary 7.6%

         

General Motors Co.

       21,756          1,010,784  

Home Depot, Inc.

       6,673          2,297,114  

Lowe’s Cos., Inc.

       5,828          1,284,841  

McDonald’s Corp.

       4,519          1,151,622  

Ross Stores, Inc.

       9,667          1,404,808  

Starbucks Corp.

       13,440          1,046,304  
         

 

 

 
            8,195,473  
         

 

 

 

Consumer Staples 6.0%

         

Coca-Cola Co.

       17,934          1,141,499  

PepsiCo, Inc.

       12,478          2,057,997  

Philip Morris International, Inc.

       11,076          1,122,331  

Procter & Gamble Co.

       13,373          2,205,475  
         

 

 

 
            6,527,302  
         

 

 

 

Energy 8.0%

         

Chevron Corp.

       20,420          3,194,096  

Exxon Mobil Corp.

       29,273          3,369,908  

TotalEnergies SE, ADR

       30,996          2,066,813  
         

 

 

 
            8,630,817  
         

 

 

 

Financials 11.2%

         

Bank of America Corp.

       26,103          1,038,116  

Charles Schwab Corp.

       21,252          1,566,060  

Citigroup, Inc.

       34,356          2,180,232  

Fifth Third Bancorp

       14,469          527,974  

JPMorgan Chase & Co.

       7,075          1,430,989  

Mastercard, Inc., Class A

       2,811          1,240,101  

MetLife, Inc.

       17,998          1,263,280  

Morgan Stanley

       12,828          1,246,753  

PNC Financial Services Group, Inc.

       3,360          522,413  

U.S. Bancorp

       26,397          1,047,961  
         

 

 

 
            12,063,879  
         

 

 

 

Health Care 11.3%

         

Abbott Laboratories

       11,123          1,155,791  

AbbVie, Inc.

       13,921          2,387,730  

Becton Dickinson & Co.

       5,012          1,171,354  

Bristol-Myers Squibb Co.

       23,141          961,046  

CVS Health Corp.

       15,812          933,857  

Johnson & Johnson

       21,841          3,192,280  

Medtronic PLC

       14,694          1,156,565  

Pfizer, Inc.

       42,820          1,198,104  
         

 

 

 
             12,156,727  
         

 

 

 

Industrials 11.2%

         

Honeywell International, Inc.

       5,526          1,180,022  

IDEX Corp.

       5,296          1,065,555  

Johnson Controls International PLC

       29,757          1,977,948  

Lockheed Martin Corp.

       4,771          2,228,534  

Northrop Grumman Corp.

       2,394          1,043,664  

RTX Corp.

       19,740          1,981,699  

Union Pacific Corp.

       6,972          1,577,485  

United Parcel Service, Inc., Class B

       7,581          1,037,460  
         

 

 

 
            12,092,367  
         

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Information Technology 12.0%

         

Analog Devices, Inc.

       7,149          1,631,831  

a ANSYS, Inc.

       5,844          1,878,846  

Broadcom, Inc.

       546          876,619  

Cisco Systems, Inc.

       48,303          2,294,876  

International Business Machines Corp.

       10,795          1,866,995  

a Keysight Technologies, Inc.

       10,957          1,498,370  

Microchip Technology, Inc.

       16,989          1,554,493  

Texas Instruments, Inc.

       7,000          1,361,710  
         

 

 

 
            12,963,740  
         

 

 

 

Materials 5.7%

         

Air Products & Chemicals, Inc.

       7,209          1,860,283  

Albemarle Corp.

       5,628          537,587  

Freeport-McMoRan, Inc.

       13,659          663,827  

Newmont Corp.

       25,221          1,056,003  

Rio Tinto PLC, ADR

       31,269          2,061,565  
         

 

 

 
            6,179,265  
         

 

 

 

Real Estate 0.8%

         

First Industrial Realty Trust, Inc.

       18,946          900,124  
         

 

 

 

Utilities 7.1%

         

American Electric Power Co., Inc.

       11,760          1,031,822  

Duke Energy Corp.

       8,452          847,144  

NextEra Energy, Inc.

       22,050          1,561,360  

Sempra

       13,776          1,047,803  

Southern Co.

       40,694          3,156,634  
         

 

 

 
            7,644,763  
         

 

 

 

Total Common Stocks (Cost $91,474,214)

            92,060,772  
         

 

 

 

Preferred Stocks 3.1%

         

Materials 1.6%

         

a Albemarle Corp., pfd.

       37,000          1,726,420  
         

 

 

 

Utilities 1.5%

         

a NextEra Energy, Inc., pfd.

       33,000          1,633,170  
         

 

 

 

Total Preferred Stocks (Cost $3,356,326)

            3,359,590  
         

 

 

 

Warrant 1.6%

         

Financials 1.6%

         

a Merrill Lynch BV

       18,000          1,742,282  
         

 

 

 

Total Warrants (Cost $1,742,400)

            1,742,282  
         

 

 

 

Equity-Linked Securities 9.4%

         

Other 9.4%

         

b BNP Paribas Issuance BV into Target Corp., 9.00%, 7/10/25

       7,100          1,043,700  

b Citigroup Global Markets Holdings, Inc. into Analog Devices, Inc., 9.00%, 7/8/25

       8,100          1,851,236  

b Royal Bank of Canada into Freeport-McMoRan Inc., 10.00%, 7/8/25

       35,300          1,721,528  

b Royal Bank of Canada into Texas Instruments Inc., 8.50%, 7/15/25

       11,000          2,129,297  

b Wells Fargo Bank NA into S&P 500 Index, 7.50%, 8/2/24

       300          1,638,740  

b Wells Fargo Bank NA into UnitedHealth Group, 7.00%, 7/14/25

       3,550          1,761,115  
         

 

 

 
            10,145,616  
         

 

 

 

Total Equity-Linked Securities (Cost $10,094,252)

            10,145,616  
         

 

 

 

Total Investments before Short-Term Investments
(Cost $106,667,192)

            107,308,260  
         

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

     Country      Principal Amount*         

Short-Term Investments 11.5%

        

U.S. Government & Agency Securities 11.5%

        

c Federal Home Loan Bank Discount Notes, 7/01/24

     United States      $ 12,380,000        12,374,599  
        

 

 

 

Total Short-Term Investments (Cost $12,380,000)

           12,374,599  
        

 

 

 

Total Investments (Cost $119,047,192) 110.9%

           119,682,859  

Other Assets, less Liabilities (10.9)%

           (11,775,963
        

 

 

 

Net Assets 100.0%

         $ 107,906,896  
        

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

aNon-income producing.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $10,145,616, representing 9.4% of net assets.

cThe security was issued on a discount basis with no stated coupon rate.

Abbreviations

Selected Portfolio

 

ADR 

          American Depositary Receipt


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Income Focus ETF    Country      Principal Amount*        Value  

Corporate Bonds & Notes 44.1%

            

Advertising 0.3%

            

a Clear Channel Outdoor Holdings, Inc., 5.125%, 8/15/27

   United States        820,000        $ 783,875  
            

 

 

 

Aerospace & Defense 1.9%

            

Boeing Co.,

            

5.15%, 5/01/30

   United States        2,360,000          2,266,976  

a 6.528%, 5/01/34

   United States        600,000          614,647  

a Bombardier, Inc., 7.25%, 7/01/31

   Canada        600,000          616,782  

TransDigm, Inc., 5.50%, 11/15/27

   United States        1,250,000          1,228,523  
            

 

 

 
               4,726,928  
            

 

 

 

Agriculture 0.8%

            

BAT Capital Corp.,

            

7.75%, 10/19/32

   United Kingdom        850,000          956,610  

6.421%, 8/02/33

   United Kingdom        500,000          522,988  

Philip Morris International, Inc., 5.375%, 2/15/33

   United States        500,000          496,733  
            

 

 

 
               1,976,331  
            

 

 

 

Airlines 2.2%

            

a American Airlines, Inc., 8.50%, 5/15/29

   United States        1,650,000          1,715,327  

a Delta Air Lines, Inc./SkyMiles IP Ltd., 4.75%, 10/20/28

   United States        1,900,000          1,851,163  

a Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd., 6.50%, 6/20/27

   United States        996,000          998,780  

a United Airlines, Inc., 4.625%, 4/15/29

   United States        1,065,000          992,713  
            

 

 

 
               5,557,983  
            

 

 

 

Apparel 0.2%

            

a Hanesbrands, Inc., 9.00%, 2/15/31

   United States        350,000          367,012  
            

 

 

 

Auto Manufacturers 2.1%

            

Ford Motor Co.,

            

3.25%, 2/12/32

   United States        750,000          620,210  

6.10%, 8/19/32

   United States        1,300,000          1,299,029  

Ford Motor Credit Co. LLC, 7.35%, 3/06/30

   United States        1,260,000          1,334,151  

General Motors Financial Co., Inc.,

            

6.40%, 1/09/33

   United States        1,115,000          1,157,920  

5.80%, 1/07/29

   United States        850,000          857,880  
            

 

 

 
               5,269,190  
            

 

 

 

Banks 1.1%

            

Bank of America Corp., 4.571% to 4/27/32, FRN thereafter, 4/27/33

   United States        1,500,000          1,415,154  

U.S. Bancorp, 5.836% to 6/10/33, FRN thereafter, 6/12/34

   United States        300,000          304,314  

Wells Fargo & Co., 5.389% to 4/24/33, FRN thereafter, 4/24/34

   United States        1,101,000          1,088,850  
            

 

 

 
               2,808,318  
            

 

 

 

Banks 3.1%

            

Barclays PLC, 7.437% to 11/02/32, FRN thereafter, 11/02/33

   United Kingdom        1,465,000          1,612,081  

Citigroup, Inc.,

            

6.27% to 11/17/32, FRN thereafter, 11/17/33

   United States        500,000          523,905  

6.174% to 5/25/33, FRN thereafter, 5/25/34

   United States        495,000          503,672  

Fifth Third Bank NA, 5.852% to 10/27/24, FRN thereafter, 10/27/25

   United States        500,000          499,606  

Goldman Sachs Group, Inc., 6.561% to 10/24/33, FRN thereafter, 10/24/34

   United States        825,000          887,280  

JPMorgan Chase & Co., 5.04% to 1/23/27, FRN thereafter, 1/23/28

   United States        980,000          974,885  

KeyBank NA, 4.90%, 8/08/32

   United States        615,000          548,349  

Morgan Stanley, 6.342% to 10/18/32, FRN thereafter, 10/18/33

   United States        1,148,000          1,219,197  

PNC Financial Services Group, Inc., 5.068% to 1/24/33, FRN thereafter, 1/24/34

   United States        510,000          493,121  

Truist Financial Corp., 4.916% to 7/28/32, FRN thereafter, 7/28/33

   United States        540,000          500,026  
            

 

 

 
               7,762,122  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Building Products 0.1%

            

a AmeriTex HoldCo Intermediate LLC, 10.25%, 10/15/28

   United States        250,000          263,583  
            

 

 

 

Chemicals 1.0%

            

Celanese U.S. Holdings LLC, 6.379%, 7/15/32

   United States        725,000          745,482  

a Rain Carbon, Inc., 12.25%, 9/01/29

   United States        500,000          538,766  

a SCIH Salt Holdings, Inc., 4.875%, 5/01/28

   United States        1,155,000          1,075,723  
            

 

 

 
               2,359,971  
            

 

 

 

Commercial Services & Supplies 0.7%

            

a Ashtead Capital, Inc., 4.25%, 11/01/29

   United Kingdom        550,000          516,114  

a MPH Acquisition Holdings LLC, 5.50%, 9/01/28

   United States        925,000          699,405  

a United Rentals North America, Inc., 6.00%, 12/15/29

   United States        485,000          487,575  
            

 

 

 
               1,703,094  
            

 

 

 

Construction Materials 0.5%

            

Carrier Global Corp., 2.722%, 2/15/30

   United States        850,000          751,224  

a EMRLD Borrower LP/Emerald Co.-Issuer, Inc., 6.625%, 12/15/30

   United States        500,000          504,526  
            

 

 

 
                     1,255,750  
            

 

 

 

Electric 3.1%

            

American Electric Power Co., Inc., 5.625%, 3/01/33

   United States        300,000          299,100  

a Calpine Corp., senior note, 5.125%, 3/15/28

   United States        900,000          866,249  

Dominion Energy, Inc., Series C, 3.375%, 4/01/30

   United States        300,000          271,074  

NextEra Energy Capital Holdings, Inc., 5.25%, 3/15/34

   United States        500,000          491,506  

a NRG Energy, Inc., 3.625%, 2/15/31

   United States        1,320,000          1,133,017  

Pacific Gas & Electric Co., 3.15%, 1/01/26

   United States        1,800,000          1,734,584  

Southern Co., 5.70%, 10/15/32

   United States        480,000          489,901  

Vistra Operations Co. LLC,

            

a 3.70%, 1/30/27

   United States        535,000          511,563  

a 7.75%, 10/15/31

   United States        500,000          521,088  

a 6.875%, 4/15/32

   United States        1,400,000          1,422,312  
            

 

 

 
               7,740,394  
            

 

 

 

Entertainment 0.5%

            

Caesars Entertainment, Inc.,

            

a 8.125%, 7/01/27

   United States        475,000          484,981  

a 4.625%, 10/15/29

   United States        855,000          784,454  
            

 

 

 
               1,269,435  
            

 

 

 

Financial Services 1.8%

            

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 5.75%, 6/06/28

   Ireland        500,000          505,418  

Capital One Financial Corp.,

            

3.75%, 7/28/26

   United States        600,000          579,296  

4.927% to 5/10/27, FRN thereafter, 5/10/28

   United States        765,000          754,351  

5.817% to 2/01/33, FRN thereafter, 2/01/34

   United States        1,000,000          990,276  

Charles Schwab Corp.,

            

5.853% to 5/19/33, FRN thereafter, 5/19/34

   United States        490,000          499,832  

6.196% to 11/17/28, FRN thereafter, 11/17/29

   United States        500,000          520,186  

a Macquarie Airfinance Holdings Ltd., 6.40%, 3/26/29

   United Kingdom        500,000          508,816  
            

 

 

 
               4,358,175  
            

 

 

 

Food 0.7%

            

JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL, 5.75%, 4/01/33

   United States        530,000          529,770  

Pilgrim’s Pride Corp., 6.25%, 7/01/33

   United States        500,000          509,952  

a Post Holdings, Inc., 6.25%, 2/15/32

   United States        700,000          701,784  
            

 

 

 
               1,741,506  
            

 

 

 

Hand/Machine Tools 0.2%

            

Regal Rexnord Corp., 6.40%, 4/15/33

   United States        500,000          511,894  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Health Care Providers & Services 5.3%

            

Centene Corp., 2.50%, 3/01/31

   United States        2,030,000          1,667,494  

CHS/Community Health Systems, Inc.,

            

a 8.00%, 12/15/27

   United States        1,450,000          1,439,068  

a 6.875%, 4/01/28

   United States        705,000          523,970  

a 10.875%, 1/15/32

   United States        2,625,000          2,735,346  

a DaVita, Inc., 4.625%, 6/01/30

   United States        1,520,000          1,374,794  

a Fresenius Medical Care U.S. Finance III, Inc., 2.375%, 2/16/31

   Germany        645,000          509,615  

HCA, Inc., 5.625%, 9/01/28

   United States        1,085,000          1,095,023  

Tenet Healthcare Corp., 6.125%, 10/01/28

   United States        3,375,000          3,360,671  

UnitedHealth Group, Inc., 5.35%, 2/15/33

   United States        500,000          506,867  
            

 

 

 
               13,212,848  
            

 

 

 

Healthcare-Products 0.8%

            

GE HealthCare Technologies, Inc., 5.905%, 11/22/32

   United States        475,000          490,390  

a Medline Borrower LP, 3.875%, 4/01/29

   United States        1,135,000          1,046,089  

a Medline Borrower LP/Medline Co.-Issuer, Inc., 6.25%, 4/01/29

   United States        450,000          455,656  
            

 

 

 
               1,992,135  
            

 

 

 

Insurance 0.4%

            

Brown & Brown, Inc., 2.375%, 3/15/31

   United States        615,000          508,332  

a Five Corners Funding Trust III, 5.791%, 2/15/33

   United States        490,000          498,632  
            

 

 

 
               1,006,964  
            

 

 

 

Internet 0.6%

            

Expedia Group, Inc., 3.80%, 2/15/28

   United States        525,000          499,861  

Netflix, Inc., 5.875%, 11/15/28

   United States        945,000          973,923  
            

 

 

 
               1,473,784  
            

 

 

 

Iron/Steel 0.4%

            

ArcelorMittal SA, 6.80%, 11/29/32

   Luxembourg        485,000          511,272  

a Cleveland-Cliffs, Inc., 6.75%, 4/15/30

   United States        400,000          396,254  
            

 

 

 
               907,526  
            

 

 

 

IT Services 0.6%

            

Dell International LLC/EMC Corp., 5.75%, 2/01/33

   United States        300,000          308,587  

HP, Inc., 5.50%, 1/15/33

   United States        750,000          755,367  

a McAfee Corp., 7.375%, 2/15/30

   United States        565,000          522,364  
            

 

 

 
               1,586,318  
            

 

 

 

Leisure Time 0.6%

            

a Carnival Corp., 7.625%, 3/01/26

   United States        1,590,000          1,606,838  
            

 

 

 

Lodging 0.7%

            

a Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp., 5.25%, 5/15/27

   United States        775,000          756,458  

a Wynn Macau Ltd., 5.50%, 1/15/26

   Macau        980,000          960,120  
            

 

 

 
               1,716,578  
            

 

 

 

Media 0.9%

            

a CCO Holdings LLC/CCO Holdings Capital Corp., 5.00%, 2/01/28

   United States        1,350,000          1,263,231  

Charter Communications Operating LLC/Charter Communications Operating Capital, 4.908%, 7/23/25

   United States        600,000          594,406  

a Univision Communications, Inc., senior note, 6.625%, 6/01/27

   United States        520,000          498,325  
            

 

 

 
               2,355,962  
            

 

 

 

Mining 0.9%

            

a Alcoa Nederland Holding BV, 4.125%, 3/31/29

   United States        825,000          766,035  

a FMG Resources August 2006 Pty. Ltd., 6.125%, 4/15/32

   Australia        770,000          761,930  

Freeport-McMoRan, Inc., 5.40%, 11/14/34

   United States        775,000          762,858  
            

 

 

 
               2,290,823  
            

 

 

 

Oil & Gas 1.3%

            

Calumet Specialty Products Partners LP/Calumet Finance Corp.,

            

a 8.125%, 1/15/27

   United States        1,925,000          1,816,861  

a 9.25%, 7/15/29

   United States        300,000          306,000  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Matador Resources Co., 6.50%, 4/15/32

   United States        450,000          450,369  

Occidental Petroleum Corp., 6.625%, 9/01/30

   United States        700,000          734,542  
            

 

 

 
                3,307,772  
            

 

 

 

Oil & Gas Services 0.4%

            

a Weatherford International Ltd., 8.625%, 4/30/30

   United States        1,040,000          1,078,560  
            

 

 

 

Packaging & Containers 1.7%

            

a Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC, 4.00%, 9/01/29

   United States        1,150,000          974,476  

a Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc., senior note, 5.25%, 8/15/27

   Luxembourg        2,235,000          1,394,443  

Mauser Packaging Solutions Holding Co.,

            

a 9.25%, 4/15/27

   United States        665,000          666,245  

a 7.875%, 4/15/27

   United States        1,065,000          1,087,622  
            

 

 

 
               4,122,786  
            

 

 

 

Pharmaceuticals 2.1%

            

a 1375209 BC Ltd., 9.00%, 1/30/28

   Canada        1,625,000          1,564,601  

AbbVie, Inc., 4.55%, 3/15/35

   United States        520,000          493,455  

a Bausch Health Cos., Inc., 5.50%, 11/01/25

   United States        1,140,000          1,062,999  

CVS Health Corp., 5.25%, 2/21/33

   United States        1,000,000          976,919  

a Endo Finance Holdings, Inc., 8.50%, 4/15/31

   United States        500,000          516,614  

Teva Pharmaceutical Finance Netherlands III BV, 6.75%, 3/01/28

   Israel        600,000          614,748  
            

 

 

 
               5,229,336  
            

 

 

 

Pipelines 1.4%

            

Cheniere Corpus Christi Holdings LLC, 3.70%, 11/15/29

   United States        800,000          739,526  

Kinder Morgan, Inc.,

            

5.20%, 6/01/33

   United States        515,000          499,998  

5.40%, 2/01/34

   United States        775,000          763,436  

a Venture Global LNG, Inc., 8.125%, 6/01/28

   United States        740,000          762,945  

Williams Cos., Inc., 3.50%, 11/15/30

   United States        825,000          748,176  
            

 

 

 
               3,514,081  
            

 

 

 

Real Estate Management & Development 1.0%

            

American Tower Corp., 5.55%, 7/15/33

   United States        850,000          849,428  

Crown Castle, Inc., 5.10%, 5/01/33

   United States        300,000          289,525  

Healthpeak OP LLC, 5.25%, 12/15/32

   United States        500,000          491,155  

VICI Properties LP, 5.125%, 5/15/32

   United States        800,000          762,717  
            

 

 

 
               2,392,825  
            

 

 

 

Retail 1.2%

            

a Bausch & Lomb Corp., 8.375%, 10/01/28

   United States        675,000          691,875  

a Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc., 4.625%, 1/15/29

   United States        1,315,000          1,198,545  

Lowe’s Cos., Inc., 5.00%, 4/15/33

   United States        1,000,000          985,157  
            

 

 

 
               2,875,577  
            

 

 

 

Semiconductors 0.8%

            

a Broadcom, Inc., 3.469%, 4/15/34

   United States        1,315,000          1,121,479  

Micron Technology, Inc., 5.327%, 2/06/29

   United States        350,000          351,779  

NXP BV/NXP Funding LLC, 5.55%, 12/01/28

   China        500,000          506,856  
            

 

 

 
               1,980,114  
            

 

 

 

Software 1.2%

            

a Cloud Software Group, Inc., 6.50%, 3/31/29

   United States        900,000          864,954  

Fiserv, Inc., 5.60%, 3/02/33

   United States        400,000          403,508  

Oracle Corp.,

            

2.875%, 3/25/31

   United States        650,000          561,499  

6.25%, 11/09/32

   United States        720,000          762,422  

Workday, Inc., 3.80%, 4/01/32

   United States        550,000          494,443  
            

 

 

 
               3,086,826  
            

 

 

 

Telecommunications 1.5%

            

a CommScope Technologies LLC, 6.00%, 6/15/25

   United States        500,000          407,995  

a CommScope, Inc., 6.00%, 3/01/26

   United States        2,200,000          1,933,360  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Sprint LLC, 7.625%, 3/01/26

   United States        470,000          483,367  

T-Mobile USA, Inc., 5.05%, 7/15/33

   United States        900,000          880,843  
            

 

 

 
               3,705,565  
            

 

 

 

Total Corporate Bonds & Notes (Cost $109,265,488)

               109,898,779  
            

 

 

 

U.S. Government & Agency Securities 11.8%

            

Federal Home Loan Mortgage Corp.,

            

5.00%, 5/01/53

   United States        1,030,036          996,074  

5.50%, 7/01/53

   United States        501,663          495,128  

5.50%, 11/01/53

   United States        506,966          500,269  

Federal National Mortgage Association,

            

5.00%, 5/01/53

   United States        1,022,563          988,798  

5.00%, 11/01/53

   United States        1,537,913          1,487,130  

U.S. Treasury Bonds, 3.625%, 5/15/53

   United States        2,000,000          1,702,266  

U.S. Treasury Notes,

            

4.00%, 2/15/34

   United States        4,000,000          3,883,438  

4.375%, 12/15/26

   United States        2,000,000          1,988,789  

4.625%, 4/30/29

   United States        2,500,000          2,529,102  

U.S. Treasury STRIPS Principal,

            

b zero cpn., 2/15/45

   United States        14,000,000          5,384,889  

b zero cpn., 5/15/53

   United States        34,000,000          9,541,922  
            

 

 

 

Total U.S. Government & Agency Securities (Cost $29,886,098)

               29,497,805  
            

 

 

 
            
            Shares           

Common Stocks 27.0%

            

Aerospace & Defense 1.3%

            

Lockheed Martin Corp.

   United States        4,226          1,973,964  

RTX Corp.

   United States        12,271          1,231,886  
            

 

 

 
               3,205,850  
            

 

 

 

Air Freight & Logistics 0.4%

            

United Parcel Service, Inc. Class B

   United States        6,765          925,790  
            

 

 

 

Banks 4.2%

            

Bank of America Corp.

   United States        65,735          2,614,281  

Citigroup, Inc.

   United States        25,306          1,605,919  

JPMorgan Chase & Co.

   United States        16,489          3,335,065  

Truist Financial Corp.

   United States        36,703          1,425,911  

U.S. Bancorp

   United States        41,028          1,628,812  
            

 

 

 
               10,609,988  
            

 

 

 

Beverages 1.3%

            

Coca-Cola Co.

   United States        30,979          1,971,813  

PepsiCo, Inc.

   United States        7,115          1,173,477  
            

 

 

 
               3,145,290  
            

 

 

 

Biotechnology 0.8%

            

AbbVie, Inc.

   United States        11,293          1,936,975  
            

 

 

 

Building Products 0.6%

            

Johnson Controls International PLC

   United States        23,596          1,568,426  
            

 

 

 

Capital Markets 0.9%

            

Morgan Stanley

   United States        23,366          2,270,941  
            

 

 

 

Chemicals 0.5%

            

Air Products & Chemicals, Inc.

   United States        5,050          1,303,152  
            

 

 

 

Communications Equipment 1.0%

            

Cisco Systems, Inc.

   United States        50,339          2,391,606  
            

 

 

 

Consumer Staples Distribution & Retail 0.0%

            

Target Corp.

   United States        44          6,514  
            

 

 

 

Diversified Telecommunication Services 0.8%

            

Verizon Communications, Inc.

   United States        46,262          1,907,845  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Electric Utilities 2.8%

            

Duke Energy Corp.

   United States        26,256          2,631,639  

Edison International

   United States        9,004          646,577  

NextEra Energy, Inc.

   United States        17,927          1,269,411  

Southern Co.

   United States        24,031          1,864,085  

Xcel Energy, Inc.

   United States        11,256          601,183  
            

 

 

 
               7,012,895  
            

 

 

 

Health Care Providers & Services 0.3%

            

CVS Health Corp.

   United States        11,845          699,566  
            

 

 

 

Hotels, Restaurants & Leisure 0.4%

            

Starbucks Corp.

   United States        12,821          998,115  
            

 

 

 

Household Products 1.1%

            

Procter & Gamble Co.

   United States        16,129          2,659,995  
            

 

 

 

Industrial Conglomerates 0.5%

            

Honeywell International, Inc.

   United States        5,815          1,241,735  
            

 

 

 

Media 0.5%

            

Comcast Corp. Class A

   United States        32,560          1,275,050  
            

 

 

 

Metals & Mining 0.7%

            

Rio Tinto PLCADR

   Australia        26,984          1,779,055  
            

 

 

 

Multi-Utilities 0.2%

            

Sempra

   United States        8,310          632,059  
            

 

 

 

Oil, Gas & Consumable Fuels 3.4%

            

Chevron Corp.

   United States        27,887          4,362,085  

Exxon Mobil Corp.

   United States        20,421          2,350,865  

TotalEnergies SEADR

   France        28,470          1,898,380  
            

 

 

 
               8,611,330  
            

 

 

 

Pharmaceuticals 1.9%

            

Johnson & Johnson

   United States        20,523          2,999,642  

Merck & Co., Inc.

   United States        57          7,056  

Roche Holding AGADR

   United States        50,116          1,737,522  
            

 

 

 
               4,744,220  
            

 

 

 

Semiconductors & Semiconductor Equipment 1.6%

            

Analog Devices, Inc.

   United States        11,952          2,728,164  

Intel Corp.

   United States        41,885          1,297,178  
            

 

 

 
               4,025,342  
            

 

 

 

Specialty Retail 1.0%

            

Home Depot, Inc.

   United States        7,392          2,544,622  
            

 

 

 

Tobacco 0.8%

            

Philip Morris International, Inc.

   United States        18,949          1,920,102  
            

 

 

 

Total Common Stocks (Cost $64,457,282)

               67,416,463  
            

 

 

 

Preferred Stocks 1.1%

            

Chemicals 0.6%

            

Albemarle Corp., pfd.

   United States        30,041          1,401,713  
            

 

 

 

Electric Utilities 0.5%

            

NextEra Energy, Inc., pfd.

   United States        25,260          1,250,117  
            

 

 

 

Total Preferred Stocks (Cost $2,807,992)

               2,651,830  
            

 

 

 

Equity-Linked Securities 13.4%

            

Other 13.4%

            

a Barclays Bank PLC into IBM US, 8.50%, 6/9/25

   United Kingdom        7,000          1,213,369  

a BNP Paribas Issuance BV into Target Corp., 9.00%, 7/10/25

   Netherlands        8,600          1,270,943  

a JPMorgan Chase Bank NA into Alphabet Inc., Class A, 8.00%, 3/28/25

   United States        12,000          1,876,143  

a JPMorgan Chase Financial Co. LLC into S&P 500 Index, 7.00%, 8/20/24

   United States        500          2,595,967  

a Mizuho Markets Cayman LP into S&P 500 Index, 7.50%, 8/20/24

   Japan        600          3,155,232  

a National Bank of Canada into Broadcom Inc., 11.50%, 5/13/25

   Canada        750          1,041,366  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Royal Bank of Canada into S&P 500 Index, 7.00%, 7/16/24

   Canada        383          2,057,329  

a Royal Bank of Canada into S&P 500 Index, 8.00%, 7/2/24

   Canada        600          3,128,684  

a Royal Bank of Canada into Texas Instruments Inc., 8.00%, 6/11/25

   Canada        25,000          4,959,688  

a UBS AG into Apple Inc., 7.00%, 4/2/25

   Switzerland        6,000          1,138,419  

a UBS AG into S&P 500 Index, 7.00%, 7/23/24

   United Kingdom        460          2,409,480  

a UBS AG into S&P 500 Index, 7.00%, 10/22/24

   Switzerland        475          2,582,079  

a Wells Fargo Bank NA into S&P 500 Index, 7.50%, 9/24/24

   United States        500          2,617,878  

a Wells Fargo Bank NA into S&P 500 Index, 7.50%, 8/2/24

   United States        600          3,277,479  
            

 

 

 
               33,324,056  
            

 

 

 

Total Equity-Linked Securities (Cost $32,500,137)

               33,324,056  
            

 

 

 

Total Investments (Cost $238,916,997) 97.4%

               242,788,933  

Other Assets, less Liabilities 2.6%

               6,391,575  
            

 

 

 

Net Assets 100.0%

             $ 249,180,508  
            

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $86,298,979, representing 34.6% of net assets.

bThe security was issued on a discount basis with no stated coupon rate.

The Fund had the following option written contracts open at June 30, 2024.

Written Options

 

Description    Expiration
Date
     Exercise
Price
     Number of
Contracts
     Notional
Amount
     Premiums
(Received)
     Value  

Put Option Written

                 

NVIDIA Corp. Sep24 90 Put

     9/20/2024        90.00        100        $10,000        $16,482        $14,700  

Abbreviations

Selected Portfolio

 

ADR 

      American Depositary Receipt

FRN 

      Floating Rate Note


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Intelligent Machines ETF    Country      Shares        Value  

Common Stocks 99.9%

            

Aerospace & Defense 2.9%

            

a Axon Enterprise, Inc.

   United States        2,480        $ 729,715  
            

 

 

 

Automobiles 2.7%

            

a Tesla, Inc.

   United States        3,434          679,520  
            

 

 

 

Construction & Engineering 3.2%

            

Quanta Services, Inc.

   United States        2,161          549,089  

Valmont Industries, Inc.

   United States        932          255,787  
            

 

 

 
               804,876  
            

 

 

 

Electrical Equipment 1.7%

            

Eaton Corp. PLC

   United States        1,013          317,626  

Vertiv Holdings Co., Class A

   United States        1,335          115,571  
            

 

 

 
               433,197  
            

 

 

 

Electronic Equipment, Instruments & Components 5.6%

            

Amphenol Corp., Class A

   United States        6,216          418,772  

Keyence Corp.

   Japan        1,025          449,545  

a Keysight Technologies, Inc.

   United States        1,339          183,108  

TE Connectivity Ltd.

   United States        1,082          162,765  

a Trimble, Inc.

   United States        1,781          99,594  

a Zebra Technologies Corp., Class A

   United States        365          112,759  
            

 

 

 
               1,426,543  
            

 

 

 

Ground Transportation 1.0%

            

a Uber Technologies, Inc.

   United States        3,592          261,066  
            

 

 

 

Health Care Equipment & Supplies 7.9%

            

a Align Technology, Inc.

   United States        469          113,231  

a Dexcom, Inc.

   United States        1,677          190,138  

a IDEXX Laboratories, Inc.

   United States        624          304,013  

a Intuitive Surgical, Inc.

   United States        2,856          1,270,492  

a PROCEPT BioRobotics Corp.

   United States        2,005          122,485  
            

 

 

 
               2,000,359  
            

 

 

 

Health Care Technology 0.6%

            

Pro Medicus Ltd.

   Australia        1,448          138,539  
            

 

 

 

Household Durables 0.3%

            

Panasonic Holdings Corp.

   Japan        9,040          74,013  
            

 

 

 

Industrial Conglomerates 0.9%

            

Honeywell International, Inc.

   United States        441          94,171  

Siemens AG

   Germany        730          135,915  
            

 

 

 
               230,086  
            

 

 

 

Semiconductors & Semiconductor Equipment 45.8%

            

a Advanced Micro Devices, Inc.

   United States        3,918          635,539  

Analog Devices, Inc.

   United States        1,992          454,694  

Applied Materials, Inc.

   United States        3,589          846,968  

ASM International NV

   Netherlands        1,112          848,314  

ASML Holding NV

   Netherlands        1,259          1,287,617  

Broadcom, Inc.

   United States        323          518,586  

Entegris, Inc.

   United States        3,154          427,052  

a First Solar, Inc.

   United States        538          121,297  

Infineon Technologies AG

   Germany        6,050          222,437  

Intel Corp.

   United States        2,636          81,637  

KLA Corp.

   United States        531          437,815  

Lam Research Corp.

   United States        424          451,496  

Microchip Technology, Inc.

   United States        1,219          111,539  

Monolithic Power Systems, Inc.

   United States        80          65,734  

NVIDIA Corp.

   United States        25,000          3,088,500  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

NXP Semiconductors NV

   Netherlands        923          248,370  

a SiTime Corp.

   United States        408          50,747  

Taiwan Semiconductor Manufacturing Co. Ltd., ADR

   Taiwan        5,673          986,024  

Teradyne, Inc.

   United States        3,608          535,030  

Texas Instruments, Inc.

   United States        891          173,326  
            

 

 

 
               11,592,722  
            

 

 

 

Software 22.7%

            

a Altair Engineering, Inc., Class A

   United States        3,115          305,519  

a ANSYS, Inc.

   United States        1,227          394,481  

a Autodesk, Inc.

   United States        1,683          416,458  

Bentley Systems, Inc., Class B

   United States        2,146          105,927  

a Cadence Design Systems, Inc.

   United States        3,603          1,108,823  

Constellation Software, Inc.

   Canada        200          576,151  

a Crowdstrike Holdings, Inc., Class A

   United States        665          254,821  

Dassault Systemes SE

   France        6,639          251,172  

a Descartes Systems Group, Inc.

   Canada        6,611          640,398  

a,b Lumine Group, Inc.

   Canada        600          16,193  

a PTC, Inc.

   United States        1,826          331,729  

Roper Technologies, Inc.

   United States        400          225,464  

a Synopsys, Inc.

   United States        1,883          1,120,498  
            

 

 

 
               5,747,634  
            

 

 

 

Technology Hardware, Storage & Peripherals 4.6%

            

Apple, Inc.

   United States        4,904          1,032,881  

a Pure Storage, Inc., Class A

   United States        1,887          121,164  
            

 

 

 
               1,154,045  
            

 

 

 

Total Common Stocks (Cost $19,207,049)

               25,272,315  
            

 

 

 

Warrant 0.0%

            

Software 0.0%

            

a,c Constellation Software, Inc.

   Canada        225           
            

 

 

 

Total Investments (Cost $19,207,049) 99.9%

               25,272,315  

Other Assets, less Liabilities 0.1%

               34,031  
            

 

 

 

Net Assets 100.0%

             $ 25,306,346  
            

 

 

 

aNon-income producing.

bSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. At June 30, 2024, the value of was $16,193, representing 0.1% of net assets.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

Abbreviations

Selected Portfolio

 

ADR   – American Depositary Receipt


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin International Aggregate Bond ETF    Principal Amount*        Value  

Foreign Government and Agency Securities 93.7%

            

Australia 3.0%

            

a Australia Government Bonds, Series 149, 2.25%, 5/21/28

   8,000,000        AUD        $ 4,993,316  

a New South Wales Treasury Corp., Series 27, 3.00%, 5/20/27

   3,500,000        AUD          2,249,907  

a Queensland Treasury Corp., 3.25%, 8/21/29

   6,500,000        AUD          4,093,301  

a Western Australian Treasury Corp., Series 26, 3.00%, 10/21/26

   7,500,000        AUD          4,855,681  
            

 

 

 
               16,192,205  
            

 

 

 

Austria 3.5%

            

Republic of Austria Government Bonds,

            

a 1.20%, 10/20/25

   13,000,000        EUR          13,570,454  

a 1.50%, 2/20/47

   7,000,000        EUR          5,397,568  
            

 

 

 
               18,968,022  
            

 

 

 

Belgium 3.9%

            

a Kingdom of Belgium Government Bonds, Series 75, 1.00%, 6/22/31

   22,000,000        EUR          20,736,835  
            

 

 

 

Canada 4.5%

            

Canada Government Bonds,

            

1.25%, 3/01/25

   14,000,000        CAD          10,016,491  

5.00%, 6/01/37

   10,000,000        CAD          8,430,174  

2.00%, 12/01/51

   10,000,000        CAD          5,470,780  
            

 

 

 
               23,917,445  
            

 

 

 

China 18.9%

            

Agricultural Development Bank of China, Series 2008, 3.45%, 9/23/25

   13,000,000        CNY          1,817,078  

China Development Bank,

            

Series 2003, 3.23%, 1/10/25

   24,000,000        CNY          3,315,005  

Series 2004, 3.43%, 1/14/27

   25,000,000        CNY          3,552,363  

China Government Bonds, 2.47%, 9/02/24

   40,000,000        CNY          5,489,600  

1.99%, 4/09/25

   40,000,000        CNY          5,496,625  

1.59%, 4/25/25

   80,000,000        CNY          10,961,810  

2.22%, 9/25/25

   40,000,000        CNY          5,520,435  

2.33%, 12/15/25

   40,000,000        CNY          5,535,741  

3.03%, 3/11/26

   50,000,000        CNY          7,011,368  

2.85%, 6/04/27

   50,000,000        CNY          7,050,154  

2.67%, 5/25/33

   80,000,000        CNY          11,335,564  

2.52%, 8/25/33

   80,000,000        CNY          11,189,155  

2.35%, 2/25/34

   80,000,000        CNY          11,047,261  

Series 1722, 4.28%, 10/23/47

   65,000,000        CNY          11,800,131  
            

 

 

 
               101,122,290  
            

 

 

 

Cyprus 0.9%

            

a Cyprus Government International Bonds, 1.50%, 4/16/27

   4,500,000        EUR          4,623,361  
            

 

 

 

Finland 0.5%

            

a Finland Government Bonds, 2.75%, 7/04/28

   2,500,000        EUR          2,670,224  
            

 

 

 

France 4.4%

            

French Republic Government Bonds OAT,

            

a 0.75%, 5/25/52

   10,000,000        EUR          5,360,252  

a,b zero cpn., 11/25/29

   20,000,000        EUR          18,248,490  
            

 

 

 
               23,608,742  
            

 

 

 

Germany 5.1%

            

a,b Bundesobligation, zero cpn., Series G, 10/10/25

   6,100,000        EUR          6,294,122  

a,b Bundesrepublik Deutschland Bundesanleihe, zero cpn., 8/15/26

   21,000,000        EUR          21,249,341  
            

 

 

 
               27,543,463  
            

 

 

 

Ireland 0.5%

            

a Ireland Government Bonds, 1.35%, 3/18/31

   2,500,000        EUR          2,443,539  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Italy 4.4%

            

Italy Buoni Poliennali Del Tesoro,

            

a Series 10Y, 1.25%, 12/01/26

   10,000,000        EUR          10,191,320  

a 2.45%, 9/01/50

   18,000,000        EUR          13,407,807  
            

 

 

 
               23,599,127  
            

 

 

 

Japan 15.4%

            

Development Bank of Japan, Inc., 2.30%, 3/19/26

   1,200,000,000        JPY          7,696,505  

Japan Government Five Year Bonds,

            

Series 142, 0.10%, 12/20/24

   3,000,000,000        JPY          18,646,906  

Series 161, 0.30%, 6/20/28

   3,000,000,000        JPY          18,516,234  

Japan Government Thirty Year Bonds, Series 65, 0.40%, 12/20/49

   900,000,000        JPY          3,766,783  

Japan Government Twenty Year Bonds,

            

1.50%, 3/20/33

   4,000,000,000        JPY          26,066,979  

Series 179, 0.50%, 12/20/41

   1,500,000,000        JPY          7,636,453  
            

 

 

 
               82,329,860  
            

 

 

 

Mexico 1.2%

            

c Mexico Bonos, Series M, 8.00%, 11/07/47

   150,000,000        MXN          6,700,765  
            

 

 

 

Netherlands 4.0%

            

Netherlands Government Bonds,

            

a 0.50%, 7/15/26

   12,000,000        EUR          12,269,417  

a 0.50%, 1/15/40

   12,000,000        EUR          9,019,367  
            

 

 

 
               21,288,784  
            

 

 

 

Poland 2.0%

            

Republic of Poland Government Bonds, Series 1029, 2.75%, 10/25/29

   50,000,000        PLN          10,899,814  
            

 

 

 

Portugal 0.9%

            

a Portugal Government International Bonds, 5.125%, 10/15/24

   5,000,000        USD          4,994,922  
            

 

 

 

Romania 0.9%

            

a Romania Government International Bonds, 2.00%, 1/28/32

   5,500,000        EUR          4,609,539  
            

 

 

 

Spain 4.0%

            

Spain Government Bonds,

            

a 1.25%, 10/31/30

   20,000,000        EUR          19,171,834  

b zero cpn., 1/31/25

   2,000,000        EUR          2,100,238  
            

 

 

 
               21,272,072  
            

 

 

 

Supranational 4.3%

            

European Union,

            

a 2.75%, 2/04/33

   17,000,000        EUR          17,800,024  

a 0.30%, 11/04/50

   10,000,000        EUR          5,186,100  
            

 

 

 
               22,986,124  
            

 

 

 

Sweden 3.3%

            

a Sweden Government Bonds, Series 1060, 0.75%, 5/12/28

   200,000,000        SEK          17,868,496  
            

 

 

 

United Kingdom 8.1%

            

U.K. Gilts,

            

a 4.75%, 12/07/30

   11,000,000        GBP          14,482,503  

a 0.875%, 7/31/33

   12,000,000        GBP          11,452,474  

a 3.75%, 1/29/38

   15,000,000        GBP          17,723,306  
            

 

 

 
               43,658,283  
            

 

 

 

Total Foreign Government and Agency Securities (Cost $526,427,529)

               502,033,912  
            

 

 

 

Corporate Bonds & Notes 2.9%

            

France 0.3%

            

a Orange SA, 1.375%, 3/20/28

   1,500,000        EUR          1,496,568  
            

 

 

 

Germany 0.6%

            

a Deutsche Telekom AG, 0.875%, 3/25/26

   500,000        EUR          513,501  

Kreditanstalt fuer Wiederaufbau, 2.05%, 2/16/26

   300,000,000        JPY          1,918,313  

a,b Siemens Financieringsmaatschappij NV, zero cpn., 2/20/26

   700,000        EUR          711,920  
            

 

 

 
               3,143,734  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Supranational 0.7%

            

Asian Development Bank, Series 339-00-1, 2.35%, 6/21/27

   240,000,000        JPY          1,582,370  

a European Investment Bank, 1.90%, 1/26/26

   330,000,000        JPY          2,106,994  
            

 

 

 
               3,689,364  
            

 

 

 

United Kingdom 0.3%

            

a RELX Finance BV, 0.50%, 3/10/28

   1,500,000        EUR          1,449,168  
            

 

 

 

United States 1.0%

            

Apple, Inc., 1.625%, 11/10/26

   1,000,000        EUR          1,031,141  

AT&T, Inc., 0.25%, 3/04/26

   1,200,000        EUR          1,218,941  

Procter & Gamble Co., 0.50%, 10/25/24

   1,200,000        EUR          1,271,922  

a Schlumberger Finance France SAS, 1.00%, 2/18/26

   1,000,000        EUR          1,028,731  

Stryker Corp., 0.25%, 12/03/24

   1,000,000        EUR          1,054,731  
            

 

 

 
               5,605,466  
            

 

 

 

Total Corporate Bonds & Notes (Cost $18,897,590)

               15,384,300  
            

 

 

 

Total Investments before Short Term Investments ($545,325,119)

               517,418,212  
            

 

 

 

Short-Term Investments 1.2%

            

U.S. Government & Agency Securities 1.2%

            

b Federal Home Loan Bank Discount Notes, 7/01/24

   6,370,000             6,367,221  
            

 

 

 

Total Short-Term Investments (Cost $6,370,000)

               6,367,221  
            

 

 

 

Total Investments (Cost $551,695,119) 97.8%

               523,785,433  

Other Assets, less Liabilities 2.2%

               11,910,079  
            

 

 

 

Net Assets 100.0%

             $ 535,695,512  
            

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

aSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. At June 30, 2024, the value of was $282,270,382, representing 52.7% of net assets.

bThe security was issued on a discount basis with no stated coupon rate.

cPrincipal amount is stated in 100 Mexican Peso Units.

At June 30, 2024, the Fund had the following forward exchange contracts outstanding.

Forward Exchange Contracts

 

Currency    Counterpartya        Type      Quantity      Contract
Amount
     Settlement
Date
     Unrealized
Appreciation
     Unrealized
Depreciation
 

 

 

OTC Forward Exchange Contracts

                      

Australian Dollar

     CITI          Sell        15,390,000      $ 10,138,255        8/14/24      $      $ (146,267

Australian Dollar

     BNPS          Sell        8,800,000        5,797,324        8/14/24               (83,365

Canadian Dollar

     CITI          Sell        11,320,000        8,256,244        8/14/24               (22,838

Canadian Dollar

     BNPS          Sell        7,850,000        5,724,299        8/14/24               (16,937

Canadian Dollar

     CITI          Sell        13,100,000        9,585,251        8/14/24        4,335         

Chinese Yuan

     CITI          Sell        35,000,000        4,824,762        8/14/24        13,809         

Chinese Yuan

     CITI          Sell        122,000,000        16,883,035        8/14/24        113,428         

Chinese Yuan

     CITI          Sell        81,000,000        11,284,638        8/14/24        150,718         

Chinese Yuan

     CITI          Sell        499,700,000        69,490,123        8/14/24        803,463         

Euro

     BNPS          Buy        6,000,000        6,532,110        8/14/24               (92,739

Euro

     BNPS          Sell        8,000,000        8,568,127        8/14/24               (17,700

Euro

     BNPS          Sell        64,800,000        69,966,659        8/14/24        421,458         

Euro

     CITI          Sell        126,000,000        136,027,849        8/14/24        801,068         

Great British Pound

     CITI          Sell        25,500,000        31,839,323        8/14/24               (392,953

Great British Pound

     BNPS          Sell        10,200,000        12,737,568        8/14/24               (155,342

Japanese Yen

     CITI          Sell        600,000,000        3,797,739        8/14/24        43,753         

Japanese Yen

     BNPS          Sell        2,000,000,000        13,140,613        8/14/24        627,327         

Japanese Yen

     BNPS          Sell        2,950,000,000        19,235,477        8/14/24        778,379         

Japanese Yen

     CITI          Sell        5,449,000,000        35,517,660        8/14/24        1,425,210         

Japanese Yen

     BNPS          Sell        3,300,000,000        22,141,263        8/14/24        1,494,340         

Mexican Peso

     CITI          Buy        190,000,000        11,085,081        8/14/24               (736,046


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Forward Exchange Contracts (continued)

                      

OTC Forward Exchange Contracts (continued)

                      

Mexican Peso

     BNPS          Sell        86,288,147      $ 5,014,513        8/14/24      $ 314,518      $  

Mexican Peso

     CITI          Sell        215,100,000         12,501,980        8/14/24        785,783         

Polish Zloty

     CITI          Buy        36,000,000        9,111,608        8/14/24               (169,639

Polish Zloty

     BNPS          Sell        28,800,000        7,183,347        8/14/24        29,772         

Polish Zloty

     CITI          Sell        45,550,000        11,359,745        8/14/24        45,670         

Swedish Krona

     CITI          Sell        133,500,000        12,312,842        8/14/24               (306,437

Swedish Krona

     BNPS          Sell        45,800,000        4,225,876        8/14/24               (103,435
                   

 

 

 

Total Forward Exchange Contracts

                      $ 7,853,031      $ (2,243,698
                   

 

 

 

Net unrealized appreciation (depreciation)

 

               $ 5,609,333  
                   

 

 

 

aMay be comprised of multiple contracts with the same counterparty, currency and settlement date.

Abbreviations

Selected Portfolio

 

BNPS   –  BNP Paribas SA.
CITI   –  CITIBANK
OAT   –  Obligation Assumable by the Treasurer


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin International Core Dividend Tilt Index ETF    Industry      Shares        Value  

Common Stocks 98.7%

            

Australia 10.8%

            

Ampol Ltd.

   Oil, Gas & Consumable Fuels        37,536        $ 810,713  

ANZ Group Holdings Ltd.

   Banks        304,368          5,740,407  

APA Group

   Gas Utilities        193,936          1,034,866  

ASX Ltd.

   Capital Markets        29,104          1,166,227  

Atlas Arteria Ltd.

   Transportation Infrastructure        180,880          617,292  

Aurizon Holdings Ltd.

   Ground Transportation        290,768          708,791  

BHP Group Ltd.

   Metals & Mining        344,624          9,823,108  

Cochlear Ltd.

   Health Care Equipment & Supplies        544          120,674  

Coles Group Ltd.

   Consumer Staples Distribution & Retail        198,016          2,252,132  

Commonwealth Bank of Australia

   Banks        80,784          6,872,355  

CSL Ltd.

   Biotechnology        16,048          3,163,960  

Dexus

   Office REITs        170,000          735,704  

Endeavour Group Ltd.

   Consumer Staples Distribution & Retail        204,816          690,771  

Fortescue Ltd.

   Metals & Mining        257,856          3,686,998  

Glencore PLC

   Metals & Mining        805,392          4,592,629  

Goodman Group

   Industrial REITs        6,312          146,488  

GPT Group

   Diversified REITs        292,400          781,117  

Lottery Corp. Ltd.

   Hotels, Restaurants & Leisure        222,768          754,292  

Macquarie Group Ltd.

   Capital Markets        21,216          2,900,275  

Medibank Pvt Ltd.

   Insurance        395,488          985,193  

Mirvac Group

   Diversified REITs        574,192          717,097  

National Australia Bank Ltd.

   Banks        160,208          3,876,426  

Northern Star Resources Ltd.

   Metals & Mining        19,312          167,668  

Origin Energy Ltd.

   Electric Utilities        109,072          791,083  

Pilbara Minerals Ltd.

   Metals & Mining        280,432          574,970  

REA Group Ltd.

   Interactive Media & Services        3,536          464,416  

Rio Tinto Ltd.

   Metals & Mining        28,288          2,248,165  

Rio Tinto PLC

   Metals & Mining        107,168          7,045,847  

Santos Ltd.

   Oil, Gas & Consumable Fuels        113,424          580,247  

Scentre Group

   Retail REITs        779,824          1,624,913  

SEEK Ltd.

   Interactive Media & Services        28,288          403,536  

Sonic Healthcare Ltd.

   Health Care Providers & Services        69,360          1,218,271  

Stockland

   Diversified REITs        368,288          1,025,658  

Telstra Group Ltd.

   Diversified Telecommunication Services        612,000          1,479,582  

TPG Telecom Ltd.

   Diversified Telecommunication Services        67,184          205,499  

Transurban Group

   Transportation Infrastructure        474,368          3,928,403  

Treasury Wine Estates Ltd.

   Beverages        22,576          187,563  

Vicinity Ltd.

   Retail REITs        582,624          719,845  

Wesfarmers Ltd.

   Broadline Retail        107,984          4,700,594  

Westpac Banking Corp.

   Banks        219,776          3,996,749  

WiseTech Global Ltd.

   Software        25,846          1,731,304  

Woodside Energy Group Ltd.

   Oil, Gas & Consumable Fuels        289,952          5,462,710  

Woolworths Group Ltd.

   Consumer Staples Distribution & Retail        41,616          939,134  
            

 

 

 
               91,673,672  
            

 

 

 

Austria 0.7%

            

ANDRITZ AG

   Machinery        9,576          593,719  

a BAWAG Group AG

   Banks        12,240          775,287  

Erste Group Bank AG

   Banks        33,456          1,586,291  

Mondi PLC

   Paper & Forest Products        61,744          1,185,198  

OMV AG

   Oil, Gas & Consumable Fuels        25,296          1,102,333  

Raiffeisen Bank International AG

   Banks        23,120          401,913  

Strabag SE

   Construction & Engineering        1,404          58,610  

Strabag SE

   Construction & Engineering        488          20,188  

Verbund AG

   Electric Utilities        3,404          268,693  
            

 

 

 
               5,992,232  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Belgium 0.5%

            

Ageas SA

   Insurance        26,112          1,194,423  

KBC Group NV

   Banks        35,360          2,497,419  

Warehouses De Pauw CVA

   Industrial REITs        14,416          390,894  
            

 

 

 
               4,082,736  
            

 

 

 

Denmark 3.5%

            

AP Moller - Maersk AS, Class A

   Marine Transportation        171          290,480  

AP Moller - Maersk AS, Class B

   Marine Transportation        272          473,192  

Coloplast AS, Class B

   Health Care Equipment & Supplies        10,064          1,210,017  

Danske Bank AS

   Banks        104,176          3,106,625  

Novo Nordisk AS, Class B

   Pharmaceuticals        158,576          22,917,425  

Novonesis (Novozymes) B, Class B

   Chemicals        16,048          982,733  

Tryg AS

   Insurance        29,104          636,606  
            

 

 

 
               29,617,078  
            

 

 

 

Finland 1.6%

            

Elisa OYJ

   Diversified Telecommunication Services        2,448          112,397  

Fortum OYJ

   Electric Utilities        67,728          990,820  

Kesko OYJ, Class A

   Consumer Staples Distribution & Retail        14,416          260,493  

Kesko OYJ, Class B

   Consumer Staples Distribution & Retail        41,344          726,248  

Kone OYJ, Class B

   Machinery        54,128          2,673,760  

Metso OYJ

   Machinery        54,400          576,269  

Neste OYJ

   Oil, Gas & Consumable Fuels        57,392          1,022,602  

Nordea Bank Abp

   Banks        469,472          5,590,113  

Sampo OYJ, Class A

   Insurance        12,512          537,731  

UPM-Kymmene OYJ

   Paper & Forest Products        7,888          275,768  

Wartsila OYJ Abp

   Machinery        27,200          524,729  
            

 

 

 
               13,290,930  
            

 

 

 

France 9.1%

            

Air Liquide SA

   Chemicals        15,776          2,726,912  

Airbus SE

   Aerospace & Defense        816          112,169  

a Amundi SA

   Capital Markets        10,608          684,990  

AXA SA

   Insurance        152,320          4,990,523  

BNP Paribas SA

   Banks        114,784          7,323,369  

Bouygues SA

   Construction & Engineering        35,360          1,135,776  

Bureau Veritas SA

   Professional Services        16,592          459,855  

Capgemini SE

   IT Services        3,808          757,884  

Carrefour SA

   Consumer Staples Distribution & Retail        22,576          319,385  

Cie Generale des Etablissements Michelin SCA

   Automobile Components        9,520          368,433  

Credit Agricole SA

   Banks        204,000          2,785,437  

Danone SA

   Food Products        35,904          2,196,446  

Dassault Systemes SE

   Software        49,232          1,862,584  

Engie SA

   Multi-Utilities        315,520          4,509,346  

EssilorLuxottica SA

   Health Care Equipment & Supplies        8,160          1,759,591  

Hermes International SCA

   Textiles, Apparel & Luxury Goods        1,360          3,119,223  

Kering SA

   Textiles, Apparel & Luxury Goods        6,256          2,269,599  

Legrand SA

   Electrical Equipment        4,624          459,103  

L’Oreal SA

   Personal Care Products        6,256          2,749,332  

LVMH Moet Hennessy Louis Vuitton SE

   Textiles, Apparel & Luxury Goods        13,328          10,193,270  

Orange SA

   Diversified Telecommunication Services        304,912          3,056,790  

Pernod Ricard SA

   Beverages        5,440          738,702  

Sanofi SA

   Pharmaceuticals        77,792          7,498,623  

Sartorius Stedim Biotech

   Life Sciences Tools & Services        612          100,551  

Schneider Electric SE

   Electrical Equipment        24,480          5,884,836  

TotalEnergies SE

   Oil, Gas & Consumable Fuels        90,304          6,032,506  

Veolia Environnement SA

   Multi-Utilities        22,304          667,409  

Vinci SA

   Construction & Engineering        26,112          2,753,218  
            

 

 

 
               77,515,862  
            

 

 

 

Germany 7.1%

            

adidas AG

   Textiles, Apparel & Luxury Goods        1,974          471,787  

Allianz SE

   Insurance        31,552          8,775,219  

BASF SE

   Chemicals        133,008          6,441,184  

Bayerische Motoren Werke AG

   Automobiles        34,000          3,220,524  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Daimler Truck Holding AG

   Machinery        43,248          1,722,869  

Deutsche Boerse AG

   Capital Markets        3,676          752,887  

Deutsche Post AG

   Air Freight & Logistics        99,280          4,020,984  

Deutsche Telekom AG

   Diversified Telecommunication Services        114,240          2,874,815  

E.ON SE

   Multi-Utilities        246,160          3,233,140  

Evonik Industries AG

   Chemicals        32,368          660,853  

Infineon Technologies AG

   Semiconductors & Semiconductor Equipment        59,296          2,180,100  

Mercedes-Benz Group AG

   Automobiles        103,360          7,152,815  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

   Insurance        816          408,414  

Rheinmetall AG

   Aerospace & Defense        816          416,023  

SAP SE

   Software        49,504          10,055,161  

Siemens AG

   Industrial Conglomerates        38,624          7,191,190  

Vonovia SE

   Real Estate Management & Development        31,280          890,072  
            

 

 

 
               60,468,037  
            

 

 

 

Hong Kong 2.7%

            

AIA Group Ltd.

   Insurance        326,400          2,215,744  

CK Asset Holdings Ltd.

   Real Estate Management & Development        296,800          1,111,945  

CK Infrastructure Holdings Ltd., Class A

   Electric Utilities        94,600          534,347  

CLP Holdings Ltd.

   Electric Utilities        265,000          2,141,750  

Hang Lung Properties Ltd.

   Real Estate Management & Development        282,000          240,556  

Hang Seng Bank Ltd.

   Banks        108,800          1,399,124  

Henderson Land Development Co. Ltd.

   Real Estate Management & Development        206,500          554,112  

HKT Trust & HKT Ltd.

   Diversified Telecommunication Services        567,230          636,439  

Hong Kong & China Gas Co. Ltd.

   Gas Utilities        1,756,000          1,335,994  

Hong Kong Exchanges & Clearing Ltd.

   Capital Markets        44,300          1,419,661  

Jardine Matheson Holdings Ltd.

   Industrial Conglomerates        27,200          962,336  

Link REIT

   Retail REITs        408,000          1,586,034  

MTR Corp. Ltd.

   Ground Transportation        272,000          858,775  

Power Assets Holdings Ltd.

   Electric Utilities        214,500          1,160,774  

Sino Land Co. Ltd.

   Real Estate Management & Development        535,400          552,037  

Sun Hung Kai Properties Ltd.

   Real Estate Management & Development        303,175          2,623,085  

Swire Pacific Ltd., Class A

   Real Estate Management & Development        35,000          309,322  

Swire Pacific Ltd., Class B

   Real Estate Management & Development        80,000          107,385  

Swire Properties Ltd.

   Real Estate Management & Development        169,200          269,597  

Techtronic Industries Co. Ltd.

   Machinery        102,100          1,166,498  

a WH Group Ltd.

   Food Products        1,224,000          805,820  

Wharf Real Estate Investment Co. Ltd.

   Real Estate Management & Development        272,000          721,162  
            

 

 

 
               22,712,497  
            

 

 

 

Ireland 0.3%

            

DCC PLC

   Industrial Conglomerates        2,226          155,889  

Experian PLC

   Professional Services        11,968          557,646  

Smurfit Kappa Group PLC

   Containers & Packaging        32,670          1,456,586  
            

 

 

 
               2,170,121  
            

 

 

 

Isle Of Man 0.0%

            

Entain PLC

   Hotels, Restaurants & Leisure        12,784          101,810  
            

 

 

 

Israel 0.5%

            

Bank Hapoalim BM

   Banks        170,544          1,507,969  

Bank Leumi Le-Israel BM

   Banks        82,960          676,065  

ICL Group Ltd.

   Chemicals        111,520          482,823  

Israel Discount Bank Ltd., Class A

   Banks        106,080          529,105  

Mizrahi Tefahot Bank Ltd.

   Banks        18,496          626,484  

b Nice Ltd.

   Software        2,720          444,837  
            

 

 

 
               4,267,283  
            

 

 

 

Italy 4.4%

            

A2A SpA

   Multi-Utilities        246,160          490,577  

Assicurazioni Generali SpA

   Insurance        155,312          3,876,753  

Banca Mediolanum SpA

   Financial Services        31,008          342,631  

Banco BPM SpA

   Banks        214,880          1,385,011  

Enel SpA

   Electric Utilities        997,424          6,942,019  

Eni SpA

   Oil, Gas & Consumable Fuels        276,896          4,259,742  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Ferrari NV

   Automobiles        4,352          1,775,683  

FinecoBank Banca Fineco SpA

   Banks        84,592          1,262,008  

Hera SpA

   Multi-Utilities        69,360          237,431  

a Infrastrutture Wireless Italiane SpA

   Diversified Telecommunication Services        54,672          571,299  

Intesa Sanpaolo SpA

   Banks        1,967,376          7,318,729  

Mediobanca Banca di Credito Finanziario SpA

   Banks        91,664          1,344,918  

Moncler SpA

   Textiles, Apparel & Luxury Goods        12,784          781,794  

a Poste Italiane SpA

   Insurance        69,632          887,702  

Recordati Industria Chimica e Farmaceutica SpA

   Pharmaceuticals        13,328          695,645  

Snam SpA

   Gas Utilities        330,208          1,461,963  

Terna - Rete Elettrica Nazionale

   Electric Utilities        199,376          1,542,352  

UniCredit SpA

   Banks        64,192          2,380,748  
            

 

 

 
               37,557,005  
            

 

 

 

Japan 21.3%

            

ABC-Mart, Inc.

   Specialty Retail        6,000          105,371  

Advantest Corp.

   Semiconductors & Semiconductor Equipment        65,500          2,616,172  

AGC, Inc.

   Building Products        19,400          627,853  

Aisin Corp.

   Automobile Components        27,200          886,545  

Ajinomoto Co., Inc.

   Food Products        12,500          438,347  

Asahi Intecc Co. Ltd.

   Health Care Equipment & Supplies        3,000          42,065  

Asahi Kasei Corp.

   Chemicals        39,000          249,841  

Asics Corp.

   Textiles, Apparel & Luxury Goods        56,400          862,865  

Astellas Pharma, Inc.

   Pharmaceuticals        178,700          1,766,337  

Bridgestone Corp.

   Automobile Components        81,600          3,206,982  

Brother Industries Ltd.

   Technology Hardware, Storage & Peripherals        2,700          47,518  

Canon, Inc.

   Technology Hardware, Storage & Peripherals        97,574          2,641,037  

Capcom Co. Ltd.

   Entertainment        47,304          891,912  

Chugai Pharmaceutical Co. Ltd.

   Pharmaceuticals        27,200          966,525  

Daifuku Co. Ltd.

   Machinery        9,380          175,518  

Daiichi Sankyo Co. Ltd.

   Pharmaceuticals        75,800          2,603,004  

Daikin Industries Ltd.

   Building Products        12,716          1,768,351  

Daito Trust Construction Co. Ltd.

   Real Estate Management & Development        2,306          237,753  

Daiwa Securities Group, Inc.

   Capital Markets        27,200          207,475  

Denso Corp.

   Automobile Components        122,700          1,905,412  

Dentsu Group, Inc.

   Media        37,900          954,922  

Disco Corp.

   Semiconductors & Semiconductor Equipment        11,534          4,376,696  

East Japan Railway Co.

   Ground Transportation        3,030          50,189  

Eisai Co. Ltd.

   Pharmaceuticals        22,676          929,256  

FANUC Corp.

   Machinery        23,960          656,718  

Fast Retailing Co. Ltd.

   Specialty Retail        4,300          1,084,222  

Fuji Electric Co. Ltd.

   Electrical Equipment        6,839          389,099  

FUJIFILM Holdings Corp.

   Technology Hardware, Storage & Peripherals        8,440          197,385  

Fujitsu Ltd.

   IT Services        14,450          226,101  

GLP J-Reit

   Industrial REITs        708          577,896  

Hamamatsu Photonics KK

   Electronic Equipment, Instruments & Components        20,700          554,368  

Hitachi Construction Machinery Co. Ltd.

   Machinery        14,300          382,969  

Hitachi Ltd.

   Industrial Conglomerates        145,710          3,261,853  

Honda Motor Co. Ltd.

   Automobiles        148,200          1,584,633  

Hoshizaki Corp.

   Machinery        2,500          79,293  

Hoya Corp.

   Health Care Equipment & Supplies        15,330          1,782,591  

Hulic Co. Ltd.

   Real Estate Management & Development        81,600          722,611  

Ibiden Co. Ltd.

   Electronic Equipment, Instruments & Components        21,100          858,901  

Isuzu Motors Ltd.

   Automobiles        91,100          1,206,851  

ITOCHU Corp.

   Trading Companies & Distributors        21,200          1,035,091  

Japan Metropolitan Fund Invest

   Retail REITs        980          551,349  

Japan Post Bank Co. Ltd.

   Banks        118,800          1,122,197  

Japan Real Estate Investment Corp.

   Office REITs        204          644,237  

Japan Tobacco, Inc.

   Tobacco        166,000          4,486,933  

Kajima Corp.

   Construction & Engineering        16,730          289,286  

Kao Corp.

   Personal Care Products        10,228          414,817  

Kawasaki Kisen Kaisha Ltd.

   Marine Transportation        68,700          999,366  

KDDI Corp.

   Wireless Telecommunication Services        36,430          963,404  

Keyence Corp.

   Electronic Equipment, Instruments & Components        9,276          4,068,269  

Kikkoman Corp.

   Food Products        136,000          1,575,507  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Kirin Holdings Co. Ltd.

   Beverages        120,100          1,547,727  

Komatsu Ltd.

   Machinery        94,100          2,732,445  

Kubota Corp.

   Machinery        27,200          380,455  

Kyocera Corp.

   Electronic Equipment, Instruments & Components        54,400          626,144  

Kyowa Kirin Co. Ltd.

   Pharmaceuticals        15,300          261,325  

Lasertec Corp.

   Semiconductors & Semiconductor Equipment        10,354          2,322,988  

LY Corp.

   Interactive Media & Services        299,200          723,355  

M3, Inc.

   Health Care Technology        30,800          293,621  

Marubeni Corp.

   Trading Companies & Distributors        81,600          1,509,392  

Mazda Motor Corp.

   Automobiles        56,400          545,558  

MINEBEA MITSUMI, Inc.

   Machinery        14,500          297,013  

Mitsubishi Chemical Group Corp.

   Chemicals        81,600          453,046  

Mitsubishi Corp.

   Trading Companies & Distributors        136,000          2,661,494  

Mitsubishi Electric Corp.

   Electrical Equipment        75,700          1,208,254  

Mitsubishi HC Capital, Inc.

   Financial Services        108,800          718,299  

Mitsubishi Heavy Industries Ltd.

   Machinery        81,600          874,032  

Mitsubishi UFJ Financial Group, Inc.

   Banks        413,000          4,439,121  

Mitsui & Co. Ltd.

   Trading Companies & Distributors        54,400          1,234,703  

Mitsui OSK Lines Ltd.

   Marine Transportation        59,500          1,782,115  

Mizuho Financial Group, Inc.

   Banks        152,900          3,191,833  

MonotaRO Co. Ltd.

   Trading Companies & Distributors        27,340          321,397  

MS&AD Insurance Group Holdings, Inc.

   Insurance        40,460          899,195  

Murata Manufacturing Co. Ltd.

   Electronic Equipment, Instruments & Components        113,070          2,335,065  

NEC Corp.

   IT Services        800          65,871  

NIDEC Corp.

   Electrical Equipment        37,800          1,688,381  

Nintendo Co. Ltd.

   Entertainment        77,800          4,138,113  

Nippon Building Fund, Inc.

   Office REITs        272          951,983  

NIPPON EXPRESS HOLDINGS, Inc.

   Air Freight & Logistics        12,000          553,152  

Nippon Paint Holdings Co. Ltd.

   Chemicals        54,400          354,415  

Nippon Prologis REIT, Inc.

   Industrial REITs        372          580,455  

Nippon Steel Corp.

   Metals & Mining        54,400          1,150,158  

Nippon Yusen KK

   Marine Transportation        11,200          325,988  

Niterra Co. Ltd.

   Automobile Components        27,200          789,656  

Nitto Denko Corp.

   Chemicals        13,981          1,104,678  

Nomura Holdings, Inc.

   Capital Markets        190,400          1,091,314  

Nomura Real Estate Master Fund, Inc.

   Diversified REITs        663          588,152  

Nomura Research Institute Ltd.

   IT Services        23,610          663,563  

Obayashi Corp.

   Construction & Engineering        108,800          1,293,209  

Obic Co. Ltd.

   IT Services        2,860          368,746  

Omron Corp.

   Electronic Equipment, Instruments & Components        5,230          179,763  

Ono Pharmaceutical Co. Ltd.

   Pharmaceuticals        28,200          385,063  

Oracle Corp.

   Software        1,585          109,372  

Oriental Land Co. Ltd.

   Hotels, Restaurants & Leisure        32,220          897,737  

ORIX Corp.

   Financial Services        47,000          1,037,822  

Otsuka Corp.

   IT Services        36,340          698,290  

Panasonic Holdings Corp.

   Household Durables        54,400          445,386  

Recruit Holdings Co. Ltd.

   Professional Services        76,600          4,098,571  

Renesas Electronics Corp.

   Semiconductors & Semiconductor Equipment        81,600          1,526,386  

Rohm Co. Ltd.

   Semiconductors & Semiconductor Equipment        48,500          648,235  

SBI Holdings, Inc.

   Capital Markets        43,000          1,087,163  

SCREEN Holdings Co. Ltd.

   Semiconductors & Semiconductor Equipment        13,800          1,243,939  

Seiko Epson Corp.

   Technology Hardware, Storage & Peripherals        31,800          494,021  

Sekisui Chemical Co. Ltd.

   Household Durables        58,700          812,298  

Sekisui House Ltd.

   Household Durables        88,750          1,965,785  

Seven & i Holdings Co. Ltd.

   Consumer Staples Distribution & Retail        21,128          257,434  

SG Holdings Co. Ltd.

   Air Freight & Logistics        28,200          259,894  

Shimadzu Corp.

   Electronic Equipment, Instruments & Components        3,300          82,572  

Shimano, Inc.

   Leisure Products        3,291          508,299  

Shin-Etsu Chemical Co. Ltd.

   Chemicals        113,650          4,407,240  

Shiseido Co. Ltd.

   Personal Care Products        13,400          382,191  

SMC Corp.

   Machinery        776          368,270  

SoftBank Corp.

   Wireless Telecommunication Services        398,800          4,870,338  

SoftBank Group Corp.

   Wireless Telecommunication Services        31,300          2,021,677  

Sompo Holdings, Inc.

   Insurance        6,270          133,889  

Sony Group Corp.

   Household Durables        44,500          3,773,343  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Subaru Corp.

   Automobiles        46,600          987,853  

SUMCO Corp.

   Semiconductors & Semiconductor Equipment        54,400          783,061  

Sumitomo Corp.

   Trading Companies & Distributors        77,600          1,937,829  

Sumitomo Electric Industries Ltd.

   Automobile Components        54,400          846,301  

Sumitomo Mitsui Financial Group, Inc.

   Banks        46,284          3,085,888  

Suzuki Motor Corp.

   Automobiles        17,200          197,919  

Sysmex Corp.

   Health Care Equipment & Supplies        27,500          442,947  

Takeda Pharmaceutical Co. Ltd.

   Pharmaceuticals        200,400          5,197,493  

TDK Corp.

   Electronic Equipment, Instruments & Components        37,060          2,272,765  

Terumo Corp.

   Health Care Equipment & Supplies        21,000          346,345  

Tokio Marine Holdings, Inc.

   Insurance        57,711          2,154,386  

Tokyo Century Corp.

   Financial Services        28,200          264,539  

Tokyo Electron Ltd.

   Semiconductors & Semiconductor Equipment        28,752          6,238,001  

Toray Industries, Inc.

   Chemicals        12,000          56,807  

Tosoh Corp.

   Chemicals        44,500          580,387  

Toyota Industries Corp.

   Machinery        13,151          1,108,997  

Toyota Motor Corp.

   Automobiles        625,600          12,795,126  

Toyota Tsusho Corp.

   Trading Companies & Distributors        50,300          979,358  

Trend Micro, Inc.

   Software        2,130          86,479  

West Japan Railway Co.

   Ground Transportation        14,400          268,109  

Yamaha Motor Co. Ltd.

   Automobiles        54,400          503,553  

Yaskawa Electric Corp.

   Machinery        15,204          546,025  

Zensho Holdings Co. Ltd.

   Hotels, Restaurants & Leisure        5,800          221,746  

ZOZO, Inc.

   Specialty Retail        19,070          477,521  
            

 

 

 
               180,414,717  
            

 

 

 

Luxembourg 0.0%

            

Eurofins Scientific SE

   Life Sciences Tools & Services        5,168          257,831  
            

 

 

 

Netherlands 5.2%

            

a,b Adyen NV

   Financial Services        1,632          1,947,095  

b Argenx SE

   Biotechnology        1,330          582,430  

b Argenx SE

   Biotechnology        30          13,138  

ASM International NV

   Semiconductors & Semiconductor Equipment        3,366          2,567,827  

ASML Holding NV

   Semiconductors & Semiconductor Equipment        18,556          19,175,433  

Ferrovial SE

   Construction & Engineering        19,856          771,637  

ING Groep NV

   Banks        259,760          4,443,787  

Koninklijke Ahold Delhaize NV

   Consumer Staples Distribution & Retail        16,864          498,662  

Koninklijke KPN NV

   Diversified Telecommunication Services        476,544          1,828,436  

b Koninklijke Philips NV

   Health Care Equipment & Supplies        82,144          2,076,813  

NN Group NV

   Insurance        42,976          2,001,287  

Shell PLC

   Oil, Gas & Consumable Fuels        187,680          6,723,557  

Universal Music Group NV

   Entertainment        36,176          1,077,076  

Wolters Kluwer NV

   Professional Services        272          45,127  
            

 

 

 
               43,752,305  
            

 

 

 

New Zealand 0.3%

            

Contact Energy Ltd.

   Electric Utilities        116,292          637,763  

Fisher & Paykel Healthcare Corp. Ltd.

   Health Care Equipment & Supplies        52,496          962,212  

Mercury NZ Ltd.

   Electric Utilities        97,920          391,718  

Spark New Zealand Ltd.

   Diversified Telecommunication Services        290,496          736,377  
            

 

 

 
               2,728,070  
            

 

 

 

Norway 1.0%

            

Aker ASA, Class A

   Industrial Conglomerates        3,808          219,950  

Aker BP ASA

   Oil, Gas & Consumable Fuels        47,600          1,216,879  

a,b AutoStore Holdings Ltd.

   Machinery        113,968          134,439  

DNB Bank ASA

   Banks        134,096          2,640,989  

Gjensidige Forsikring ASA

   Insurance        25,568          458,171  

Norsk Hydro ASA

   Metals & Mining        147,968          924,149  

Orkla ASA

   Food Products        106,624          868,714  

Salmar ASA

   Food Products        10,336          545,558  

Telenor ASA

   Diversified Telecommunication Services        96,560          1,103,672  

Var Energi ASA

   Oil, Gas & Consumable Fuels        133,280          472,160  
            

 

 

 
               8,584,681  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Poland 0.7%

            

Bank Polska Kasa Opieki SA

   Banks        32,912          1,375,410  

ING Bank Slaski SA

   Banks        5,440          411,378  

LPP SA

   Textiles, Apparel & Luxury Goods        125          531,399  

ORLEN SA

   Oil, Gas & Consumable Fuels        91,392          1,538,867  

Powszechny Zaklad Ubezpieczen SA

   Insurance        77,248          990,376  

Santander Bank Polska SA

   Banks        5,440          732,361  
            

 

 

 
               5,579,791  
            

 

 

 

Portugal 0.1%

            

EDP - Energias de Portugal SA

   Electric Utilities        322,048          1,207,698  
            

 

 

 

Singapore 2.6%

            

CapitaLand Integrated Commercial Trust, Class A

   Retail REITs        707,200          1,033,209  

CapitaLand Investment Ltd.

   Real Estate Management & Development        353,600          694,024  

DBS Group Holdings Ltd., Class A

   Banks        201,820          5,329,746  

Genting Singapore Ltd.

   Hotels, Restaurants & Leisure        489,600          312,491  

Jardine Cycle & Carriage Ltd.

   Industrial Conglomerates        11,900          233,566  

Keppel Ltd.

   Industrial Conglomerates        217,600          1,038,828  

Mapletree Pan Asia Commercial Trust

   Retail REITs        353,600          318,312  

Oversea-Chinese Banking Corp. Ltd.

   Banks        516,800          5,502,619  

Singapore Airlines Ltd.

   Passenger Airlines        217,600          1,107,869  

Singapore Exchange Ltd.

   Capital Markets        108,800          761,058  

Singapore Technologies Engineering Ltd.

   Aerospace & Defense        244,800          782,132  

United Overseas Bank Ltd.

   Banks        173,000          3,999,328  

Wilmar International Ltd.

   Food Products        253,800          580,542  
            

 

 

 
               21,693,724  
            

 

 

 

Spain 1.9%

            

ACS Actividades de Construccion y Servicios SA

   Construction & Engineering        31,552          1,362,103  

a Aena SME SA

   Transportation Infrastructure        4,896          986,490  

Banco Bilbao Vizcaya Argentaria SA

   Banks        328,848          3,296,047  

CaixaBank SA

   Banks        448,256          2,374,709  

Endesa SA

   Electric Utilities        47,600          894,554  

Iberdrola SA

   Electric Utilities        127,568          1,656,376  

Industria de Diseno Textil SA

   Specialty Retail        14,144          702,764  

Naturgy Energy Group SA

   Gas Utilities        23,120          499,542  

Redeia Corp. SA

   Electric Utilities        57,120          999,084  

Telefonica SA

   Diversified Telecommunication Services        735,488          3,121,508  
            

 

 

 
               15,893,177  
            

 

 

 

Sweden 2.6%

            

Assa Abloy AB, Class B

   Building Products        13,056          369,358  

Atlas Copco AB, Class A

   Machinery        90,304          1,698,604  

Atlas Copco AB, Class B

   Machinery        55,760          901,147  

Axfood AB

   Consumer Staples Distribution & Retail        14,960          393,275  

EQT AB

   Capital Markets        34,544          1,021,622  

Essity AB, Class B

   Household Products        11,424          292,768  

a Evolution AB

   Hotels, Restaurants & Leisure        21,760          2,268,422  

H & M Hennes & Mauritz AB, Class B

   Specialty Retail        85,136          1,347,760  

Husqvarna AB, Class B

   Machinery        48,144          386,145  

Nibe Industrier AB, Class B

   Building Products        11,696          49,633  

Nordnet AB publ

   Capital Markets        22,848          477,663  

Skandinaviska Enskilda Banken AB, Class A

   Banks        95,744          1,414,887  

Skanska AB, Class B

   Construction & Engineering        29,376          529,257  

SKF AB, Class B

   Machinery        8,976          180,364  

SSAB AB, Class A

   Metals & Mining        37,808          208,636  

SSAB AB, Class B

   Metals & Mining        90,304          490,822  

Svenska Handelsbanken AB, Class A

   Banks        204,544          1,949,795  

c Svenska Handelsbanken AB, Class B

   Banks        4,624          53,444  

Swedbank AB, Class A

   Banks        147,968          3,047,329  

Tele2 AB, Class B

   Wireless Telecommunication Services        80,784          813,927  

Telefonaktiebolaget LM Ericsson, Class B

   Communications Equipment        291,312          1,810,006  

Telia Co. AB

   Diversified Telecommunication Services        340,816          914,940  

Volvo AB, Class A

   Machinery        5,984          156,180  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Volvo AB, Class B

   Machinery        56,304          1,441,334  
            

 

 

 
               22,217,318  
            

 

 

 

Switzerland 8.7%

            

ABB Ltd.

   Electrical Equipment        48,416          2,689,658  

Cie Financiere Richemont SA, Class A

   Textiles, Apparel & Luxury Goods        30,464          4,754,703  

DSM-Firmenich AG

   Chemicals        10,064          1,139,012  

EMS-Chemie Holding AG

   Chemicals        457          374,561  

Geberit AG

   Building Products        1,360          803,347  

Givaudan SA

   Chemicals        371          1,758,803  

Julius Baer Group Ltd.

   Capital Markets        29,376          1,641,081  

Kuehne & Nagel International AG

   Marine Transportation        7,344          2,111,829  

Lonza Group AG

   Life Sciences Tools & Services        2,992          1,632,847  

Nestle SA

   Food Products        133,008          13,576,111  

Novartis AG

   Pharmaceuticals        119,680          12,808,397  

Partners Group Holding AG

   Capital Markets        3,264          4,191,694  

Roche Holding AG

   Pharmaceuticals        35,632          9,893,372  

Roche Holding AG

   Pharmaceuticals        1,360          414,387  

Schindler Holding AG, PC

   Machinery        272          68,348  

SGS SA

   Professional Services        22,576          2,009,882  

Sika AG

   Chemicals        3,536          1,012,085  

STMicroelectronics NV

   Semiconductors & Semiconductor Equipment        6,000          237,060  

Swatch Group AG

   Textiles, Apparel & Luxury Goods        292          59,807  

Swiss Life Holding AG

   Insurance        1,632          1,199,754  

Swiss Re AG

   Insurance        29,920          3,712,531  

Swisscom AG

   Diversified Telecommunication Services        3,808          2,142,159  

UBS Group AG

   Capital Markets        38,352          1,128,879  

Zurich Insurance Group AG

   Insurance        8,976          4,785,668  
            

 

 

 
               74,145,975  
            

 

 

 

United Kingdom 12.4%

            

3i Group PLC

   Capital Markets        33,456          1,296,664  

Admiral Group PLC

   Insurance        15,232          503,512  

Anglo American PLC

   Metals & Mining        47,600          1,505,482  

Ashtead Group PLC

   Trading Companies & Distributors        7,344          490,357  

AstraZeneca PLC

   Pharmaceuticals        75,888          11,853,108  

Aviva PLC

   Insurance        415,072          2,500,683  

B&M European Value Retail SA

   Broadline Retail        131,376          726,068  

BAE Systems PLC

   Aerospace & Defense        99,008          1,652,059  

Barratt Developments PLC

   Household Durables        146,880          876,738  

BP PLC

   Oil, Gas & Consumable Fuels        468,656          2,815,217  

British American Tobacco PLC

   Tobacco        244,256          7,502,962  

BT Group PLC

   Diversified Telecommunication Services        518,432          919,783  

Burberry Group PLC

   Textiles, Apparel & Luxury Goods        53,040          588,546  

CK Hutchison Holdings Ltd., Class A

   Industrial Conglomerates        416,000          1,992,776  

Diageo PLC

   Beverages        60,384          1,900,270  

DS Smith PLC

   Containers & Packaging        219,504          1,168,169  

GSK PLC

   Pharmaceuticals        328,848          6,358,079  

Hargreaves Lansdown PLC

   Capital Markets        53,584          766,766  

Hikma Pharmaceuticals PLC

   Pharmaceuticals        22,576          539,659  

HSBC Holdings PLC

   Banks        1,435,888          12,413,505  

Imperial Brands PLC

   Tobacco        128,384          3,284,752  

Intermediate Capital Group PLC

   Capital Markets        42,432          1,170,387  

J Sainsbury PLC

   Consumer Staples Distribution & Retail        268,736          866,258  

Kingfisher PLC

   Specialty Retail        284,512          894,813  

Land Securities Group PLC

   Diversified REITs        107,984          845,633  

Legal & General Group PLC

   Insurance        990,352          2,841,821  

London Stock Exchange Group PLC

   Capital Markets        8,160          969,615  

M&G PLC

   Financial Services        337,552          870,467  

National Grid PLC

   Multi-Utilities        517,440          5,773,048  

NatWest Group PLC

   Banks        405,008          1,596,324  

Phoenix Group Holdings PLC

   Insurance        118,592          781,791  

Reckitt Benckiser Group PLC

   Household Products        40,528          2,193,729  

RELX PLC

   Professional Services        61,744          2,840,260  

Rentokil Initial PLC

   Commercial Services & Supplies        155,856          908,645  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

b Rolls-Royce Holdings PLC

   Aerospace & Defense        82,416          475,903  

Sage Group PLC

   Software        42,160          580,110  

Schroders PLC

   Capital Markets        142,528          655,457  

Severn Trent PLC

   Water Utilities        39,712          1,194,758  

Smith & Nephew PLC

   Health Care Equipment & Supplies        11,424          141,609  

Spirax Group PLC

   Machinery        2,820          302,292  

SSE PLC

   Electric Utilities        144,160          3,261,052  

Taylor Wimpey PLC

   Household Durables        520,064          934,512  

Tesco PLC

   Consumer Staples Distribution & Retail        210,800          815,405  

Unilever PLC

   Personal Care Products        139,536          7,664,032  

United Utilities Group PLC

   Water Utilities        92,752          1,152,076  

Vodafone Group PLC

   Wireless Telecommunication Services        3,504,720          3,090,587  

b Wise PLC, Class A

   Financial Services        43,520          374,918  
            

 

 

 
               104,850,657  
            

 

 

 

United States 0.7%

            

Holcim AG, Class B

   Construction Materials        12,512          1,108,619  

Stellantis NV

   Automobiles        256,768          5,082,782  
            

 

 

 
               6,191,401  
            

 

 

 

Total Common Stocks (Cost $780,121,131)

            836,966,608  
            

 

 

 

Preferred Stocks 0.6%

            

Germany 0.6%

            

d Bayerische Motoren Werke AG, 7.301%, pfd.

   Automobiles        7,072          624,923  

d Sartorius AG, 0.338%, pfd.

   Life Sciences Tools & Services        1,088          255,368  

d Volkswagen AG, 8.596%, pfd.

   Automobiles        32,640          3,687,096  
            

 

 

 

Total Preferred Stocks (Cost $5,168,294)

               4,567,387  
            

 

 

 

Total Investments before Short-Term Investments (Cost $785,289,425)

               841,533,995  
            

 

 

 

Short-Term Investments 0.0%

            

Investments from Cash Collateral
Received for Loaned Securities 0.0%

            

United States 0.0%

            

e,f Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        43,200          43,200  
            

 

 

 

Money Market Funds 0.0%

            

United States 0.0%

            

e,f Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   Money Market Funds        272,528          272,528  
            

 

 

 

Total Short-Term Investments (Cost $315,728)

               315,728  
            

 

 

 

Total Investments (Cost $785,605,153) 99.3%

            841,849,723  

Other Assets, less Liabilities 0.7%

               5,846,615  
            

 

 

 

Net Assets 100.0%

             $ 847,696,338  
            

 

 

 

Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $9,061,544, representing 1.1% of net assets.

bNon-income producing.

cA portion or all of the security is on loan at June 30, 2024.

dVariable rate security. The rate shown represents the yield at period end.

eThe rate shown is the annualized seven-day effective yield at period end.

fSee Note 3 regarding investments in affiliated management investment companies.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Equity Contracts

              

MSCI EAFE

     Long        43        $5,037,880        9/20/24        $28,076  

*As of period end.

Abbreviations

Selected Portfolio

 

REIT   –  Real Estate Investment Trust
SPA   –  Standby Purchase Agreement


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Investment Grade Corporate ETF      Country      Principal Amount*      Value  

Corporate Bonds & Notes 96.7%

            

Aerospace & Defense 2.1%

            

a BAE Systems PLC, 5.50%, 3/26/54

     United Kingdom        1,000,000      $ 978,462  

Boeing Co., 3.65%, 3/01/47

     United States        2,000,000        1,301,885  

General Dynamics Corp.,

            

2.85%, 6/01/41

     United States        865,000        623,093  

3.60%, 11/15/42

     United States        1,000,000        789,162  

Howmet Aerospace, Inc., 5.95%, 2/01/37

     United States        2,100,000        2,162,718  

Lockheed Martin Corp., 4.07%, 12/15/42

     United States        2,500,000        2,104,117  
            

 

 

 
               7,959,437  
            

 

 

 

Agriculture 0.9%

            

a JT International Financial Services BV, 6.875%, 10/24/32

     Japan        900,000        991,442  

Philip Morris International, Inc., 5.375%, 2/15/33

     United States        2,400,000        2,384,319  
            

 

 

 
               3,375,761  
            

 

 

 

Air Freight & Logistics 0.6%

            

FedEx Corp., 4.75%, 11/15/45

     United States        2,500,000        2,158,008  
            

 

 

 

Airlines 1.6%

            

a Delta Air Lines, Inc./SkyMiles IP Ltd., first lien, 4.50%, 10/20/25

     United States        3,257,844        3,219,002  

United Airlines Pass-Through Trust,

            

Series 2016-1, Class A, 3.45%, 1/07/30

     United States        1,708,263        1,568,787  

Series 2020-1, Class B, 4.875%, 7/15/27

     United States        1,238,328        1,220,769  
            

 

 

 
               6,008,558  
            

 

 

 

Apparel 0.3%

            

Tapestry, Inc., 7.05%, 11/27/25

     United States        1,000,000        1,017,041  
            

 

 

 

Auto Manufacturers 0.6%

            

a Hyundai Capital America, 5.35%, 3/19/29

     United States        2,250,000        2,247,198  
            

 

 

 

Banks 5.7%

            

Bank of America Corp.,

            

2.592% to 4/29/30, FRN thereafter, 4/29/31

     United States        2,625,000        2,270,358  

5.468% to 1/23/34, FRN thereafter, 1/23/35

     United States        700,000        699,550  

Citigroup, Inc., 3.057% to 1/25/32, FRN thereafter, 1/25/33

     United States        2,700,000        2,294,215  

Goldman Sachs Group, Inc., 2.64% to 2/24/27, FRN thereafter, 2/24/28

     United States        5,400,000        5,037,686  

JPMorgan Chase & Co.,

            

2.522% to 4/22/30, FRN thereafter, 4/22/31

     United States        3,295,000        2,849,006  

6.087% to 10/23/28, FRN thereafter, 10/23/29

     United States        4,150,000        4,289,004  

KeyBank NA, 4.15%, 8/08/25

     United States        950,000        931,852  

Mizuho Financial Group, Inc., 5.778% to 7/06/28, FRN thereafter, 7/06/29

     Japan        1,450,000        1,469,867  

Wells Fargo & Co., 5.198% to 1/23/29, FRN thereafter, 1/23/30

     United States        2,200,000        2,191,202  
            

 

 

 
               22,032,740  
            

 

 

 

Banks 14.9%

            

Banco Santander SA, 2.749%, 12/03/30

     Spain        1,375,000        1,144,878  

Bank of America Corp.,

            

4.571% to 4/27/32, FRN thereafter, 4/27/33

     United States        3,750,000        3,537,885  

5.202% to 4/25/28, FRN thereafter, 4/25/29

     United States        5,550,000        5,542,572  

a BPCE SA, 5.936% to 5/30/34, FRN thereafter, 5/30/35

     France        1,250,000        1,245,612  

Citigroup, Inc., 3.668% to 7/24/27, FRN thereafter, 7/24/28

     United States        5,000,000        4,767,581  

Credit Agricole SA,

            

a 4.375%, 3/17/25

     France        1,100,000        1,087,347  

a 5.134%, 3/11/27

     France        2,375,000        2,367,294  

a Danske Bank AS, 5.427% to 3/01/27, FRN thereafter, 3/01/28

     Denmark        2,000,000        2,002,090  

Deutsche Bank AG, 2.129% to 11/24/25, FRN thereafter, 11/24/26

     Germany        2,175,000        2,064,770  

Fifth Third Bancorp, 4.772% to 7/28/29, FRN thereafter, 7/28/30

     United States        1,500,000        1,443,228  

Goldman Sachs Group, Inc., 4.387% to 6/15/26, FRN thereafter, 6/15/27

     United States        1,000,000        980,912  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

HSBC Holdings PLC, 1.645% to 4/18/25, FRN thereafter, 4/18/26

     United Kingdom        3,600,000        3,485,005  

JPMorgan Chase & Co.,

            

2.963% to 1/25/32, FRN thereafter, 1/25/33

     United States        4,500,000        3,838,339  

4.851% to 7/25/27, FRN thereafter, 7/25/28

     United States        1,000,000        989,996  

Morgan Stanley,

            

5.25% to 4/21/33, FRN thereafter, 4/21/34

     United States           3,600,000        3,545,331  

5.449% to 7/20/28, FRN thereafter, 7/20/29

     United States        900,000        905,715  

a National Australia Bank Ltd., 2.332%, 8/21/30

     Australia        3,300,000        2,730,890  

PNC Financial Services Group, Inc., 6.615% to 10/20/26, FRN thereafter, 10/20/27

     United States        2,775,000        2,843,121  

a Standard Chartered PLC, 1.456% to 1/14/26, FRN thereafter, 1/14/27

     United Kingdom        2,600,000        2,436,050  

a UBS Group AG, 5.428% to 2/08/29, FRN thereafter, 2/08/30

     Switzerland        1,900,000        1,896,624  

Wells Fargo & Co.,

            

4.808% to 7/25/27, FRN thereafter, 7/25/28

     United States        5,000,000        4,932,131  

5.389% to 4/24/33, FRN thereafter, 4/24/34

     United States        1,150,000        1,137,310  

5.574% to 7/25/28, FRN thereafter, 7/25/29

     United States        2,200,000        2,220,359  
            

 

 

 
               57,145,040  
            

 

 

 

Beverages 1.0%

            

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc., 4.90%, 2/01/46

     United States        2,000,000        1,845,104  

Anheuser-Busch InBev Worldwide, Inc., 5.80%, 1/23/59

     Belgium        2,000,000        2,083,021  
            

 

 

 
               3,928,125  
            

 

 

 

Biotechnology 3.2%

            

Amgen, Inc., 5.60%, 3/02/43

     United States        4,500,000        4,437,785  

Bio-Rad Laboratories, Inc., 3.30%, 3/15/27

     United States        2,700,000        2,558,524  

a CSL Finance PLC, 4.25%, 4/27/32

     Australia        3,700,000        3,476,543  

Illumina, Inc., 5.80%, 12/12/25

     United States        1,000,000        1,001,490  

Royalty Pharma PLC, 3.35%, 9/02/51

     United States        1,000,000        640,923  
            

 

 

 
               12,115,265  
            

 

 

 

Capital Markets 2.1%

            

Brixmor Operating Partnership LP, 4.125%, 5/15/29

     United States        1,500,000        1,416,556  

Morgan Stanley, 1.794% to 2/13/31, FRN thereafter, 2/13/32

     United States        5,000,000        4,014,566  

a UBS Group AG, 3.869% to 1/12/28, FRN thereafter, 1/12/29

     Switzerland        2,950,000        2,785,685  
            

 

 

 
               8,216,807  
            

 

 

 

Chemicals 1.4%

            

Nutrien Ltd., 5.20%, 6/21/27

     Canada        1,500,000        1,498,748  

a Solvay Finance America LLC, 5.65%, 6/04/29

     Belgium        2,500,000        2,517,926  

Westlake Corp., 3.125%, 8/15/51

     United States        2,000,000        1,261,457  
            

 

 

 
               5,278,131  
            

 

 

 

Commercial Services & Supplies 0.5%

            

a Ashtead Capital, Inc., 5.80%, 4/15/34

     United Kingdom        1,950,000        1,936,234  
            

 

 

 

Construction Materials 0.6%

            

Owens Corning, 5.70%, 6/15/34

     United States        2,150,000        2,170,799  
            

 

 

 

Diversified REITs 1.5%

            

Essex Portfolio LP, 2.65%, 3/15/32

     United States        3,500,000        2,903,177  

Simon Property Group LP, 3.375%, 12/01/27

     United States        3,000,000        2,839,219  
            

 

 

 
               5,742,396  
            

 

 

 

Diversified Telecommunication Services 0.9%

            

Verizon Communications, Inc., 3.40%, 3/22/41

     United States        4,700,000        3,596,190  
            

 

 

 

Electric 3.6%

            

Baltimore Gas & Electric Co., 4.55%, 6/01/52

     United States        2,000,000        1,669,279  

Constellation Energy Generation LLC,

            

6.50%, 10/01/53

     United States        2,210,000        2,348,018  

6.125%, 1/15/34

     United States        700,000        729,892  

DTE Electric Co., Series B, 3.65%, 3/01/52

     United States        2,000,000        1,475,275  

NextEra Energy Capital Holdings, Inc., 6.051%, 3/01/25

     United States        2,600,000        2,605,614  

Public Service Enterprise Group, Inc., 2.45%, 11/15/31

     United States        3,900,000        3,213,182  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Virginia Electric & Power Co., Series D, 4.65%, 8/15/43

     United States        1,900,000        1,651,115  
            

 

 

 
               13,692,375  
            

 

 

 

Electric Utilities 5.6%

            

Commonwealth Edison Co., 4.00%, 3/01/48

     United States        1,000,000        777,759  

Duke Energy Progress LLC, 2.50%, 8/15/50

     United States        4,000,000        2,306,474  

a EDP Finance BV, 1.71%, 1/24/28

     Netherlands        2,200,000        1,944,706  

a Enel Finance International NV, 3.625%, 5/25/27

     Italy        2,900,000        2,770,800  

Exelon Corp., 4.05%, 4/15/30

     United States        1,250,000        1,173,695  

Georgia Power Co.,

            

Series 2010-C, 4.75%, 9/01/40

     United States        3,500,000        3,164,979  

4.30%, 3/15/42

     United States        1,300,000        1,103,878  

Public Service Electric & Gas Co., 3.15%, 1/01/50

     United States           1,700,000        1,166,124  

Virginia Electric & Power Co., Series A, 3.50%, 3/15/27

     United States        2,700,000        2,592,764  

a Vistra Operations Co. LLC, 3.55%, 7/15/24

     United States        4,500,000        4,494,832  
            

 

 

 
               21,496,011  
            

 

 

 

Electronic Equipment, Instruments & Components 0.5%

            

Flex Ltd., 3.75%, 2/01/26

     Singapore        2,100,000        2,038,962  
            

 

 

 

Energy Equipment & Services 0.3%

            

Baker Hughes Holdings LLC/Baker Hughes Co.-Obligor, Inc., 4.08%, 12/15/47

     United States        1,500,000        1,200,706  
            

 

 

 

Entertainment 1.0%

            

Warnermedia Holdings, Inc.,

            

5.05%, 3/15/42

     United States        1,305,000        1,062,074  

4.279%, 3/15/32

     United States        2,970,000        2,593,245  
            

 

 

 
               3,655,319  
            

 

 

 

Environmental Control 0.9%

            

Republic Services, Inc., 5.00%, 4/01/34

     United States        3,550,000        3,476,537  
            

 

 

 

Financial Services 3.4%

            

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 3.00%, 10/29/28

     Ireland        3,450,000        3,136,460  

Air Lease Corp., 0.80%, 8/18/24

     United States        2,550,000        2,533,223  

American Express Co., 5.098% to 2/16/27, FRN thereafter, 2/16/28

     United States        2,075,000        2,066,123  

Aon Global Ltd., 4.60%, 6/14/44

     Ireland        3,000,000        2,563,846  

BlackRock Funding, Inc., 5.25%, 3/14/54

     United States        1,000,000        967,080  

Capital One Financial Corp., 4.985% to 7/24/25, FRN thereafter, 7/24/26

     United States        1,600,000        1,586,448  
            

 

 

 
                12,853,180  
            

 

 

 

Food 2.2%

            

Campbell Soup Co., 5.20%, 3/21/29

     United States        1,500,000        1,501,368  

JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL,

            

2.50%, 1/15/27

     United States        1,800,000        1,675,940  

3.625%, 1/15/32

     United States        1,000,000        863,903  

Kraft Heinz Foods Co., 5.00%, 6/04/42

     United States        3,000,000        2,715,128  

a Nestle Holdings, Inc., 4.70%, 1/15/53

     United States        1,850,000        1,663,252  
            

 

 

 
               8,419,591  
            

 

 

 

Gas 1.1%

            

Piedmont Natural Gas Co., Inc., 5.05%, 5/15/52

     United States        2,500,000        2,186,431  

Southern California Gas Co., 5.60%, 4/01/54

     United States        2,000,000        1,964,797  
            

 

 

 
               4,151,228  
            

 

 

 

Ground Transportation 1.2%

            

Burlington Northern Santa Fe LLC, 5.75%, 5/01/40

     United States        4,600,000        4,725,589  
            

 

 

 

Health Care Providers & Services 5.6%

            

CVS Health Corp., 5.30%, 12/05/43

     United States        1,600,000        1,457,810  

Elevance Health, Inc., 4.10%, 5/15/32

     United States        3,400,000        3,156,111  

HCA, Inc., 4.50%, 2/15/27

     United States        3,300,000        3,225,470  

a Health Care Service Corp. A Mutual Legal Reserve Co., 5.20%, 6/15/29

     United States        1,000,000        995,950  

Icon Investments Six DAC, 6.00%, 5/08/34

     United States        2,500,000        2,554,988  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

IQVIA, Inc., 6.25%, 2/01/29

     United States        1,700,000        1,748,545  

a Roche Holdings, Inc., 5.593%, 11/13/33

     United States        3,000,000        3,112,500  

Sutter Health, 5.164%, 8/15/33

     United States        1,500,000        1,504,842  

UnitedHealth Group, Inc., 3.05%, 5/15/41

     United States        5,000,000        3,692,664  
            

 

 

 
                21,448,880  
            

 

 

 

Healthcare-Products 1.4%

            

Baxter International, Inc., 2.539%, 2/01/32

     United States        2,200,000        1,805,261  

GE HealthCare Technologies, Inc., 5.55%, 11/15/24

     United States           2,600,000        2,597,562  

a Solventum Corp., 5.60%, 3/23/34

     United States        1,000,000        982,596  
            

 

 

 
               5,385,419  
            

 

 

 

Hotels, Restaurants & Leisure 0.2%

            

Marriott International, Inc., Series R, 3.125%, 6/15/26

     United States        1,000,000        959,970  
            

 

 

 

Household Products 1.3%

            

Haleon U.S. Capital LLC, 3.375%, 3/24/27

     United States        3,650,000        3,484,075  

a Kimberly-Clark de Mexico SAB de CV, 2.431%, 7/01/31

     Mexico        2,000,000        1,699,924  
            

 

 

 
               5,183,999  
            

 

 

 

Insurance 4.0%

            

Aflac, Inc., 4.75%, 1/15/49

     United States        1,250,000        1,105,537  

Allstate Corp., 4.20%, 12/15/46

     United States        1,000,000        808,715  

Arthur J Gallagher & Co., 6.50%, 2/15/34

     United States        1,550,000        1,641,602  

Berkshire Hathaway Finance Corp., 3.85%, 3/15/52

     United States        1,500,000        1,160,641  

Brown & Brown, Inc., 2.375%, 3/15/31

     United States        2,700,000        2,231,704  

a Jackson National Life Global Funding, 5.55%, 7/02/27

     United States        1,500,000        1,496,615  

a MassMutual Global Funding II, 5.05%, 12/07/27

     United States        1,450,000        1,449,607  

MetLife, Inc., 6.40%, 12/15/66

     United States        1,600,000        1,621,816  

a Pricoa Global Funding I, 5.10%, 5/30/28

     United States        1,800,000        1,803,690  

a RGA Global Funding, 5.50%, 1/11/31

     United States        1,900,000        1,898,232  
            

 

 

 
               15,218,159  
            

 

 

 

Internet 1.0%

            

Meta Platforms, Inc., 4.45%, 8/15/52

     United States        2,250,000        1,941,102  

a Netflix, Inc., 4.875%, 6/15/30

     United States        2,000,000        1,969,259  
            

 

 

 
               3,910,361  
            

 

 

 

IT Services 1.3%

            

Apple, Inc., 2.80%, 2/08/61

     United States        5,250,000        3,223,435  

Dell International LLC/EMC Corp., 5.40%, 4/15/34

     United States        1,950,000        1,930,228  
            

 

 

 
               5,153,663  
            

 

 

 

Machinery-Diversified 0.5%

            

Ingersoll Rand, Inc., 5.176%, 6/15/29

     United States        2,000,000        2,000,602  
            

 

 

 

Media 2.1%

            

Charter Communications Operating LLC/Charter Communications Operating Capital,

            

2.80%, 4/01/31

     United States        950,000        776,865  

5.375%, 4/01/38

     United States        1,500,000        1,307,124  

3.50%, 3/01/42

     United States        2,200,000        1,464,996  

Comcast Corp., 4.95%, 10/15/58

     United States        3,000,000        2,698,331  

Fox Corp., 5.476%, 1/25/39

     United States        1,700,000        1,621,841  
            

 

 

 
               7,869,157  
            

 

 

 

Multi-Utilities 0.2%

            

Berkshire Hathaway Energy Co., 5.15%, 11/15/43

     United States        1,000,000        944,077  
            

 

 

 

Oil & Gas 2.0%

            

BP Capital Markets America, Inc., 4.812%, 2/13/33

     United States        2,400,000        2,327,847  

Exxon Mobil Corp., 3.452%, 4/15/51

     United States        2,800,000        2,022,291  

a Var Energi ASA, 7.50%, 1/15/28

     Norway        3,250,000        3,421,882  
            

 

 

 
               7,772,020  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Oil, Gas & Consumable Fuels 2.6%

            

Aker BP ASA,

            

a 3.75%, 1/15/30

     Norway        1,700,000        1,557,691  

a 4.00%, 1/15/31

     Norway        1,500,000        1,362,188  

Canadian Natural Resources Ltd., 3.85%, 6/01/27

     Canada        2,600,000        2,501,504  

Exxon Mobil Corp., 3.567%, 3/06/45

     United States        3,200,000        2,445,852  

Sabine Pass Liquefaction LLC, 4.20%, 3/15/28

     United States        2,000,000        1,930,233  
            

 

 

 
               9,797,468  
            

 

 

 

Pharmaceuticals 2.8%

            

a Bayer U.S. Finance II LLC, 4.375%, 12/15/28

     Germany           2,000,000        1,900,121  

Bristol-Myers Squibb Co.,

            

4.125%, 6/15/39

     United States        1,750,000        1,519,391  

3.70%, 3/15/52

     United States        2,000,000        1,466,698  

CVS Health Corp.,

            

5.00%, 2/20/26

     United States        1,600,000        1,588,490  

5.25%, 1/30/31

     United States        800,000        791,258  

Pfizer Investment Enterprises Pte. Ltd., 5.30%, 5/19/53

     United States        3,750,000        3,619,557  
            

 

 

 
               10,885,515  
            

 

 

 

Pipelines 3.3%

            

a Cheniere Energy, Inc., 5.65%, 4/15/34

     United States        1,000,000        1,001,415  

Eastern Gas Transmission & Storage, Inc., 3.90%, 11/15/49

     United States        2,100,000        1,488,595  

Enbridge, Inc., 5.30%, 4/05/29

     Canada        1,450,000        1,452,804  

Energy Transfer LP,

            

5.15%, 3/15/45

     United States        3,500,000        3,079,314  

6.05%, 12/01/26

     United States        2,000,000        2,026,984  

Targa Resources Partners LP/Targa Resources Partners Finance Corp., 4.00%, 1/15/32

     United States        2,000,000        1,803,125  

Williams Cos., Inc., 5.15%, 3/15/34

     United States        1,800,000        1,756,862  
            

 

 

 
               12,609,099  
            

 

 

 

Real Estate Management & Development 1.4%

            

Alexandria Real Estate Equities, Inc., 2.95%, 3/15/34

     United States        3,250,000        2,633,566  

ERP Operating LP, 4.50%, 7/01/44

     United States        1,100,000        935,228  

a VICI Properties LP/VICI Note Co., Inc., 4.125%, 8/15/30

     United States        1,800,000        1,638,457  
            

 

 

 
               5,207,251  
            

 

 

 

Retail 1.6%

            

Home Depot, Inc., 3.625%, 4/15/52

     United States        2,800,000        2,072,755  

Lowe’s Cos., Inc., 3.00%, 10/15/50

     United States        2,000,000        1,251,892  

McDonald’s Corp., 3.625%, 9/01/49

     United States        1,350,000        979,266  

Target Corp., 2.95%, 1/15/52

     United States        2,600,000        1,676,266  
            

 

 

 
               5,980,179  
            

 

 

 

Shipbuilding 0.4%

            

Huntington Ingalls Industries, Inc., 4.20%, 5/01/30

     United States        1,685,000        1,585,264  
            

 

 

 

Software 2.5%

            

Fiserv, Inc., 5.60%, 3/02/33

     United States        3,350,000        3,379,378  

Microsoft Corp., 2.675%, 6/01/60

     United States        3,300,000        2,016,714  

Oracle Corp., 3.60%, 4/01/40

     United States        2,300,000        1,769,106  

ServiceNow, Inc., 1.40%, 9/01/30

     United States        3,000,000        2,436,698  
            

 

 

 
               9,601,896  
            

 

 

 

Telecommunications 3.9%

            

AT&T, Inc., 3.50%, 6/01/41

     United States        5,025,000        3,841,502  

Cisco Systems, Inc., 5.30%, 2/26/54

     United States        1,610,000        1,578,019  

Motorola Solutions, Inc., 5.60%, 6/01/32

     United States        3,000,000        3,034,960  

T-Mobile USA, Inc., 2.875%, 2/15/31

     United States        5,400,000        4,692,599  

Vodafone Group PLC, 5.75%, 6/28/54

     United Kingdom        1,755,000        1,700,826  
            

 

 

 
               14,847,906  
            

 

 

 

Trucking & Leasing 0.4%

            

a SMBC Aviation Capital Finance DAC, 1.90%, 10/15/26

     Ireland        1,700,000        1,566,506  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Wireless Telecommunication Services 0.5%

            

a Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC, 5.152%, 9/20/29

     United States        1,800,000        1,792,231  
            

 

 

 

Total Corporate Bonds & Notes (Cost $407,028,949)

               370,356,850  
            

 

 

 

U.S. Government & Agency Securities 1.5%

            

U.S. Treasury Bonds,

            

4.625%, 5/15/54

     United States        500,000        506,992  

4.75%, 11/15/43

     United States           2,700,000        2,736,703  

U.S. Treasury Notes, 4.25%, 6/30/29

     United States        2,700,000        2,688,926  
            

 

 

 

Total U.S. Government & Agency Securities (Cost $5,949,872)

               5,932,621  
            

 

 

 

Total Investments before Short-Term Investments (Cost $412,978,821)

               376,289,471  
            

 

 

 

Short-Term Investments 1.8%

            

U.S. Government & Agency Securities 1.8%

            

b Federal Home Loan Bank Discount Notes, 07/1/24

     United States        6,730,000        6,727,064  
            

 

 

 

Total Short-Term Investments (Cost $6,730,000)

               6,727,064  
            

 

 

 

Total Investments (Cost $419,708,821) 100.0%

               383,016,535  

Other Assets, less Liabilities 0.0%

               13,087  
            

 

 

 

Net Assets 100.0%

             $ 383,029,622  
            

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $72,440,853, representing 18.9% of net assets.

bThe security was issued on a discount basis with no stated coupon rate.

Abbreviations

Selected Portfolio

 

FRN   – Floating Rate Note
REIT   – Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

Franklin Municipal Green Bond ETF

     Principal Amount*        Value  

Municipal Bonds 98.8%

         

Alabama 0.3%

         

a County of Mobile, Gomesa Projects, 4.00%, 11/01/45

       300,000        $ 277,223  
         

 

 

 

Arizona 0.6%

         

Arizona State University, Series B, 5.00%, 7/01/42

       235,000          240,334  

City of Phoenix Civic Improvement Corp., Water System Revenue, 5.00%, 7/01/44

       360,000          386,374  
         

 

 

 
            626,708  
         

 

 

 

Arkansas 0.5%

         

Arkansas Development Finance Authority,

         

a Hybar LLC, AMT, 6.875%, 7/01/48

       250,000          273,017  

United States Steel Corp, AMT, 5.70%, 5/01/53

       275,000          287,950  
         

 

 

 
            560,967  
         

 

 

 

California 29.3%

         

Alameda Community Facilities District, 5.00%, 9/01/48

       1,000,000          1,013,406  

California Community Choice Financing Authority,

         

b 5.25%, 1/01/54

       3,160,000          3,332,002  

b VRDN, 5.00%, 12/01/53

       2,500,000          2,636,565  

b VRDN, 5.00%, 2/01/54

       3,500,000          3,711,443  

b VRDN, 5.25%, 11/01/54

       500,000          534,484  

b VRDN, 5.50%, 10/01/54

       1,000,000          1,094,040  

California Housing Finance Agency, Lakeside Drive Senior Housing LP, Series 2019, 2.35%, 12/01/35

       92,569          77,602  

California Infrastructure & Economic Development Bank,

         

California Science Center Foundation, 4.00%, 5/01/46

       805,000          801,183  

California Science Center Foundation, 4.00%, 5/01/51

       1,000,000          981,831  

California State Teachers’ Retirement System, 5.00%, 8/01/49

       180,000          189,732  

California Municipal Finance Authority,

         

CHF-Davis I LLC, 5.00%, 5/15/51

       1,000,000          1,015,893  

CHF-Davis II LLC, 4.00%, 5/15/39

       3,445,000          3,475,885  

CHF-Riverside II LLC, 5.00%, 5/15/37

       1,495,000          1,574,128  

a California School Finance Authority, River Springs Charter School Inc, 5.75%, 7/01/42

       250,000          263,980  

California State Public Works Board,

         

California Air Resources Board, Series 2022D, 4.00%, 5/01/44

       1,000,000          1,010,697  

Series D, 4.00%, 5/01/47

       1,500,000          1,510,831  

City of Foster City, Levee Protection Planning, 4.00%, 8/01/32

       135,000          138,590  

City of Los Angeles Department of Airports Customer Facility Charge Revenue, Department of

         

Airports Customer Facility Charge Revenue, 4.058%, 5/15/37

       1,000,000          882,262  

City of San Francisco Public Utilities Commission Water Revenue, Green Bond, Refunding,

         

Series 2020A, 4.00%, 11/01/50

       100,000          98,575  

Los Angeles County Metropolitan Transportation Authority Sales Tax Revenue, Green Bond, Series 2019A, 5.00%, 7/01/44

       150,000          158,674  

Peninsula Corridor Joint Powers Board Measure RR Sales Tax Revenue, Series A, 5.00%, 6/01/42

       1,000,000          1,105,734  

Perris Joint Powers Authority, Refunding, Series 2017B, 5.00%, 9/01/37

       100,000          103,070  

Port of Los Angeles, Green Bond, AMT, Refunding, 5.00%, 8/01/25

       130,000          132,082  

San Diego County Regional Airport Authority, Series B, 5.00%, 7/01/51

       2,000,000          2,077,330  

San Francisco Bay Area Rapid Transit District, Green Bond, 3.00%, 8/01/36

       170,000          157,038  

Santa Cruz County Capital Financing Authority, Sanitation District Green Bond, 4.00%, 6/01/42

       1,500,000          1,523,459  

Three Rivers Levee Improvement Authority,

         

Community Facilities District No 2006-1, Refunding, 4.00%, 9/01/27

       250,000          248,569  

Community Facilities District No 2006-1, Refunding, 4.00%, 9/01/29

       250,000          248,446  

Community Facilities District No 2006-1, Refunding, 4.00%, 9/01/31

       200,000          197,023  

Community Facilities District No 2006-1, Refunding, 4.00%, 9/01/32

       100,000          97,986  

Transbay Joint Powers Authority, Redevelopment Project Green Bond Senior Tax, 5.00%, 10/01/34

       150,000          157,339  
         

 

 

 
            30,549,879  
         

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Colorado 1.7%

         

Board of Water Commissioners City & County of Denver, Green Bond, Series 2017A, 5.00%, 9/15/47

       150,000          154,353  

University of Colorado,

         

Refunding, 5.00%, 6/01/27

       150,000          157,770  

b Refunding, VRDN, 2.00%, 6/01/51

       1,500,000          1,462,230  
         

 

 

 
            1,774,353  
         

 

 

 

District of Columbia 3.9%

         

District of Columbia,

         

Plenary Infrastructure DC LLC, AMT, 5.50%, 8/31/33

       905,000          1,016,656  

Plenary Infrastructure DC LLC, AMT, 5.50%, 2/28/35

       200,000          227,463  

Plenary Infrastructure DC LLC, AMT, 5.50%, 2/28/37

       845,000          970,956  

District of Columbia Water & Sewer Authority,

         

Green Bond, Sub Series 2019A, 5.00%, 10/01/44

       340,000          359,869  

Sub Series 2019A, 4.00%, 10/01/49

       1,565,000          1,521,785  
         

 

 

 
            4,096,729  
         

 

 

 

Florida 1.5%

         

Babcock Ranch Community Independent Special District, Assessment Area 3A, Special Assessment, 4.00%, 5/01/40

       840,000          801,932  

City of Tampa, Lower Basis Stormwater Improvement, Special Assessment, 5.00%, 5/01/36

       150,000          158,121  

County of Palm Beach Water & Sewer Revenue, Reclaimed Water Project, Refunding, 4.00%, 10/01/31

       105,000          109,449  

Somerset Community Development District,

         

Special Assessment, Refunding, 4.00%, 5/01/32

       415,000          402,475  

Special Assessment, Refunding, Series 2022, 4.20%, 5/01/37

       100,000          94,755  
         

 

 

 
            1,566,732  
         

 

 

 

Georgia 1.5%

         

City of Atlanta Airport Passenger Facility Charge, AMT, 5.25%, 7/01/43

       1,350,000          1,472,849  

Private Colleges & Universities Authority, Emory University, Refunding, 5.00%, 9/01/48

       100,000          105,096  
         

 

 

 
            1,577,945  
         

 

 

 

Illinois 3.8%

         

Illinois Finance Authority,

         

State of Illinois Water Revolving Fund - Clean Water Program, 4.00%, 7/01/38

       575,000          592,735  

University of Illinois, 5.25%, 10/01/53

       3,000,000          3,213,714  

a Upper Illinois River Valley Development Authority, 2018 IAVF Timber Oaks & Prairie View Obligated Group, Refunding, 3.50%, 12/01/32

       132,629          118,985  
         

 

 

 
            3,925,434  
         

 

 

 

Louisiana 3.3%

         

Louisiana Local Government Environmental Facilities & Community Development Authority,

         

a Parish of St Bernard LA, 4.00%, 11/01/45

       1,000,000          926,654  

a Parish of St Charles LA, 4.50%, 11/01/47

       1,000,000          1,003,666  

a Parish of St John the Baptist LA, 3.90%, 11/01/44

       445,000          407,427  

Terrebonne Levee & Conservation District Sales Tax Revenue,

         

Refunding, Refunding, Series B, 4.00%, 6/01/40

       100,000          99,228  

Refunding, Series B, 4.00%, 6/01/39

       1,000,000          1,000,281  
         

 

 

 
            3,437,256  
         

 

 

 

Maine 0.2%

         

City of Portland General Airport Revenue, Green Bond, Refunding, 4.00%, 1/01/35

       245,000          245,966  
         

 

 

 

Maryland 3.4%

         

Maryland Economic Development Corp.,

         

Purple Line Transit Partners LLC, AMT, 5.00%, 6/30/40

       1,000,000          1,042,771  

Purple Line Transit Partners LLC, AMT, 5.25%, 6/30/47

       2,000,000          2,091,403  

Maryland Health & Higher Educational Facilities Authority, Adventist Healthcare Obligated Group, Refunding, 4.00%, 1/01/30

       365,000          361,006  

Washington Suburban Sanitary Commission, Green Bond, 3.00%, 6/01/35

       100,000          94,140  
         

 

 

 
             3,589,320  
         

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Massachusetts 3.9%

         

Massachusetts Development Finance Agency,

         

Boston Medical Center Corp. Obligated Group, 4.00%, 7/01/47

       135,000          122,126  

Springfield College, Green Bond, 5.00%, 6/01/26

       420,000          424,909  

Springfield College, Green Bond, 5.00%, 6/01/27

       440,000          447,174  

b Trustees of Boston University, Refunding, VRDN, 4.90%, 10/01/42

       400,000          400,000  

Massachusetts Housing Finance Agency,

         

Series A-1, 4.90%, 12/01/59

       1,000,000          1,020,514  

Sustainability Bond, Series 2019C-1, 2.65%, 12/01/34

       100,000          85,458  

Sustainability Bond, Series 2021B-1, 2.60%, 12/01/41

       2,000,000          1,582,041  
         

 

 

 
            4,082,222  
         

 

 

 

Minnesota 1.6%

         

City of Minneapolis, Green Bond, 3.00%, 12/01/40

       100,000          86,162  

Minnesota Higher Education Facilities Authority, University of St Thomas/Minneapolis, Series A, 5.00%, 10/01/52

       1,500,000          1,560,076  
         

 

 

 
            1,646,238  
         

 

 

 

Mississippi 0.7%

         

a Mississippi Development Bank, County of Jackson Project, 3.625%, 11/01/36

       500,000          471,601  

a Mississippi Home Corp., Patriot Services Group Obligated Group, 5.20%, 6/01/36

       280,000          217,399  
         

 

 

 
            689,000  
         

 

 

 

New Jersey 4.0%

         

City of Newark Mass Transit Access Tax Revenue, Mulberry Pedestrian Bridge, 6.00%, 11/15/62

       1,460,000          1,676,433  

New Jersey Educational Facilities Authority, Stevens Institute of Technology, Series A, 5.00%, 7/01/32

       645,000          685,336  

Newark Board of Education,

         

Newark Board of Education, Refunding, 5.00%, 7/15/28

       571,000          604,574  

Refunding, 5.00%, 7/15/30

       620,000          672,973  

Sustainability Bonds, 5.00%, 7/15/25

       500,000          507,676  
         

 

 

 
            4,146,992  
         

 

 

 

New Mexico 0.2%

         

City of Santa Fe Wastewater Utility System Revenue,

         

Green Bond, 5.00%, 6/01/29

       100,000          106,495  

Wastewater Utility System Revenue, 4.00%, 6/01/35

       100,000          101,845  
         

 

 

 
            208,340  
         

 

 

 

New York 9.0%

         

Battery Park City Authority, Sustainability Bond, 5.00%, 11/01/49

       100,000          106,393  

Metropolitan Transportation Authority,

         

Green Bond, Refunding, Series 2017B, 5.00%, 11/15/24

       150,000          150,657  

Green Bond, Series 2020A-1, 4.00%, 11/15/41

       600,000          599,737  

Refunding, 5.00%, 11/15/28

       430,000          459,071  

Refunding, Series E, 5.00%, 11/15/32

       605,000          657,272  

Series C, 5.00%, 11/15/50

       1,510,000          1,573,812  

New York Liberty Development Corp.,

         

7 World Trade Center II LLC, Refunding , Series 2022A1, 3.00%, 9/15/43

       1,000,000          823,659  

Green Bonds- 4 World Trade, Refunding, 2.50%, 11/15/36

       2,000,000          1,646,193  

New York Power Authority, Green Transmission Project, 5.00%, 11/15/29

       1,250,000          1,379,782  

New York State Dormitory Authority, Cornell University, 5.00%, 7/01/35

       100,000          120,543  

New York State Housing Finance Agency,

         

Sustainability Bonds, Series 2019N, 2.60%, 11/01/34

       100,000          86,280  

Sustainability Bonds, Series 2019P, 2.00%, 5/01/28

       100,000          91,168  

b Sustainability Bonds, VRDN, Series 2022A, 2.50%, 11/01/60

       1,500,000          1,437,005  

New York Transportation Development Corp., JFK NTO LLC, AMT, 5.50%, 6/30/38

       250,000          272,918  
         

 

 

 
             9,404,490  
         

 

 

 

Ohio 4.6%

         

American Municipal Power, Inc.,

         

4.00%, 2/15/41

       1,415,000          1,381,489  

Solar Electricity Prepayment Revenue, 5.00%, 2/15/44

       1,660,000          1,721,055  

Ohio State University, 4.00%, 12/01/39

       1,500,000          1,531,739  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

State of Ohio, Conservation Project, Series 2019A, 4.00%, 3/01/30

       100,000          104,903  
         

 

 

 
            4,739,186  
         

 

 

 

Oregon 2.9%

         

Hospital Facilities Authority of Multnomah County Oregon, Terwilliger Plaza Inc Obligated Group, Refunding, 4.00%, 12/01/51

       530,000          395,700  

Port of Portland Airport Revenue,

         

AMT, 5.50%, 7/01/53

       2,250,000          2,444,988  

Series 2020-27A, 5.00%, 7/01/36

       150,000          159,261  
         

 

 

 
             2,999,949  
         

 

 

 

Pennsylvania 1.7%

         

Philadelphia Energy Authority, City of Philadelphia PA, 5.00%, 11/01/43

       600,000          645,844  

School District of Philadelphia,

         

Green Bond, Series 2021B, 5.00%, 9/01/31

       100,000          109,217  

Series B, 5.00%, 9/01/48

       1,000,000          1,065,613  
         

 

 

 
            1,820,674  
         

 

 

 

Puerto Rico 0.7%

         

HTA TRRB Custodial Trust, 5.25%, 7/01/36

       164,300          164,975  

Puerto Rico Sales Tax Financing Corp. Sales Tax Revenue, Series A-1, 5.00%, 7/01/58

       525,000          525,113  
         

 

 

 
            690,088  
         

 

 

 

Rhode Island 0.2%

         

Rhode Island Housing & Mortgage Finance Corp., Multi Family Development, Sustainability Bond, 2.75%, 10/01/34

       150,000          130,087  

Rhode Island Infrastructure Bank, Green Bond, Series 2020A, 4.00%, 10/01/27

       50,000          51,022  
         

 

 

 
            181,109  
         

 

 

 

Tennessee 1.2%

         

b Metropolitan Government Nashville & Davidson County Industrial Development Board, Waste Management, Inc. of Tennessee Project, VRDN, 0.58%, 8/01/31

       1,200,000          1,195,944  
         

 

 

 

Texas 1.0%

         

Harris County Flood Control District, Series 2022A, 4.25%, 10/01/47

       1,000,000          1,003,502  
         

 

 

 

Utah 6.0%

         

Central Valley Water Reclamation Facility, Green Bond, Series 2021C, 4.00%, 3/01/47

       3,050,000          2,974,355  

Intermountain Power Agency, Refunding, Series 2022A, 5.00%, 7/01/43

       3,000,000          3,251,153  
         

 

 

 
            6,225,508  
         

 

 

 

Vermont 3.4%

         

City of Burlington Electric System Revenue, Electric System Revenue, Series 2022A, 5.00%, 7/01/31

       500,000          557,304  

Vermont Educational & Health Buildings Financing Agency,

         

University of Vermont Health Network Obligated Group, 4.00%, 12/01/42

       1,000,000          960,048  

University of Vermont Health Network Obligated Group, 5.00%, 12/01/38

       2,005,000          2,028,705  
         

 

 

 
            3,546,057  
         

 

 

 

Virginia 1.3%

         

Charles City County Economic Development Authority, Waste Management, Inc., AMT, VRDN, 1.45%, 4/01/27

       1,100,000          1,003,440  

City of Hampton,

         

3.00%, 9/01/35

       240,000          221,691  

Green Bond, 4.00%, 9/01/31

       100,000          105,535  

Green Bond, 5.00%, 9/01/27

       50,000          52,930  
         

 

 

 
            1,383,596  
         

 

 

 

Washington 2.0%

         

Central Puget Sound Regional Transit Authority,

         

Refunding, Series S-1, 4.00%, 11/01/46

       2,000,000          1,967,559  

Sales & Rental Car Taxes Revenue, Series 2015S-1, 5.00%, 11/01/32

       150,000          153,472  
         

 

 

 
            2,121,031  
         

 

 

 

Wisconsin 4.4%

         

Milwaukee Metropolitan Sewerage District,

         

Green Bond, Series 2020A, 3.00%, 10/01/35

       150,000          138,706  

Series A, 3.00%, 10/01/32

       1,000,000          945,239  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Public Finance Authority,

         

RED River Valley Alliance LLC, AMT, 4.00%, 9/30/51

       2,265,000          1,922,863  

RED River Valley Alliance LLC, AMT, 4.00%, 3/31/56

       600,000          499,478  

a,b WV 2020 Holdings LLC Obligated Group, VRDN, 3.50%, 12/01/50

       200,000          168,904  

University of Wisconsin Hospitals & Clinics, Authority Obligated Group, Green Bond, 4.00%, 4/01/46

       1,000,000          950,922  
         

 

 

 
            4,626,112  
         

 

 

 

Total Municipal Bonds (Cost $103,364,666)

            102,938,550  
         

 

 

 

Total Investments (Cost $103,364,666) 98.8%

            102,938,550  

Other Assets, less Liabilities 1.2%

            1,199,225  
         

 

 

 

Net Assets 100.0%

          $ 104,137,775  
         

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $4,128,856, representing 4.0% of net assets.

bVariable rate security. The rate shown represents the yield at period end.

Abbreviations

Selected Portfolio

 

AMT   – Alternative Minimum Tax
VRDN   – Variable Rate Demand Note


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

Franklin Senior Loan ETF

   Country        Principal Amount      Value  

Corporate Bonds & Notes 4.7%

          

Advertising 0.5%

          

a Clear Channel Outdoor Holdings, Inc., 7.875%, 4/01/30

   United States        2,600,000      $ 2,619,113  
          

 

 

 

Airlines 0.7%

          

a Air Canada, 3.875%, 8/15/26

   Canada        700,000        666,618  

a American Airlines, Inc., 8.50%, 5/15/29

   United States        800,000        831,674  

a American Airlines, Inc./AAdvantage Loyalty IP Ltd., 5.50%, 4/20/26

   United States        1,533,333        1,521,122  

a Delta Air Lines, Inc./SkyMiles IP Ltd., first lien, 4.50%, 10/20/25

   United States        125,011        123,520  

a United Airlines, Inc., 4.375%, 4/15/26

   United States        140,000        135,403  
          

 

 

 
               3,278,337  
          

 

 

 

Auto Parts & Equipment 0.1%

          

a Tenneco, Inc., 8.00%, 11/17/28

   United States        300,000        273,360  
          

 

 

 

Chemicals 0.1%

          

a SCIH Salt Holdings, Inc., 4.875%, 5/01/28

   United States        500,000        465,681  
          

 

 

 

Commercial Services & Supplies 0.1%

          

a MPH Acquisition Holdings LLC, 5.50%, 9/01/28

   United States        213,000        161,052  

a WW International, Inc., 4.50%, 4/15/29

   United States        900,000        349,789  
          

 

 

 
             510,841  
          

 

 

 

Communications Equipment 0.0%

          

a CommScope, Inc., 4.75%, 9/01/29

   United States        288,500        200,453  
          

 

 

 

Construction Materials 0.5%

          

a Cemex SAB de CV, 5.20%, 9/17/30

   Mexico        375,000        362,462  

a EMRLD Borrower LP/Emerald Co.-Issuer, Inc., 6.625%, 12/15/30

   United States        1,400,000        1,412,673  

a Smyrna Ready Mix Concrete LLC, 8.875%, 11/15/31

   United States        700,000        743,390  
          

 

 

 
             2,518,525  
          

 

 

 

Containers & Packaging 0.1%

          

a Pactiv Evergreen Group Issuer, Inc./Pactiv Evergreen Group

          

Issuer LLC, 4.00%, 10/15/27

   United States        400,000        375,028  
          

 

 

 

Electric 0.2%

          

a Calpine Corp., first lien, 4.50%, 2/15/28

   United States        800,000        760,734  
          

 

 

 

Electric Utilities 0.1%

          

a Talen Energy Supply LLC, 8.625%, 6/01/30

   United States        400,000        426,812  
          

 

 

 

Entertainment 0.3%

          

a International Game Technology PLC, first lien, 5.25%, 1/15/29

   United Kingdom        1,200,000        1,161,871  

a Ontario Gaming GTA LP/OTG Co.-Issuer, Inc., 8.00%, 8/01/30

   Canada        500,000        513,512  
          

 

 

 
             1,675,383  
          

 

 

 

Environmental Control 0.1%

          

a GFL Environmental, Inc., 3.50%, 9/01/28

   Canada        600,000        553,686  
          

 

 

 

Financial Services 0.2%

          

a Altice France SA, 5.125%, 7/15/29

   France        500,000        329,583  

a Jane Street Group/JSG Finance, Inc., 4.50%, 11/15/29

   United States        300,000        281,668  

a Vmed O2 U.K. Financing I PLC, 4.25%, 1/31/31

   United Kingdom        210,000        174,601  
          

 

 

 
             785,852  
          

 

 

 

Health Care Providers & Services 0.3%

          

a Radiology Partners, Inc., 7.775%, 1/31/29

   United States        1,415,380        1,328,688  
          

 

 

 

Insurance 0.6%

          

a Acrisure LLC/Acrisure Finance, Inc., 4.25%, 2/15/29

   United States        500,000        454,645  

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer,

          

a 6.75%, 4/15/28

   United States        1,700,000        1,704,313  

a 7.00%, 1/15/31

   United States        1,000,000        1,011,044  
          

 

 

 
             3,170,002  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

IT Services 0.1%

              

a Fortress Intermediate 3, Inc., 7.50%, 6/01/31

     United States        600,000          615,480  
              

 

 

 

Machinery-Diversified 0.1%

              

a GrafTech Finance, Inc., 4.625%, 12/15/28

     United States        400,000          254,046  
              

 

 

 

Media 0.1%

              

a Directv Financing LLC/Directv Financing Co.-Obligor, Inc., 5.875%, 8/15/27

     United States        750,000          706,066  
              

 

 

 

Mining 0.1%

              

a Arsenal AIC Parent LLC, 8.00%, 10/01/30

     United States        700,000          735,452  
              

 

 

 

Oil, Gas & Consumable Fuels 0.0%

              

Cheniere Energy, Inc., 4.625%, 10/15/28

     United States        150,000          145,682  
              

 

 

 

Packaging & Containers 0.2%

              

a Mauser Packaging Solutions Holding Co., 7.875%, 4/15/27

     United States        805,000          822,099  
              

 

 

 

Personal Care Products 0.1%

              

a Coty, Inc., 5.00%, 4/15/26

     United States        600,000          592,548  
              

 

 

 

Pharmaceuticals 0.0%

              

a,b Endo Luxembourg Finance SARL, 0.000%, 4/01/29

     Luxembourg        925,000           
              

 

 

 

Retail 0.1%

              

a Bausch & Lomb Corp., 8.375%, 10/01/28

     United States        360,000          369,000  
              

 

 

 

Total Corporate Bonds & Notes (Cost $23,536,716)

                 23,182,868  
              

 

 

 

c Senior Floating Rate Interests 86.9%

              

Aerospace & Defense 2.0%

              

d Bleriot U.S. Bidco, Inc., 2023 Term Loan B, TBD, 10/31/30

     United States        142,857          143,696  

Dynasty Acquisition Co., Inc.,

              

2024 Term Loan B1, 1 mo. USD Term SOFR + 3.50%, 8.844%, 8/24/28

     United States        1,002,593          1,007,376  

2024 Term Loan B2, 1 mo. USD Term SOFR + 3.50%, 8.844%, 8/24/28

     United States        424,427          426,451  

Madison IAQ LLC, Term Loan, 1 mo. USD Term SOFR + 2.75%, 8.094%, 6/21/28

     United States        4,287,215          4,296,496  

Peraton Corp., Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.194%, 2/01/28

     United States        3,773,182          3,778,182  
              

 

 

 
                 9,652,201  
              

 

 

 

Air Freight & Logistics 2.2%

              

First Student Bidco, Inc.,

              

2022 Incremental Term Loan B, 3 mo. USD Term SOFR + 4.00%, 8.435%, 7/21/28

     United States        1,286,833          1,289,445  

Term Loan C, 3 mo. USD Term SOFR + 3.00%, 8.596%, 7/21/28

     United States        553,031          553,913  

Term Loan B, 3 mo. USD Term SOFR + 3.00%, 8.596%, 7/21/28

     United States        1,818,278          1,821,178  

Kenan Advantage Group, Inc., 2024 Term Loan B3, 1 mo. USD Term

              

SOFR + 3.75%, 9.094%, 1/25/29

     United States        2,827,622          2,845,295  

LaserShip, Inc., 2021 Term Loan, 3 mo. USD Term SOFR + 4.50%, 10.096%, 5/07/28

     United States        2,500,000          2,137,162  

Savage Enterprises LLC, 2021 Term Loan B, 1 mo. USD Term SOFR + 3.00%, 8.344%, 9/15/28

     United States        2,142,504          2,150,046  
              

 

 

 
                  10,797,039  
              

 

 

 

Apparel Retail 0.3%

              

ABG Intermediate Holdings 2 LLC,

              

d 2024 Term Loan B, TBD, 12/21/28

     United States        1,310,555          1,313,380  

d 2024 Add on Delayed Draw Term Loan, TBD, 12/21/28

     United States        235,924          236,440  
              

 

 

 
                 1,549,820  
              

 

 

 

Application Software 1.8%

              

Cloud Software Group, Inc.,

              

2024 USD Term Loan B, 3 mo. USD Term SOFR + 4.00%, 9.335% - 9.335%, 3/30/29

     United States        3,475,743          3,477,272  

2024 Term Loan, 3 mo. USD Term SOFR + 4.50%, 9.835%, 3/21/31

     United States        1,213,068          1,217,902  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Epicor Software Corp.,

              

d 2024 Delayed Draw Term Loan, TBD, 5/30/31

     United States        77,212          77,630  

2024 Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.578%, 5/23/31

     United States        2,799,409          2,814,567  

Flexera Software LLC, 2024 Term Loan, 3 mo. USD Term SOFR + 3.50%, 8.826%, 3/03/28

     United States        1,454,237          1,461,509  
              

 

 

 
                 9,048,880  
              

 

 

 

Asset Management & Custody Banks 0.8%

              

First Eagle Investment Management LLC, 2024 Term Loan B, 3 mo. USD Term SOFR + 3.00%, 8.345%, 3/05/29

     United States        4,100,000          4,087,188  
              

 

 

 

Automobile Manufacturers 0.4%

              

American Trailer World Corp., Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.194%, 3/03/28

     United States        1,895,532          1,858,408  
              

 

 

 

Automotive Parts & Equipment 3.5%

              

Clarios Global LP, 2024 Term Loan B, 1 mo. USD Term SOFR + 3.00%, 8.344%, 5/06/30

     United States        1,333,201          1,337,994  

DexKo Global, Inc.,

              

2021 USD Term Loan B, 3 mo. USD Term SOFR + 3.75%, 9.346%, 10/04/28

     United States        2,469,905          2,459,753  

2023 Incremental Term Loan, 3 mo. USD Term SOFR + 4.25%, 9.585%, 10/04/28

     United States        691,263          691,626  

First Brands Group LLC,

              

2021 Term Loan, 3 mo. USD Term SOFR + 5.00%, 10.591%, 3/30/27

     United States        5,061,670          5,037,172  

2022 Incremental Term Loan, 3 mo. USD Term SOFR + 5.00%, 10.591%, 3/30/27

     United States        1,766,074          1,758,348  

RealTruck Group, Inc., 2021 Term Loan B, 1 mo. USD Term SOFR + 3.50%, 8.958%, 1/31/28

     United States        4,083,740          4,077,144  

Tenneco, Inc., 2022 Term Loan B, 3 mo. USD Term SOFR + 5.00%, 10.426% - 10.435%, 11/17/28

     United States        2,158,115          2,075,071  
              

 

 

 
                  17,437,108  
              

 

 

 

Building Products 1.7%

              

Allied Universal Holdco LLC, 2021 USD Incremental Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.194%, 5/12/28

     United States        5,470,742          5,455,888  

Garda World Security Corp., 2022 Term Loan B, 3 mo. USD Term SOFR + 4.25%, 9.594%, 2/01/29

     Canada        498,731          502,472  

Solis IV BV, USD Term Loan B1, 3 mo. USD Term SOFR + 3.50%, 8.836%, 2/26/29

     Netherlands        1,578,696          1,570,527  

White Cap Buyer LLC, Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.594%, 10/19/27

     United States        959,625          962,355  
              

 

 

 
                 8,491,242  
              

 

 

 

Capital Markets 1.5%

              

d Assetmark Financial Holdings, Inc., 2024 Term Loan, TBD, 6/03/31

     United States        1,856,716          1,860,198  

Edelman Financial Center LLC,

              

2024 Term Loan B, 3 mo. USD Term SOFR + 3.25%, 8.594%, 4/07/28

     United States        983,784          986,322  

2021 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.944%, 4/07/28

     United States        2,657,754          2,664,610  

Russell Investments U.S. Institutional Holdco, Inc., 2024 PIK Term Loan, 3 mo. USD Term SOFR + 5.00%, 10.33%, 5/30/27

     United States        2,252,000          2,009,212  
              

 

 

 
                 7,520,342  
              

 

 

 

Casinos & Gaming 3.0%

              

Bally’s Corp., 2021 Term Loan B, 3 mo. USD Term SOFR + 3.25%, 8.836%, 10/02/28

     United States        3,146,686          2,995,582  

Caesars Entertainment, Inc.,

              

Term Loan B, 3 mo. USD Term SOFR + 2.75%, 8.097%, 2/06/30

     United States        1,018,109          1,020,095  

2024 Term Loan B1, 3 mo. USD Term SOFR + 2.75%, 8.097%, 2/06/31

     United States        860,000          861,746  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Flutter Financing BV, Term Loan B, 3 mo. USD Term SOFR + 2.25%, 7.585%, 11/25/30

     Ireland        1,981,056          1,984,572  

d GVC Holdings Ltd., 2024 USD Term Loan B3, TBD, 10/31/29

     Gibraltar        1,980,352          1,986,006  

Light & Wonder International, Inc., 2024 Term Loan, 1 mo. USD Term SOFR + 2.75%, 8.07%, 4/14/29

     United States        1,293,294          1,295,492  

Ontario Gaming GTA LP, Term Loan B, 3 mo. USD Term SOFR + 4.25%, 9.585%, 8/01/30

     Canada        584,397          587,956  

Scientific Games Holdings LP,

              

2022 USD Term Loan B, 3 mo. USD Term SOFR + 3.00%, 8.306%, 4/04/29

     United States        2,757,392          2,755,089  

2024 USD Term Loan B, 3 mo. USD Term SOFR + 3.00%, 8.306%, 4/04/29

     United States        1,500,000          1,498,748  
              

 

 

 
                 14,985,286  
              

 

 

 

Chemicals 3.8%

              

Hexion Holdings Corp.,

              

2022 USD Term Loan, 3 mo. USD Term SOFR + 4.50%, 9.977%, 3/15/29

     United States        3,165,205          3,158,700  

2022 USD 2nd Lien Term Loan, 1 mo. USD Term SOFR + 7.44%, 12.881%, 3/15/30

     United States        1,100,000          1,012,275  

INEOS Quattro Holdings UK Ltd.,

              

2023 USD Term Loan, 1 mo. USD Term SOFR + 3.75%, 9.194%, 3/14/30

     United States        298,493          298,494  

2023 USD 1st Lien Term Loan B, 1 mo. USD Term SOFR + 4.25%, 9.694%, 4/02/29

     United States        2,690,320          2,688,639  

LSF11 A5 Holdco LLC, Term Loan, 3 mo. USD Term SOFR + 3.50%, 8.941%, 10/15/28

     United States        2,134,197          2,136,417  

Nouryon Finance BV,

              

2024 USD Term Loan B, 3 mo. USD Term SOFR + 3.50%, 8.826%, 4/03/28

     Netherlands        1,215,046          1,219,754  

2024 Incremental Term Loan B, 1 mo. USD Term SOFR + 3.50%, 8.829%, 4/03/28

     Netherlands        504,004          507,154  

PMHC II, Inc., 2022 Term Loan B, 3 mo. USD Term SOFR + 4.25%, 9.706%, 4/23/29

     United States        5,188,620          5,074,471  

SCIH Salt Holdings, Inc., 2021 Incremental Term Loan B, 3 mo. USD Term SOFR + 3.50%, 8.83%, 3/16/27

     United States        2,761,189          2,766,366  
              

 

 

 
                 18,862,270  
              

 

 

 

Commercial Services & Supplies 4.5%

              

Amentum Government Services Holdings LLC, 2022 Term Loan, 1 mo. USD Term SOFR + 4.00%, 9.344%, 2/15/29

     United States        2,582,690          2,597,218  

APX Group, Inc., 2021 Term Loan B, U.S. (Fed) Prime Rate + 1.75%, 8.074% - 10.25%, 7/10/28

     United States        2,300,000          2,305,750  

Avis Budget Car Rental LLC, 2023 Term Loan C, 1 mo. USD Term SOFR + 3.00%, 8.444%, 3/16/29

     United States        997,494          997,868  

d Fortress Intermediate 3, Inc., Term Loan B, TBD, 5/09/31

     United States        2,077,218          2,082,411  

Foundever Worldwide Corp., 2021 USD Term Loan, 1 mo. USD Term SOFR + 3.75%, 9.208%, 8/28/28

     France        692,875          536,788  

GTCR W Merger Sub LLC, USD Term Loan B, 3 mo. USD Term SOFR + 3.00%, 8.335%, 1/31/31

     United States        4,221,739          4,232,884  

d Indy U.S. Holdco LLC, 2024 USD Term Loan B, TBD, 3/06/28

     United States        1,944,445          1,949,306  

MPH Acquisition Holdings LLC, 2021 Term Loan B, 3 mo. USD Term SOFR + 4.25%, 9.859%, 9/01/28

     United States        2,176,227          1,817,236  

Neptune Bidco U.S., Inc., 2022 USD Term Loan B, 3 mo. USD Term SOFR + 5.00%, 10.406%, 4/11/29

     United States        2,496,725          2,356,285  

Priority Holdings LLC, 2024 Term Loan B, 3 mo. USD Term SOFR + 4.75%, 10.079%, 5/16/31

     United States        500,000          500,782  

Spin Holdco, Inc., 2021 Term Loan, 3 mo. USD Term SOFR + 4.00%, 9.60%, 3/04/28

     United States        3,024,006          2,591,195  
              

 

 

 
                  21,967,723  
              

 

 

 

Communications Equipment 0.3%

              

CommScope, Inc., 2019 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.708%, 4/06/26

     United States        1,546,262          1,398,811  
              

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Computer & Electronics Retail 1.3%

              

McAfee LLC, 2024 USD Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.579%, 3/01/29

     United States        5,420,055          5,421,329  

Vision Solutions, Inc., 2021 Incremental Term Loan, U.S. (Fed) Prime Rate + 3.00%, 9.591% - 11.50%, 4/24/28

     United States        1,069,647          1,054,939  
              

 

 

 
                 6,476,268  
              

 

 

 

Construction & Engineering 0.6%

              

Brand Industrial Services, Inc., 2024 Term Loan B, 3 mo. USD Term SOFR + 4.50%, 9.827%, 8/01/30

     United States        629,490          632,288  

Brown Group Holding LLC, 2022 Incremental Term Loan B2, 3 mo. USD Term SOFR + 3.00%, 8.327% - 8.347%, 7/02/29

     United States        800,000          800,600  

Chromalloy Corp., 2024 Term Loan B, 3 mo. USD Term SOFR + 3.75%, 9.058%, 3/27/31

     United States        1,270,289          1,275,688  
              

 

 

 
                 2,708,576  
              

 

 

 

Construction Materials 2.0%

              

Asplundh Tree Expert LLC, 2024 Incremental Term Loan B, 3 mo. USD Term SOFR + 1.75%, 7.096%, 5/23/31

     United States        2,000,000          2,001,000  

Cornerstone Building Brands, Inc.,

              

2021 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.679%, 4/12/28

     United States        1,852,413          1,811,891  

2024 Term Loan B, 1 mo. USD Term SOFR + 4.50%, 9.829%, 5/02/31

     United States        1,216,438          1,211,372  

d Emrld Borrower LP, 2024 Term Loan B, TBD, 6/18/31

     United States        1,621,302          1,623,328  

MI Windows & Doors LLC, 2024 Term Loan B2, 1 mo. USD Term SOFR + 3.50%, 8.844%, 3/28/31

     United States        299,401          301,585  

Quikrete Holdings, Inc.,

              

2024 Term Loan B1, 1 mo. USD Term SOFR + 2.25%, 7.594%, 3/19/29

     United States        1,277,002          1,279,320  

2024 Term Loan B, 1 mo. USD Term SOFR + 2.50%, 7.844%, 4/14/31

     United States        1,419,024          1,423,828  
              

 

 

 
                 9,652,324  
              

 

 

 

Consumer Electronics 0.4%

              

II-VI, Inc., 2024 Term Loan B, 1 mo. USD Term SOFR + 2.50%, 7.844%, 7/02/29

     United States        2,175,317          2,179,667  
              

 

 

 

Containers & Packaging 2.6%

              

Charter NEX U.S., Inc., 2024 Term Loan B, 1 mo. USD Term SOFR + 3.50%, 8.844%, 12/01/27

     United States        4,307,173          4,319,664  

Klockner-Pentaplast of America, Inc., 2021 Term Loan B, 6 mo. USD Term SOFR + 4.73%, 10.268%, 2/12/26

     Luxembourg        2,751,479          2,579,512  

Mauser Packaging Solutions Holding Co., 2024 Term Loan B, 1 mo. USD Term SOFR + 3.50%, 8.829%, 4/15/27

     United States        1,493,000          1,496,531  

Proampac PG Borrower LLC, 2024 Term Loan, 3 mo. USD Term SOFR + 3.00%, 9.322% - 9.329%, 9/15/28

     United States        1,662,034          1,668,059  

Reynolds Group Holdings, Inc.,

              

2024 Term Loan B3, 3 mo. USD Term SOFR + 2.50%, 7.845%, 9/24/28

     United States        1,000,000          1,002,335  

2021 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.68%, 9/24/28

     United States        1,466,902          1,470,327  
              

 

 

 
                  12,536,428  
              

 

 

 

Distributors 0.5%

              

d BCPE Empire Holdings, Inc., 2024 Term Loan, TBD, 12/11/28

     United States        2,400,000          2,403,456  
              

 

 

 

Diversified Banks 0.5%

              

AqGen Island Holdings, Inc., Term Loan, 1 mo. USD Term SOFR + 3.50%, 8.958%, 8/02/28

     United States        2,415,905          2,420,737  
              

 

 

 

Diversified Metals & Mining 0.1%

              

Arsenal AIC Parent LLC, 2024 Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.094%, 8/18/30

     United States        673,389          678,271  
              

 

 

 

Diversified Support Services 0.6%

              

Forward Air Corp., Term Loan B, 1 mo. USD Term SOFR + 4.50%, 9.83%, 12/19/30

     United States        3,072,000          2,872,704  
              

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Diversified Telecommunication Services 1.0%

              

Altice France SA, 2023 USD Term Loan B14, 3 mo. USD Term SOFR + 5.50%, 10.829%, 8/15/28

     France        1,158,755          854,581  

Delta TopCo, Inc., 2024 Term Loan, 3 mo. USD Term SOFR + 3.50%, 8.846%, 11/30/29

     United States        3,521,984          3,524,555  

Zayo Group Holdings, Inc., USD Term Loan, 1 mo. USD Term SOFR + 3.00%, 8.458%, 3/09/27

     United States        708,194          618,491  
              

 

 

 
                 4,997,627  
              

 

 

 

Electric Utilities 0.3%

              

Calpine Construction Finance Co. LP, 2023 Refinancing Term Loan B, 1 mo. USD Term SOFR + 2.00%, 7.344%, 7/31/30

     United States        1,290,250          1,287,753  

Talen Energy Supply LLC,

              

2023 Term Loan C, 3 mo. USD Term SOFR + 3.50%, 8.827%, 5/17/30

     United States        39,788          40,286  

2023 Term Loan B, 3 mo. USD Term SOFR + 3.50%, 8.827%, 5/17/30

     United States        280,312          283,816  
              

 

 

 
                  1,611,855  
              

 

 

 

Financial Services 1.3%

              

Asurion LLC,

              

2020 Term Loan B8, 1 mo. USD Term SOFR + 3.25%, 8.708%, 12/23/26

     United States        1,673,280          1,661,659  

2021 Second Lien Term Loan B4, 1 mo. USD Term SOFR + 5.25%, 10.708%, 1/20/29

     United States        3,097,666          2,866,549  

Brookfield WEC Holdings, Inc., 2024 Term Loan, 1 mo. USD Term SOFR + 2.75%, 8.094%, 1/27/31

     United States        2,000,000          2,004,190  
              

 

 

 
                 6,532,398  
              

 

 

 

Food Products 1.0%

              

Triton Water Holdings, Inc.,

              

Term Loan, 3 mo. USD Term SOFR + 3.25%, 8.846%, 3/31/28

     United States        4,795,616          4,802,810  

2024 Incremental Term Loan B, 3 mo. USD Term SOFR + 4.00%, 9.335%, 3/31/28

     United States        207,813          208,743  
              

 

 

 
                 5,011,553  
              

 

 

 

Health Care Providers & Services 7.0%

              

ADMI Corp.,

              

2021 Term Loan B2, 1 mo. USD Term SOFR + 3.38%, 8.833%, 12/23/27

     United States        742,181          726,781  

2021 Incremental Term Loan B3, 1 mo. USD Term SOFR + 3.75%, 9.208%, 12/23/27

     United States        2,837,236          2,785,825  

2023 Term Loan B5, 1 mo. USD Term SOFR + 5.75%, 11.094%, 12/23/27

     United States        232,597          234,535  

Charlotte Buyer, Inc., 1st Lien Term Loan, 1 mo. USD Term SOFR + 5.25%, 10.578%, 2/11/28

     United States        3,246,186          3,258,732  

eResearchTechnology, Inc., 2024 Term Loan, 1 mo. USD Term SOFR + 4.00%, 9.344%, 2/04/27

     United States        1,340,549          1,348,686  

Gainwell Acquisition Corp., Term Loan B, 3 mo. USD Term SOFR + 4.00%, 9.435%, 10/01/27

     United States        4,139,095          4,018,358  

Global Medical Response, Inc., 2024 PIK Term Loan, 3 mo. USD Term SOFR + 5.50%, 10.844%, 10/31/28

     United States        497,933          483,244  

Jazz Financing Lux SARL, 2024 Term Loan B, 1 mo. USD Term SOFR + 3.00%, 8.458%, 5/05/28

     United States        1,938,614          1,942,249  

Medical Solutions Holdings, Inc., 2021 1st Lien Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.694%, 11/01/28

     United States        2,441,229          1,860,997  

Medline Borrower LP,

              

d 2024 USD Term Loan B, TBD, 10/23/28

     United States        478,796          479,395  

2024 Term Loan B, 1 mo. USD Term SOFR + 2.75%, 8.094%, 10/23/28

     United States        2,199,011          2,205,883  

National Mentor Holdings, Inc.,

              

2021 Term Loan C, 3 mo. USD Term SOFR + 3.75%, 9.185%, 3/02/28

     United States        77,167          73,029  

2021 Term Loan, 3 mo. USD Term SOFR + 3.75%, 9.185% -9.194%, 3/02/28

     United States        2,433,883          2,303,366  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Phoenix Guarantor, Inc., 2024 Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.594%, 2/21/31

     United States        3,981,623          3,976,169  

Radiology Partners, Inc., 2024 Extended Term Loan B, 3 mo. USD Term SOFR + 3.50%, 9.088%, 1/31/29

     United States        1,715,915          1,631,835  

Star Parent, Inc., Term Loan B, 3 mo. USD Term SOFR + 3.75%, 9.085%, 9/27/30

     United States        1,961,750          1,962,525  

U.S. Anesthesia Partners, Inc., 2021 Term Loan, 1 mo. USD Term SOFR + 4.25%, 9.694%, 10/01/28

     United States        3,505,380          3,371,492  

U.S. Radiology Specialists, Inc., 2020 Term Loan, 3 mo. USD Term SOFR + 5.25%, 10.735%, 12/15/27

     United States        1,858,716          1,867,777  
              

 

 

 
                 34,530,878  
              

 

 

 

Health Care Services 3.4%

              

CHG Healthcare Services, Inc.,

              

2021 Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.694%, 9/29/28

     United States        1,381,739          1,385,477  

2023 Incremental Term Loan, 1 mo. USD Term SOFR + 3.75%, 9.094%, 9/29/28

     United States        1,087,220          1,091,639  

Cotiviti Corp., 2024 Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.579%, 5/01/31

     United States        6,068,937          6,053,765  

DaVita, Inc., 2024 Extended Term Loan B1, 1 mo. USD Term SOFR + 2.00%, 7.344%, 5/09/31

     United States        2,000,000          1,996,630  

LifePoint Health, Inc., 2024 Incremental Term Loan B, 3 mo. USD Term SOFR + 4.00%, 9.329%, 5/17/31

     United States        2,458,993          2,465,534  

MedAssets Software Intermediate Holdings, Inc., 2021 Term Loan, 1 mo. USD Term SOFR + 4.00%, 9.606%, 12/18/28

     United States        1,676,872          1,372,939  

Surgery Center Holdings, Inc., 2023 Term Loan, 1 mo. USD Term SOFR + 3.50%, 8.831%, 12/19/30

     United States        213,675          214,490  

d TTF Holdings LLC, 2024 Term Loan, TBD, 6/20/31

     United States        2,159,135          2,159,135  
              

 

 

 
                  16,739,609  
              

 

 

 

Health Care Supplies 0.6%

              

Bausch & Lomb Corp.,

              

Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.689%, 5/10/27

     United States        1,293,384          1,281,259  

2023 Incremental Term Loan, 1 mo. USD Term SOFR + 4.00%, 9.344%, 9/29/28

     United States        1,588,000          1,587,015  
              

 

 

 
                 2,868,274  
              

 

 

 

Home Furnishings 0.7%

              

AI Aqua Merger Sub, Inc.,

              

d 2024 Term Loan B, TBD, 7/31/28

     United States        1,607,692          1,612,371  

2021 1st Lien Term Loan B, 1 mo. USD Term SOFR + 4.00%, 9.329%, 7/31/28

     United States        908,813          911,457  

2023 Incremental Term Loan, 1 mo. USD Term SOFR + 4.25%, 4.25% - 9.579%, 7/31/28

     United States        896,825          899,179  
              

 

 

 
                 3,423,007  
              

 

 

 

Hotels Restaurants & Leisure 1.1%

              

Fertitta Entertainment LLC, 2022 Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.081%, 1/27/29

     United States        3,726,798          3,735,407  

Hilton Grand Vacations Borrower LLC,

              

2021 Term Loan B, 1 mo. USD Term SOFR + 2.50%, 7.844%, 8/02/28

     United States        1,333,588          1,335,135  

2024 Incremental Term Loan B, 1 mo. USD Term SOFR + 2.75%, 8.094%, 1/17/31

     United States        399,000          399,499  
              

 

 

 
                 5,470,041  
              

 

 

 

Household Products 0.0%

              

Energizer Holdings, Inc., 2024 Term Loan B, 1 mo. USD Term SOFR + 2.00%, 7.344%, 12/22/27

     United States        168,049          168,680  
              

 

 

 

Insurance 0.9%

              

Acrisure LLC,

              

2020 Term Loan B, 1 mo. USD LIBOR + 3.50%, 8.958%, 2/15/27

     United States        2,598,098          2,600,799  

2021 First Lien Term Loan B, 1 mo. USD LIBOR + 4.25%, 9.708%, 2/15/27

     United States        239,248          240,147  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Asurion LLC,

              

2022 Term Loan B10, 1 mo. USD Term SOFR + 4.00%, 9.444%, 8/19/28

     United States        294,750          291,894  

2023 Term Loan B11, 1 mo. USD Term SOFR + 4.25%, 9.694%, 8/19/28

     United States        1,161,974          1,154,839  
              

 

 

 
                 4,287,679  
              

 

 

 

Insurance Brokers 3.2%

              

Acrisure LLC,

              

d 2024 Term Loan B6, TBD, 11/06/30

     United States        1,481,846          1,481,854  

2023 Term Loan, 1 mo. USD Term SOFR + 4.50%, 8.594%, 11/06/30

     United States        288,824          290,990  

Alliant Holdings Intermediate LLC, 2023 Term Loan B6, 1 mo. USD Term SOFR + 3.50%, 8.83%, 11/06/30

     United States        849,484          852,534  

AssuredPartners, Inc., 2024 Incremental Term Loan B5, 1 mo. USD Term SOFR + 3.50%, 8.844%, 2/14/31

     United States        2,041,652          2,049,308  

d Broadstreet Partners, Inc., 2024 Term Loan B4, TBD, 6/14/31

     United States        3,777,674          3,772,008  

HUB International Ltd., 2024 Term Loan B, 3 mo. USD Term SOFR + 3.25%, 8.567% - 8.595%, 6/20/30

     United States        1,238,672          1,242,803  

Sedgwick Claims Management Services, Inc.,

              

d 2024 Term Loan B, TBD, 6/27/31

     United States        1,969,587          1,964,663  

2023 Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.094%, 2/24/28

     United States        1,949,856          1,954,457  

Truist Insurance Holdings LLC, 1st Lien Term Loan, 3 mo. USD Term SOFR + 3.25%, 8.585%, 5/06/31

     United States        2,339,604          2,347,535  
              

 

 

 
                 15,956,152  
              

 

 

 

Interactive Media & Services 1.4%

              

Arches Buyer, Inc., 2021 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.694%, 12/06/27

     United States        1,661,646          1,593,228  

Hunter Holdco 3 Ltd., USD Term Loan B, 3 mo. USD Term SOFR + 4.25%, 9.685%, 8/19/28

     United States        995,152          986,445  

MH Sub I LLC, 2023 Term Loan, 1 mo. USD Term SOFR + 4.25%, 9.594%, 5/03/28

     United States        4,378,525          4,379,422  
              

 

 

 
                 6,959,095  
              

 

 

 

Investment Banking & Brokerage 1.4%

              

Aretec Group, Inc., 2024 Term Loan B, 1 mo. USD Term SOFR + 4.00%, 9.344%, 8/09/30

     United States        1,895,485          1,905,162  

Citadel Securities LP, 2024 Term Loan B, 1 mo. USD Term SOFR + 2.25%, 7.594%, 7/29/30

     United States        2,465,055          2,474,915  

Jane Street Group LLC, 2024 Term Loan B, 1 mo. USD Term SOFR + 2.50%, 7.958%, 1/26/28

     United States        2,491,114          2,491,749  
              

 

 

 
                 6,871,826  
              

 

 

 

IT Services 0.8%

              

Deerfield Dakota Holding LLC, 2020 USD Term Loan B, 3 mo. USD Term SOFR + 3.75%, 9.085%, 4/09/27

     United States        1,138,599          1,139,441  

Dun & Bradstreet Corp., 2024 Term Loan B, 1 mo. USD Term SOFR + 2.75%, 8.096%, 1/18/29

     United States        1,742,886          1,746,154  

Nuvei Technologies Corp., USD Term Loan, 1 mo. USD Term SOFR + 3.00%, 8.444%, 12/19/30

     Canada        1,156,731          1,159,519  
              

 

 

 
                 4,045,114  
              

 

 

 

Leisure Equipment & Products 0.5%

              

Playtika Holding Corp., 2021 Term Loan, 1 mo. USD Term SOFR + 2.75%, 8.208%, 3/13/28

     United States        2,275,214          2,277,967  
              

 

 

 

Machinery 1.2%

              

d CD&R Hydra Buyer, Inc., 2024 Term Loan B, TBD, 3/25/31

     United States        1,200,000          1,203,750  

d CPM Holdings, Inc., 2023 Term Loan, TBD, 9/28/28

     United States        2,202,361          2,190,204  

TK Elevator U.S. Newco, Inc., USD Term Loan B, 3 mo. USD Term SOFR + 3.50%, 8.791%, 4/30/30

     United States        2,072,088          2,085,360  

Vertiv Group Corp., 2023 Term Loan B, 1 mo. USD Term SOFR + 2.50%, 7.944%, 3/02/27

     United States        491,647          493,626  
              

 

 

 
                 5,972,940  
              

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Media 3.3%

            

AMC Entertainment Holdings, Inc., 2019 Term Loan B, 1 mo. USD Term SOFR + 3.00%, 8.444%, 4/22/26

   United States        242,347          230,255  

Cengage Learning, Inc., 2024 Term Loan B, 6 mo. USD Term SOFR + 4.25%, 9.538%, 3/22/31

   United States        3,103,578          3,116,194  

Gray Television, Inc., 2021 Term Loan D, 1 mo. USD Term SOFR + 3.00%, 8.444%, 12/01/28

   United States        1,560,115          1,411,413  

iHeartCommunications, Inc., 2020 Term Loan, 1 mo. USD Term SOFR + 3.00%, 8.458%, 5/01/26

   United States        1,100,000          856,680  

McGraw-Hill Global Education Holdings LLC, 2021 Term Loan, 3 mo. USD Term SOFR + 4.75%, 9.985% - 10.346%, 7/28/28

   United States        1,961,982          1,967,838  

Nexstar Broadcasting, Inc., 2019 Term Loan B4, 1 mo. USD Term SOFR + 2.5%, 7.958%, 9/18/26

   United States        891,792          894,971  

Radiate Holdco LLC, 2021 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.708%, 9/25/26

   United States        2,622,306          2,131,175  

Univision Communications, Inc.,

            

2021 First Lien Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.708%, 3/15/26

   United States        777,674          778,988  

2024 Term Loan B, 3 mo. USD Term SOFR + 3.50%, 8.958%, 1/23/29

   United States        1,700,000          1,685,125  

Virgin Media Bristol LLC, 2020 USD Term Loan Q, 1 mo. USD Term SOFR + 3.25%, 8.693%, 1/31/29

   United States        2,470,000          2,365,877  

William Morris Endeavor Entertainment LLC, 2018 1st Lien Term Loan, 1 mo. USD Term SOFR + 2.75%, 8.208%, 5/18/25

   United States        567,206          568,825  
            

 

 

 
               16,007,341  
            

 

 

 

Metal, Glass & Plastic Containers 0.7%

            

d Berlin Packaging LLC, 2024 Term Loan B, TBD, 6/09/31

   United States        3,200,000           3,210,912  
            

 

 

 

Packaged Foods & Meats 0.8%

            

Fiesta Purchaser, Inc., 2024 Term Loan B, 1 mo. USD Term SOFR + 4.00%, 9.344%, 2/12/31

   United States        1,152,647          1,162,081  

Primary Products Finance LLC, 2024 Term Loan B, 1 mo. USD Term SOFR + 3.50%, 8.952%, 4/01/29

   United States        2,783,880          2,792,580  
            

 

 

 
               3,954,661  
            

 

 

 

Passenger Airlines 2.5%

            

Air Canada, 2024 Term Loan B, 3 mo. USD Term SOFR + 2.50%, 7.847%, 3/21/31

   Canada        1,106,988          1,109,927  

American Airlines, Inc.,

            

2023 1st Lien Term Loan, 3 mo. USD Term SOFR + 2.50%, 7.775%, 6/04/29

   United States        4,033,333          4,031,821  

2021 Term Loan, 3 mo. USD Term SOFR + 4.75%, 10.336%, 4/20/28

   United States        1,263,748          1,307,189  

Kestrel Bidco, Inc., Term Loan B, 1 mo. USD Term SOFR + 3.00%, 8.428%, 12/11/26

   Canada        217,152          218,058  

United Airlines, Inc., 2024 Term Loan B, 1 mo. USD Term SOFR + 2.75%, 8.094%, 2/22/31

   United States        1,860,908          1,867,886  

WestJet Loyalty LP, Term Loan B, 3 mo. USD Term SOFR + 3.75%, 9.048%, 2/14/31

   Canada        3,770,146          3,791,824  
            

 

 

 
               12,326,705  
            

 

 

 

Personal Care Products 0.4%

            

Conair Holdings LLC, Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.208%, 5/17/28

   United States        2,020,172          2,011,758  
            

 

 

 

Pharmaceuticals 1.4%

            

Endo Luxembourg Finance Co. I SARL, 2024 Term Loan B, 3 mo. USD Term SOFR + 4.50%, 9.826%, 4/23/31

   Luxembourg        1,223,399          1,223,405  

Grifols Worldwide Operations USA, Inc., 2019 USD Term Loan B, 1 mo. USD Term SOFR + 2.00%, 7.444%, 11/15/27

   United States        1,091,429          1,075,057  

d Jazz Financing Lux SARL, 2024 1st Lien Term Loan B, TBD, 5/05/28

   United States        500,000          500,938  

Organon & Co., 2024 USD Term Loan B, 1 mo. USD Term SOFR + 2.50%, 7.829%, 5/19/31

   United States        944,974          946,746  

Parexel International Corp., 2021 1st Lien Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.708%, 11/15/28

   United States        1,557,694          1,562,803  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Perrigo Investments LLC, Term Loan B, 1 mo. USD Term SOFR + 2.25%, 7.694%, 4/20/29

   United States        1,497,468          1,496,532  
            

 

 

 
               6,805,481  
            

 

 

 

Real Estate Management & Development 1.0%

            

CoreLogic, Inc., Term Loan, 1 mo. USD Term SOFR + 3.50%, 8.958%, 6/02/28

   United States        2,294,102          2,263,786  

Cushman & Wakefield U.S. Borrower LLC,

            

2020 Term Loan B, 1 mo. USD Term SOFR + 2.75%, 8.208%, 8/21/25

   United States        77,907          78,078  

2023 Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.344%, 1/31/30

   United States        797,750          798,747  

2024 Term Loan, 1 mo. USD Term SOFR + 3.75%, 9.094%, 1/31/30

   United States        1,855,239          1,869,153  
            

 

 

 
               5,009,764  
            

 

 

 

Research & Consulting Services 0.7%

            

KUEHG Corp., 2024 Term Loan B, 3 mo. USD Term SOFR + 4.50%, 9.835%, 6/12/30

   United States        3,215,917          3,232,205  
            

 

 

 

Retail REITs 1.1%

            

Great Outdoors Group LLC, 2021 Term Loan B1, 1 mo. USD Term SOFR + 3.75%, 9.208%, 3/06/28

   United States        2,639,278          2,640,387  

Petco Health & Wellness Co., Inc., 2021 Term Loan B, 3 mo. USD Term SOFR + 3.25%, 8.846%, 3/03/28

   United States        3,058,289          2,827,846  
            

 

 

 
               5,468,233  
            

 

 

 

Security & Alarm Services 0.6%

            

Prime Security Services Borrower LLC, 2024 Term Loan B, 3 mo. USD Term SOFR + 2.25%, 7.579%, 10/13/30

   United States        3,117,288          3,119,470  
            

 

 

 

Semiconductor Materials & Equipment 0.5%

            

MKS Instruments, Inc.,

            

d 2024 USD Term Loan B, TBD, 8/17/29

   United States        489,796          489,796  

2023 USD Term Loan B, 1 mo. USD Term SOFR + 2.50%, 7.828%, 8/17/29

   United States        1,989,559          1,994,116  
            

 

 

 
                2,483,912  
            

 

 

 

Soft Drinks & Non-alcoholic Beverages 0.1%

            

Naked Juice LLC, Term Loan, 1 mo. USD Term SOFR + 3.25%, 8.685% - 8.694%, 1/24/29

   United States        548,403          509,757  
            

 

 

 

Software 9.8%

            

AppLovin Corp., 2024 Term Loan (2030), 1 mo. USD Term SOFR + 2.50%, 7.844%, 8/16/30

   United States        897,750          899,756  

Athenahealth Group, Inc., 2022 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.594%, 2/15/29

   United States        5,835,243          5,823,397  

Central Parent, Inc., 2024 Term Loan B, 3 mo. USD Term SOFR + 3.25%, 8.585%, 7/06/29

   United States        3,853,456          3,808,910  

Cloudera, Inc., 2021 Term Loan, 1 mo. USD Term SOFR + 3.75%, 9.194%, 10/08/28

   United States        904,922          906,618  

ConnectWise LLC, 2021 Term Loan B, 3 mo. USD Term SOFR + 3.50%, 9.096%, 9/29/28

   United States        694,656          690,836  

Cornerstone OnDemand, Inc., 2021 Term Loan, 1 mo. USD Term SOFR + 3.75%, 9.208%, 10/16/28

   United States        2,226,273          2,107,535  

DCert Buyer, Inc.,

            

2019 Term Loan B, 1 mo. USD Term SOFR + 4.00%, 9.344%, 10/16/26

   United States        3,023,901          2,953,974  

2021 2nd Lien Term Loan, 1 mo. USD Term SOFR + 7.00%, 12.344%, 2/19/29

   United States        1,000,000          897,500  

Genesys Cloud Services Holdings II LLC,

            

First Lien Term Loan B, 1 mo. USD Term SOFR + 3.50%, 8.844%, 12/01/27

   United States        3,492,523          3,513,111  

Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.208%, 12/01/27

   United States        920,769          928,154  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Idera, Inc.,

              

d 2024 Term Loan, TBD, 3/02/28

       United States          1,130,435          1,124,076  

2021 Term Loan, 3 mo. USD Term SOFR + 3.75%, 9.227%, 3/02/28

       United States          3,262,173          3,243,823  

Ivanti Software, Inc.,

              

2021 Add On Term Loan B, 3 mo. USD Term SOFR + 4.00%, 9.555%, 12/01/27

       United States          136,822          108,260  

2021 Term Loan B, 3 mo. USD Term SOFR + 4.25%, 9.814%, 12/01/27

       United States          1,662,328          1,326,363  

Polaris Newco LLC, USD Term Loan B, 3 mo. USD Term SOFR + 4.00%, 9.591%, 6/02/28

       United States          2,252,137          2,253,927  

Project Alpha Intermediate Holding, Inc., 2024 Term Loan B, 3 mo. USD Term SOFR + 3.75%, 9.072%, 10/28/30

       United States          2,848,042          2,860,303  

Project Boost Purchaser LLC, 2021 Incremental Term Loan, 1 mo. USD Term SOFR + 3.50%, 8.958%, 5/30/26

       United States          2,186,950          2,191,444  

Quest Software U.S. Holdings, Inc., 2022 Term Loan, 3 mo. USD Term SOFR + 4.25%, 9.73%, 2/01/29

       United States          589,500          439,343  

Red Planet Borrower LLC, Term Loan B, 1 mo. USD Term SOFR + 3.50%, 8.944%, 10/02/28

       United States          997,436          968,311  

Rocket Software, Inc., 2023 USD Term Loan B, 1 mo. USD Term SOFR + 4.75%, 10.094%, 11/28/28

       United States          1,902,434          1,912,717  

Roper Industrial Products Investment Co. LLC, 2023 USD Term Loan, 3 mo. USD Term SOFR + 4.00%, 8.579%, 11/22/29

       United States          1,331,538          1,338,476  

Sovos Compliance LLC, 2021 Term Loan, 1 mo. USD Term SOFR + 4.50%, 9.958%, 8/11/28

       United States          4,000,311          3,974,809  

UKG, Inc., 2024 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.576%, 2/10/31

       United States          1,433,135          1,440,179  

VS Buyer LLC, 2024 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.581%, 4/14/31

       United States          365,297          366,667  

Waystar Technologies, Inc., 2024 Term Loan B, 1 mo. USD Term SOFR + 2.75%, 8.096%, 10/22/29

       United States          2,318,395          2,324,191  
              

 

 

 
                 48,402,680  
              

 

 

 

Specialty Chemicals 0.1%

              

Ineos U.S. Finance LLC, 2022 USD Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.179%, 11/08/27

       United States          475,200          476,557  
              

 

 

 

Specialty Retail 2.7%

              

d Harbor Freight Tools USA, Inc., 2024 Term Loan B, TBD, 6/05/31

       United States          2,568,867          2,564,641  

IRB Holding Corp., 2024 Term Loan B, 1 mo. USD Term SOFR + 2.75%, 8.194%, 12/15/27

       United States          1,889,901          1,891,318  

Michaels Cos., Inc., 2021 Term Loan B, 3 mo. USD Term SOFR + 4.25%, 9.846%, 4/15/28

       United States          1,957,334          1,764,273  

d Peer Holding III BV, 2024 USD Term Loan B5, TBD, 6/20/31

       Netherlands          1,451,751          1,455,082  

PetSmart, Inc., 2021 Term Loan B, 1 mo. USD Term SOFR + 3.75%, 9.194%, 2/11/28

       United States          1,302,927          1,300,752  

Whatabrands LLC, 2024 Term Loan B, 1 mo. USD Term SOFR + 2.75%, 8.094%, 8/03/28

       United States          3,244,743          3,249,221  

d White Cap Buyer LLC, 2024 Term Loan B, TBD, 10/19/29

       United States          974,026          976,797  
              

 

 

 
                 13,202,084  
              

 

 

 

Systems Software 0.3%

              

Barracuda Networks, Inc., 2022 Term Loan, 3 mo. USD Term SOFR + 4.50%, 9.814%, 8/15/29

       United States          1,384,203          1,383,601  
              

 

 

 

Wireless Telecommunication Services 0.7%

              

CCI Buyer, Inc., Term Loan, 3 mo. USD Term SOFR + 4.00%, 9.335%, 12/17/27

       United States          3,251,228          3,258,592  
              

 

 

 

Total Floating Rate Loans (Cost $430,265,985)

                 428,173,157  
              

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Asset-Backed Securities 0.4%

              

a,eBlueMountain CLO Ltd., Series 2018-3A, Class C, 3 mo. USD Term SOFR + 2.46%, 7.785%, 10/25/30

     United States        1,000,000          995,878  

a,eLCM XVIII LP, Series 2018-A, Class CR, 3 mo. USD Term SOFR + 2.11%, 7.436%, 4/20/31

     United States        1,000,000          998,859  
              

 

 

 

Total Asset-Backed Securities (Cost $1,996,875)

                 1,994,737  
              

 

 

 
              
              Shares           

Common Stocks 0.1%

              

Health Care Providers & Services 0.1%

              

fEndo, Inc.

     United States        4,273          120,178  

fEndo, Inc.

     United States        9,912          280,014  
              

 

 

 
                 400,192  
              

 

 

 

Total Common Stocks (Cost $238,946)

                 400,192  
              

 

 

 

Total Investments before Short-Term Investments (Cost $456,038,522)

                 453,750,954  
              

 

 

 
              
              Principal Amount*           

Short-Term Investments 19.2%

              

U.S. Government & Agency Securities 19.2%

              

gFederal Home Loan Bank Discount Notes, 07/1/24

     United States        94,785,000          94,743,650  
              

 

 

 

Total Short-Term Investments (Cost $94,785,000)

                 94,743,650  
              

 

 

 

Total Investments (Cost $550,823,522) 111.3%

                 548,494,604  

Other Assets, less Liabilities (11.3)%

                 (55,564,098
              

 

 

 

Net Assets 100.0%

               $ 492,930,506  
              

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

†Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $25,031,922, representing 5.1% of net assets.

bFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

cThe coupon rate shown represents the rate at period end.

dA portion or all of the security represents an unsettled loan commitment. The coupon rate is to-be determined (TBD) at the time of settlement and will be based upon a reference index/floor plus a spread.

eThe coupon rate shown represents the rate inclusive of any caps or floors, if applicable, in effect at period end.

fNon-income producing.

gThe security was issued on a discount basis with no stated coupon rate.

Abbreviations

Selected Portfolio

 

CLO   – Collateralized Loan Obligation
LIBOR   – London Interbank Offered Rate
PIK   – Payment-In-Kind
REIT   – Real Estate Investment Trust
SOFR   – Secured Overnight Financing Rate
TBD   – To Be Determined


FRANKLIN TEMPLETON ETF TRUST

Consolidated Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin Systematic Style Premia ETF    Country        Shares      Value  

Common Stocks 67.8%

          

Aerospace & Defense 0.5%

          

Huntington Ingalls Industries, Inc.

     United States          561      $ 138,191  

Textron, Inc.

     United States          2,689        230,878  

TransDigm Group, Inc.

     United States          453        578,757  
          

 

 

 
             947,826  
          

 

 

 

Air Freight & Logistics 0.9%

          

Deutsche Post AG

     Germany          9,845        398,737  

Expeditors International of Washington, Inc.

     United States          2,049        255,695  

FedEx Corp.

     United States          3,278        982,875  
          

 

 

 
             1,637,307  
          

 

 

 

Automobiles 0.7%

          

General Motors Co.

     United States          16,033        744,893  

Stellantis NV

     United States          17,435        345,130  

Subaru Corp.

     Japan          8,200        173,828  
          

 

 

 
             1,263,851  
          

 

 

 

Banks 1.5%

          

a ABN AMRO Bank NV, GDR

     Netherlands          8,199        134,885  

Banco Santander SA

     Spain          50,129        232,660  

Barclays PLC

     United Kingdom          210,515        555,908  

DBS Group Holdings Ltd., Class A

     Singapore          9,200        242,957  

First Citizens BancShares, Inc., Class A

     United States          167        281,163  

ING Groep NV

     Netherlands          31,631        541,120  

UniCredit SpA

     Italy          21,755        806,848  
          

 

 

 
             2,795,541  
          

 

 

 

Beverages 0.4%

          

Asahi Group Holdings Ltd.

     Japan          6,700        236,370  

Kirin Holdings Co. Ltd.

     Japan          11,000        141,757  

Molson Coors Beverage Co., Class B

     United States          2,883        146,543  

b Monster Beverage Corp.

     United States          5,338        266,633  
          

 

 

 
             791,303  
          

 

 

 

Biotechnology 3.7%

          

AbbVie, Inc.

     United States          10,666        1,829,432  

Gilead Sciences, Inc.

     United States          17,570        1,205,478  

b Incyte Corp.

     United States          2,627        159,249  

b Neurocrine Biosciences, Inc.

     United States          1,338        184,202  

b Regeneron Pharmaceuticals, Inc.

     United States          1,560        1,639,607  

b United Therapeutics Corp.

     United States          709        225,852  

b Vertex Pharmaceuticals, Inc.

     United States          3,919        1,836,914  
          

 

 

 
               7,080,734  
          

 

 

 

Broadline Retail 0.6%

          

eBay, Inc.

     United States          7,130        383,024  

b MercadoLibre, Inc.

     Brazil          321        527,531  

Next PLC

     United Kingdom          1,676        191,439  
          

 

 

 
             1,101,994  
          

 

 

 

Building Products 0.9%

          

b Builders FirstSource, Inc.

     United States          1,822        252,183  

Carlisle Cos., Inc.

     United States          691        280,000  

Cie de Saint-Gobain SA

     France          6,462        502,941  

Lennox International, Inc.

     United States          464        248,231  

Masco Corp.

     United States          3,214        214,277  

Owens Corning

     United States          1,236        214,718  
          

 

 

 
             1,712,350  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Capital Markets 2.0%

          

3i Group PLC

     United Kingdom          13,644        528,804  

Ameriprise Financial, Inc.

     United States          1,414        604,047  

Bank of New York Mellon Corp.

     United States          10,612        635,553  

Cboe Global Markets, Inc.

     United States          1,471        250,158  

Deutsche Bank AG

     Germany          13,860        221,450  

KKR & Co., Inc.

     United States          4,266        448,954  

Partners Group Holding AG

     Switzerland          317        407,098  

SEI Investments Co.

     United States          1,534        99,234  

State Street Corp.

     United States          4,233        313,242  

T Rowe Price Group, Inc.

     United States          3,096        357,000  
          

 

 

 
             3,865,540  
          

 

 

 

Chemicals 1.3%

          

Asahi Kasei Corp.

     Japan          17,100        109,546  

CF Industries Holdings, Inc.

     United States          2,627        194,713  

Linde PLC

     United States          1,000        438,810  

LyondellBasell Industries NV, Class A

     United States          3,560        340,549  

Mitsubishi Chemical Group Corp.

     Japan          18,900        104,933  

Mosaic Co.

     United States          5,603        161,927  

Nitto Denko Corp.

     Japan          2,000        158,026  

Shin-Etsu Chemical Co. Ltd.

     Japan          26,000        1,008,256  
          

 

 

 
             2,516,760  
          

 

 

 

Commercial Services & Supplies 0.3%

          

Cintas Corp.

     United States          832        582,616  
          

 

 

 

Communications Equipment 0.2%

          

b F5, Inc.

     United States          830        142,951  

Nokia OYJ

     Finland          47,343        180,558  
          

 

 

 
             323,509  
          

 

 

 

Computers & Peripherals 0.2%

          

NetApp, Inc.

     United States          3,474        447,451  
          

 

 

 

Construction & Engineering 0.1%

          

Eiffage SA

     France          1,281        117,741  
          

 

 

 

Construction Materials 0.2%

          

CRH PLC

     Ireland          2,593        193,260  

Heidelberg Materials AG

     Germany          1,829        189,789  
          

 

 

 
             383,049  
          

 

 

 

Consumer Staples Distribution & Retail 2.3%

          

Albertsons Cos., Inc., Class A

     United States          5,842        115,380  

Alimentation Couche-Tard, Inc.

     Canada          11,600        650,807  

Carrefour SA

     France          8,756        123,872  

Kroger Co.

     United States          9,616        480,127  

Loblaw Cos. Ltd.

     Canada          1,500        173,969  

Sysco Corp.

     United States          7,020        501,158  

Target Corp.

     United States          1,981        293,267  

Walmart, Inc.

     United States          30,320        2,052,967  
          

 

 

 
               4,391,547  
          

 

 

 

Containers & Packaging 0.1%

          

Packaging Corp. of America

     United States          1,231        224,731  
          

 

 

 

Diversified Telecommunication Services 2.3%

          

AT&T, Inc.

     United States          104,748        2,001,734  

Deutsche Telekom AG

     Germany          4,811        121,068  

Verizon Communications, Inc.

     United States          53,054        2,187,947  
          

 

 

 
             4,310,749  
          

 

 

 

Electric Utilities 1.2%

          

Chubu Electric Power Co., Inc.

     Japan          9,500        112,268  

CLP Holdings Ltd.

     Hong Kong          24,000        193,970  

Enel SpA

     Italy          113,226        788,047  

FirstEnergy Corp.

     United States          4,765        182,357  


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Kansai Electric Power Co., Inc.

     Japan          10,100        169,652  

NRG Energy, Inc.

     United States          3,080        239,809  

Power Assets Holdings Ltd.

     Hong Kong          26,500        143,406  

SSE PLC

     United Kingdom          10,753        243,244  

b Tokyo Electric Power Co. Holdings, Inc.

     Japan          21,900        117,927  
          

 

 

 
             2,190,680  
          

 

 

 

Electrical Equipment 0.2%

          

Mitsubishi Electric Corp.

     Japan          27,300        435,738  
          

 

 

 

Electronic Equipment, Instruments & Components 0.8%

          

Amphenol Corp., Class A

     United States          8,485        571,634  

Jabil, Inc.

     United States          1,859        202,241  

TDK Corp.

     Japan          2,100        128,786  

TE Connectivity Ltd.

     United States          4,358        655,574  
          

 

 

 
             1,558,235  
          

 

 

 

Entertainment 0.4%

          

Electronic Arts, Inc.

     United States          3,528        491,556  

b Live Nation Entertainment, Inc.

     United States          2,258        211,665  
          

 

 

 
             703,221  
          

 

 

 

Financial Services 4.2%

          

b Berkshire Hathaway, Inc., Class B

     United States          4,367        1,776,495  

Corebridge Financial, Inc.

     United States          3,550        103,376  

b Corpay, Inc.

     United States          1,005        267,742  

Equitable Holdings, Inc.

     United States          4,671        190,857  

EXOR NV

     Netherlands          1,632        170,887  

Mastercard, Inc., Class A

     United States          5,382        2,374,323  

ORIX Corp.

     Japan          16,800        370,966  

b PayPal Holdings, Inc.

     United States          14,791        858,322  

Visa, Inc., Class A

     United States          6,881        1,806,056  
          

 

 

 
               7,919,024  
          

 

 

 

Food Products 0.2%

          

Bunge Global SA

     United States          1,997        213,220  

Kellanova

     United States          4,674        269,596  
          

 

 

 
             482,816  
          

 

 

 

Gas Utilities 0.2%

          

Hong Kong & China Gas Co. Ltd.

     Hong Kong          156,000        118,687  

Osaka Gas Co. Ltd.

     Japan          5,200        114,532  

Tokyo Gas Co. Ltd.

     Japan          5,400        115,983  
          

 

 

 
             349,202  
          

 

 

 

Ground Transportation 1.5%

          

CSX Corp.

     United States          27,471        918,905  

b Uber Technologies, Inc.

     United States          25,384        1,844,909  
          

 

 

 
             2,763,814  
          

 

 

 

Health Care Equipment & Supplies 0.7%

          

b Hologic, Inc.

     United States          2,516        186,813  

Hoya Corp.

     Japan          4,900        569,778  

b IDEXX Laboratories, Inc.

     United States          1,189        579,281  
          

 

 

 
             1,335,872  
          

 

 

 

Health Care Providers & Services 2.1%

          

Cardinal Health, Inc.

     United States          3,383        332,617  

b Centene Corp.

     United States          7,606        504,278  

Cigna Group

     United States          2,612        863,449  

Elevance Health, Inc.

     United States          3,532        1,913,849  

McKesson Corp.

     United States          160        93,446  

b Molina Healthcare, Inc.

     United States          854        253,894  
          

 

 

 
             3,961,533  
          

 

 

 

Health Care Technology 0.2%

          

b Veeva Systems, Inc., Class A

     United States          2,156        394,570  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST 

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Hotels, Restaurants & Leisure 1.7%

          

b Airbnb, Inc., Class A

   United States        1,135        172,100  

Booking Holdings, Inc.

   United States        497        1,968,865  

Domino’s Pizza, Inc.

   United States        490        253,002  

b Expedia Group, Inc.

   United States        1,812        228,294  

b Royal Caribbean Cruises Ltd.

   United States        3,303        526,597  
          

 

 

 
             3,148,858  
          

 

 

 

Household Durables 0.2%

          

PulteGroup, Inc.

   United States        3,086        339,769  
          

 

 

 

Household Products 0.9%

          

Colgate-Palmolive Co.

   United States        7,073        686,364  

Kimberly-Clark Corp.

   United States        4,799        663,222  

Procter & Gamble Co.

   United States        2,020        333,138  
          

 

 

 
             1,682,724  
          

 

 

 

Independent Power Producers & Energy Traders 0.2%

          

Vistra Corp.

   United States        4,610        396,368  
          

 

 

 

Industrial Conglomerates 0.1%

          

CK Hutchison Holdings Ltd., Class A

   United Kingdom        37,000        177,242  

DCC PLC

   Ireland        974        68,210  
          

 

 

 
             245,452  
          

 

 

 

Insurance 2.9%

          

Aegon Ltd.

   Netherlands        19,699        121,776  

Aflac, Inc.

   United States        7,660        684,115  

Ageas SA

   Belgium        2,968        135,763  

AIA Group Ltd.

   Hong Kong        156,200        1,060,353  

American International Group, Inc.

   United States        9,698        719,980  

Assurant, Inc.

   United States        788        131,005  

Great-West Lifeco, Inc.

   Canada        5,100        148,749  

Hartford Financial Services Group, Inc.

   United States        2,110        212,139  

Loews Corp.

   United States        2,615        195,445  

Manulife Financial Corp.

   Canada        25,400        676,232  

MetLife, Inc.

   United States        8,781        616,338  

NN Group NV

   Netherlands        3,648        169,879  

Sompo Holdings, Inc.

   Japan        12,500        266,925  

Sun Life Financial, Inc.

   Canada        8,200        401,985  
          

 

 

 
             5,540,684  
          

 

 

 

Interactive Media & Services 1.0%

          

Alphabet, Inc., Class C

   United States        1,917        351,616  

b Match Group, Inc.

   United States        3,793        115,231  

Meta Platforms, Inc., Class A

   United States        2,711        1,366,941  
          

 

 

 
               1,833,788  
          

 

 

 

IT Services 1.3%

          

Accenture PLC, Class A

   United States        3,878        1,176,624  

b CGI, Inc., Class A

   Canada        2,800        279,417  

Cognizant Technology Solutions Corp., Class A

   United States        7,038        478,584  

b GoDaddy, Inc., Class A

   United States        1,833        256,089  

NEC Corp.

   Japan        3,600        296,419  
          

 

 

 
             2,487,133  
          

 

 

 

Life Sciences Tools & Services 0.9%

          

Agilent Technologies, Inc.

   United States        4,142        536,927  

b Avantor, Inc.

   United States        9,561        202,693  

b Charles River Laboratories International, Inc.

   United States        777        160,513  

b IQVIA Holdings, Inc.

   United States        2,546        538,326  

West Pharmaceutical Services, Inc.

   United States        584        192,364  
          

 

 

 
             1,630,823  
          

 

 

 

Machinery 1.3%

          

Ingersoll Rand, Inc.

   United States        5,698        517,606  

Komatsu Ltd.

   Japan        13,600        394,912  


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

PACCAR, Inc.

   United States        4,423        455,304  

Parker-Hannifin Corp.

   United States        1,162        587,751  

Snap-on, Inc.

   United States        742        193,952  

Techtronic Industries Co. Ltd.

   Hong Kong        18,500        211,364  

Trelleborg AB, Class B

   Sweden        3,097        120,602  
          

 

 

 
             2,481,491  
          

 

 

 

Media 0.7%

          

Comcast Corp., Class A

   United States        32,408        1,269,097  

Fox Corp., Class A

   United States        4,201        144,389  
          

 

 

 
             1,413,486  
          

 

 

 

Metals & Mining 1.1%

          

ArcelorMittal SA

   Luxembourg        7,120        163,071  

b Cleveland-Cliffs, Inc.

   United States        7,178        110,469  

Fortescue Ltd.

   Australia        24,622        352,062  

JFE Holdings, Inc.

   Japan        8,600        123,793  

Nippon Steel Corp.

   Japan        12,100        255,826  

Nucor Corp.

   United States        3,458        546,641  

Reliance, Inc.

   United States        812        231,907  

Steel Dynamics, Inc.

   United States        2,185        282,957  
          

 

 

 
             2,066,726  
          

 

 

 

Multi-Utilities 0.5%

          

Centrica PLC

   United Kingdom        77,960        132,943  

E.ON SE

   Germany        31,486        413,547  

Engie SA

   France        30,838        440,730  
          

 

 

 
             987,220  
          

 

 

 

Oil, Gas & Consumable Fuels 3.5%

          

BP PLC

   United Kingdom        216,092        1,298,065  

Cheniere Energy, Inc.

   United States        3,367        588,652  

ENEOS Holdings, Inc.

   Japan        40,700        209,142  

EOG Resources, Inc.

   United States        8,332        1,048,749  

HF Sinclair Corp.

   United States        2,800        149,352  

Inpex Corp.

   Japan        14,300        210,420  

Marathon Oil Corp.

   United States        8,087        231,854  

Marathon Petroleum Corp.

   United States        5,376        932,628  

Phillips 66

   United States        6,170        871,019  

Repsol SA

   Spain        17,190        271,469  

Valero Energy Corp.

   United States        4,700        736,772  
          

 

 

 
               6,548,122  
          

 

 

 

Paper & Forest Products 0.0%

          

Mondi PLC

   Austria        4,332        83,154  
          

 

 

 

Personal Care Products 0.8%

          

Beiersdorf AG

   Germany        871        127,469  

Kao Corp.

   Japan        6,600        267,676  

L’Oreal SA

   France        2,159        948,818  

Shiseido Co. Ltd.

   Japan        5,700        162,574  
          

 

 

 
             1,506,537  
          

 

 

 

Pharmaceuticals 1.2%

          

Novartis AG

   Switzerland        16,242        1,738,252  

Otsuka Holdings Co. Ltd.

   Japan        3,600        151,510  

Royalty Pharma PLC, Class A

   United States        6,349        167,423  

Viatris, Inc.

   United States        17,233        183,187  
          

 

 

 
             2,240,372  
          

 

 

 

Professional Services 1.0%

          

Broadridge Financial Solutions, Inc.

   United States        1,661        327,217  

Leidos Holdings, Inc.

   United States        1,857        270,899  

Recruit Holdings Co. Ltd.

   Japan        19,800        1,059,422  

SS&C Technologies Holdings, Inc.

   United States        3,097        194,089  
          

 

 

 
             1,851,627  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Real Estate Management & Development 0.3%

          

CK Asset Holdings Ltd.

     Hong Kong          30,000        112,394  

Daiwa House Industry Co. Ltd.

     Japan          8,400        212,898  

Sun Hung Kai Properties Ltd.

     Hong Kong          21,000        181,693  
          

 

 

 
             506,985  
          

 

 

 

Residential REITs 0.2%

          

AvalonBay Communities, Inc.

     United States          1,984        410,470  
          

 

 

 

Retail REITs 0.4%

          

Link REIT

     Hong Kong          35,700        138,778  

Simon Property Group, Inc.

     United States          4,547        690,235  
          

 

 

 
             829,013  
          

 

 

 

Semiconductors & Semiconductor Equipment 3.8%

          

Applied Materials, Inc.

     United States          5,853        1,381,249  

NVIDIA Corp.

     United States          14,928        1,844,205  

NXP Semiconductors NV

     Netherlands          3,634        977,873  

QUALCOMM, Inc.

     United States          10,606        2,112,503  

Renesas Electronics Corp.

     Japan          23,000        430,231  

SCREEN Holdings Co. Ltd.

     Japan          1,200        108,169  

STMicroelectronics NV

     Switzerland          9,725        384,236  
          

 

 

 
             7,238,466  
          

 

 

 

Software 9.1%

          

b Adobe, Inc.

     United States          2,865        1,591,622  

b ANSYS, Inc.

     United States          1,202        386,443  

b AppLovin Corp., Class A

     United States          2,846        236,844  

b Autodesk, Inc.

     United States          2,932        725,523  

b Cadence Design Systems, Inc.

     United States          3,727        1,146,984  

b Check Point Software Technologies Ltd.

     Israel          665        109,725  

Constellation Software, Inc.

     Canada          100        288,076  

b DocuSign, Inc.

     United States          2,628        140,598  

b Dynatrace, Inc.

     United States          3,873        173,278  

b Fair Isaac Corp.

     United States          87        129,514  

Intuit, Inc.

     United States          3,435        2,257,516  

b Manhattan Associates, Inc.

     United States          893        220,285  

Microsoft Corp.

     United States          4,796        2,143,572  

Oracle Corp.

     United States          11,768        1,661,642  

b PTC, Inc.

     United States          1,664        302,299  

Sage Group PLC

     United Kingdom          10,241        140,913  

Salesforce, Inc.

     United States          8,192        2,106,163  

b ServiceNow, Inc.

     United States          2,884        2,268,756  

b Synopsys, Inc.

     United States          1,208        718,833  

b Tyler Technologies, Inc.

     United States          578        290,607  

b Zoom Video Communications, Inc., Class A

     United States          3,289        194,676  
          

 

 

 
               17,233,869  
          

 

 

 

Specialized REITs 0.3%

          

Gaming & Leisure Properties, Inc.

     United States          3,665        165,695  

VICI Properties, Inc.

     United States          14,121        404,425  
          

 

 

 
             570,120  
          

 

 

 

Specialty Retail 1.7%

          

Best Buy Co., Inc.

     United States          2,814        237,192  

Home Depot, Inc.

     United States          2,475        851,994  

TJX Cos., Inc.

     United States          16,941        1,865,204  

Williams-Sonoma, Inc.

     United States          817        230,696  
          

 

 

 
             3,185,086  
          

 

 

 

Textiles, Apparel & Luxury Goods 0.4%

          

b Deckers Outdoor Corp.

     United States          121        117,122  

b Lululemon Athletica, Inc.

     United States          1,603        478,816  

Pandora AS

     Denmark          1,197        180,801  
          

 

 

 
             776,739  
          

 

 

 

 


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Trading Companies & Distributors 1.8%

          

ITOCHU Corp.

   Japan        14,500        707,964  

Marubeni Corp.

   Japan        20,900        386,597  

Mitsubishi Corp.

   Japan        50,100        980,448  

Mitsui & Co. Ltd.

   Japan        37,200        844,319  

Sumitomo Corp.

   Japan        15,000        374,580  

Toyota Tsusho Corp.

   Japan        6,600        128,504  
          

 

 

 
             3,422,412  
          

 

 

 

Transportation Infrastructure 0.1%

          

a Aena SME SA

   Spain        1,027        206,929  
          

 

 

 

Water Utilities 0.2%

          

American Water Works Co., Inc.

   United States        2,677        345,761  
          

 

 

 

Wireless Telecommunication Services 0.3%

          

KDDI Corp.

   Japan        10,100        267,098  

Vodafone Group PLC

   United Kingdom        316,849        279,409  
          

 

 

 
             546,507  
          

 

 

 

Total Common Stocks (Cost $112,584,426)

             128,345,995  
          

 

 

 

Warrant 0.0%

          

Software 0.0%

          

b,c Constellation Software, Inc.

   Canada        100         
          

 

 

 

Total Investments before Short-Term Investments
(Cost $112,584,426)

             128,345,995  
          

 

 

 

Short-Term Investments 24.8%

          

Money Market Funds 24.8%

          

d State Street Institutional U.S. Government Money Market Fund, 5.26%

   United States        47,049,012        47,049,012  
          

 

 

 

Total Short-Term Investments (Cost $47,049,012)

             47,049,012  
          

 

 

 

Total Investments (Cost $159,633,438) 92.6%

             175,395,007  

Other Assets, less Liabilities 7.4%

             13,936,179  
          

 

 

 

Net Assets 100.0%

           $ 189,331,186  
          

 

 

 

Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $341,814, representing 0.2% of net assets.

bNon-income producing.

cFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

dRate shown is one-day yield as of the end of the reporting period.

At June 30, 2024, the Fund had the following total return swap contracts outstanding.

Total Return Swaps Contracts

 

Underlying Instrument    Financing Rate      Payment
Frequency
     Counterparty      Maturity
Date
     Notional
Value
(000)s
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

OTC Swap Contracts

Equity Contracts - Short

                 

MSFTLSSP

     1-month USD LIBOR        At Maturity        MSCS        July 11, 2024        95,327        180,277  


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following forward exchange contracts outstanding. 

Forward Exchange Contracts 

 

Currency    Counterpartya      Type      Quantity      Contract
Amount
     Settlement
Date
     Unrealized
Appreciation
     Unrealized
Depreciation
 

 

 

OTC Forward Exchange Contracts

                    

Australian Dollar

     MSCO        Buy        982,486        $  655,445        9/18/24        $  2,006        $      —  

Brazilian Real

     MSCO        Sell        3,837,843        701,873        9/18/24        16,755         

Canadian Dollar

     MSCO        Sell        4,011,692        2,925,385        9/18/24               (11,711

Czech Koruna

     MSCO        Buy        43,073,058        1,892,178        9/18/24               (45,859

Euro

     MSCO        Buy        709,449        770,474        9/18/24               (7,290

Great British Pound

     MSCO        Buy        3,995,622        5,112,985        9/18/24               (59,256

Hungarian Forint

     MSCO        Buy        1,534,485,620        4,183,175        9/18/24               (30,057

Israeli Shekel

     MSCO        Sell        13,747,899        3,727,763        9/18/24        65,865         

Japanese Yen

     MSCO        Sell        378,814,532        2,442,669        9/18/24        59,820         

Mexican Peso

     MSCO        Sell        73,493,577        3,859,729        9/18/24               (111,521

New Zealand Dollar

     MSCO        Buy        3,740,065        2,308,828        9/18/24               (29,873

Norwegian Krone

     MSCO        Buy        18,261,675        1,725,558        9/18/24               (7,150

Polish Zloty

     MSCO        Buy        19,867,516        4,950,130        9/18/24               (12,574

South African Rand

     MSCO        Buy        23,349,627        1,260,635        9/18/24        10,653         

South Korean Won

     MSCO        Sell        7,573,224,012        5,540,146        9/13/24        15,763         

Swedish Krona

     MSCO        Buy        39,568,615        3,828,823        9/18/24               (77,644

Swiss Franc

     MSCO        Buy        666,576        752,503        9/18/24               (3,758
                 

 

 

 

Total Forward Exchange Contracts

                      $170,862        $(396,693
                 

 

 

 

Net unrealized appreciation (depreciation)

 

                 $(225,831
                 

 

 

 

aMay be comprised of multiple contracts with the same counterparty, currency and settlement date. 

At June 30, 2024, the Fund had the following futures contracts outstanding. 

Futures Contracts 

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Commodity Contracts

                 

Brent Crude, July

     Long        35        $ 2,975,000        7/31/24                   $    91,239  

Cocoa, September

     Long        47        3,633,570        9/13/24           (1,100,110

Coffee ‘C’, September

     Long        41        3,487,050        9/18/24           (14,840

Copper, September

     Long        16        1,756,600        9/26/24           (57,840

Gasoline Rbob, July

     Long        18        1,891,134        7/31/24           76,263  

Live Cattle, August

     Long        22        1,631,740        8/30/24           85,325  

Low Sulphur Gasoil, August

     Long        13        1,019,200        8/12/24           30,902  

NY Harbor ULSD, July

     Long        9        957,512        7/31/24           19,643  

Silver, September

     Long        19        2,808,200        9/26/24           (15,447

Soybean Meal, December

     Long        8        268,400        12/13/24           (15,304

WTI Crude, July

     Long        37        3,016,980        7/22/24           118,622  

Corn, September

     Short        70        1,426,250        9/13/24           178,880  

Cotton No. 2, December

     Short        102        3,707,190        12/06/24           (61,982

Gold 100 Ounce, August

     Short        1        233,960        8/28/24           (522

Lean Hogs, August

     Short        25        895,000        8/14/24           336  

Natural Gas, July

     Short        54        1,404,540        7/29/24           259,857  

Platinum, October

     Short        58        2,940,890        10/29/24           (123,558

Soybean Oil, December

     Short        60        1,576,440        12/13/24           10,604  

Soybean, November

     Short        16        883,200        11/14/24           36,490  

Sugar No. 11, September

     Short        222        5,047,392        9/30/24           (227,693

Wheat, September

     Short        50        1,433,750        9/13/24           155,189  

Interest rate contracts

                 

U.S. Treasury 10 Yr. Note

     Long        103        11,328,391        9/19/24           138,228  

Index Contracts

                 

Euro-BTP

     Long        81        10,008,531        9/06/24           (76,924

FTSE/JSE Africa Top40 Index

     Long        81        3,271,140        9/19/24           108,183  


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Futures Contracts (continued)

 

Index Contracts (continued)

                 

FTSE/MIB Index

     Long        36        6,436,805        9/20/24           (30,157

Hang Seng Index

     Long        71        8,016,305        7/30/24                   (175,261

IBEX 35 Index

     Long        153         17,834,228        7/19/24           (190,554

Long Gilt

     Long        107        13,197,185        9/26/24           181,114  

Mex Bolsa Index

     Long        358        10,445,248        9/20/24           (245,671

Australian 10 Yr. Bond

     Short           126        9,556,728          9/16/24           72,474  

Canada 10 Yr. Bond

     Short        66        5,791,369        9/18/24           36,219  

DAX Index

     Short        18        8,875,541        9/20/24           141,379  

EURO STOXX 50 Index

     Short        112        5,912,976        9/20/24           147,816  

Euro-Bund

     Short        134        18,902,549        9/06/24           (148,776

Euro-OAT

     Short        87        11,479,991        9/06/24           136,040  

FTSE 100 Index

     Short        89        9,238,898        9/20/24           15,630  

Nikkei 225 Mini

     Short        57        14,024,991        9/12/24           (245,706

OMXS30 Index

     Short        379        9,226,096        7/19/24           19,322  

S+P500 E-Mini

     Short        13        3,588,975        9/20/24           (13,517

SPI 200 Index

     Short        34        4,411,951        9/19/24           (14,026
                 

 

 

 

Total Futures Contracts

                    $  (698,133
                 

 

 

 

*As of period end.

The following table represents the individual short positions and related values of the equity securities underlying the total return swap with Morgan Stanley Capital Services LLC as of June 30, 2024, expiration date 07/11/24:

 

     Country      Shares      Value  

Reference Entity – Short 100.00%

          

Automobiles & Components 4.62%

          

Aptiv PLC

   United States        (4,699    $ (330,904

Dr Ing Hc F Porsche AG

   Germany        (1,983      (147,749

Ferrari NV

   Italy        (2,143      (874,377

Ford Motor Co.

   United States        (64,580      (809,833

Nissan Motor Co. Ltd.

   Japan        (38,900      (132,012

Porsche Automobil Holding SE

   Germany        (2,596      (117,439

Rivian Automotive, Inc.

   United States        (10,531      (141,326

Tesla, Inc.

   United States        (7,319      (1,448,284

Volkswagen AG

   Germany        (3,513      (396,837
          

 

 

 
             (4,398,761
          

 

 

 

Banks 3.82%

          

Australia & New Zealand Banking Group Ltd.

   Australia        (21,661      (408,528

Bank of Ireland Group PLC

   Ireland        (18,376      (192,376

Bank of Montreal

   Canada         (12,400        (1,040,591

DNB Bank ASA

   Norway        (14,364      (282,896

FinecoBank Banca Fineco SpA

   Italy        (9,245      (137,924

M&T Bank Corp.

   United States        (2,866      (433,798

Regions Financial Corp.

   United States        (15,842      (317,474

Resona Holdings, Inc.

   Japan        (35,400      (234,261

Societe Generale SA

   France        (4,510      (105,952

Sumitomo Mitsui Trust Holdings, Inc.

   Japan        (11,100      (253,245

Svenska Handelsbanken AB, A

   Sweden        (24,783      (236,241
          

 

 

 
             (3,643,286
          

 

 

 

Capital Goods 10.69%

          

3M Co.

   United States        (4,032      (412,030

Alstom SA

   France        (6,198      (104,290

Ashtead Group PLC

   United Kingdom        (7,329      (489,356

Carrier Global Corp.

   United States        (13,695      (863,881

CNH Industrial NV

   United Kingdom        (14,990      (151,849

Epiroc AB, A

   Sweden        (11,308      (225,835

Epiroc AB, B

   Sweden        (5,953      (108,939

FANUC Corp.

   Japan        (16,100      (441,284


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Honeywell International, Inc

   United States        (6,821      (1,456,556

IDEX Corp.

   United States        (1,268      (255,122

Indutrade AB

   Sweden        (4,524      (116,024

Johnson Controls International PLC

   United States        (11,300      (751,111

Kone Oyj

   Finland        (2,811      (138,855

L3Harris Technologies, Inc.

   United States        (3,212      (721,351

MTU Aero Engines AG

   Germany        (601      (153,816

Nibe Industrier AB

   Sweden        (23,005      (97,623

Northrop Grumman Corp.

   United States        (2,396      (1,044,536

Sandvik AB

   Sweden        (18,367      (368,374

Spirax-Sarco Engineering PLC

   United Kingdom        (1,271      (136,246

Stanley Black & Decker, Inc.

   United States        (2,607      (208,273

The Boeing Co.

   United States        (7,560      (1,375,996

Toro Co.

   United States        (1,750      (163,642

Vestas Wind Systems A/S

   Denmark         (17,530      (406,242
          

 

 

 
              (10,191,231
          

 

 

 

Commercial & Professional Services 1.81%

          

Computershare Ltd.

   Australia        (9,115      (160,343

Dayforce, Inc.

   United States        (2,533      (125,637

Element Fleet Management Corp.

   Canada        (6,600      (120,053

Equifax, Inc.

   United States        (2,099      (508,923

Gfl Environmental, Inc.

   Canada        (3,600      (140,175

RB Global, Inc.

   Canada        (2,800      (213,507

Rentokil Initial PLC

   United Kingdom        (43,236      (252,067

SGS SA

   Switzerland        (2,269      (202,003
          

 

 

 
             (1,722,708
          

 

 

 

Consumer Discretionary Distribution & Retail 0.37%

          

CarMax, Inc.

   United States        (2,681      (196,625

H & M AB, B

   Sweden        (9,884      (156,470
          

 

 

 
             (353,095
          

 

 

 

Consumer Durables & Apparel 0.61%

          

Kering SA

   France        (1,300      (471,624

Taylor Wimpey PLC

   United Kingdom        (58,673      (105,430
          

 

 

 
             (577,054
          

 

 

 

Consumer Services 3.37%

          

Caesars Entertainment, Inc.

   United States        (3,614      (143,620

Darden Restaurants, Inc.

   United States        (976      (147,688

Evolution AB

   Sweden        (3,142      (327,545

Flutter Entertainment PLC

   United Kingdom        (3,063      (560,076

Lottery Corp., Ltd.

   Australia        (37,512      (127,016

Oriental Land Co. Ltd.

   Japan        (19,300      (537,751

Starbucks Corp.

   United States        (17,614      (1,371,250
          

 

 

 
             (3,214,946
          

 

 

 

Consumer Staples Distribution & Retail 1.31%

          

Coles Group, Ltd.

   Australia        (22,667      (257,803

Dollar Tree, Inc.

   United States        (3,527      (376,578

Walgreens Boots Alliance, Inc.

   United States        (12,288      (148,623

Woolworths Group Ltd.

   Australia        (20,620      (465,324
          

 

 

 
             (1,248,328
          

 

 

 

Energy 8.35%

          

Aker BP ASA

   Norway        (5,319      (135,979

APA Corp.

   United States        (6,115      (180,026

Cameco Corp.

   Canada        (7,300      (359,092

Chevron Corp.

   United States        (9,169      (1,434,215

Enbridge, Inc.

   Canada        (35,100      (1,248,450

EQT Corp.

   United States        (6,157      (227,686

Equinor ASA

   Norway        (15,251      (435,364

Hess Corp.

   United States        (4,652      (686,263

Neste Oyj

   Finland        (7,346      (130,890

Santos Ltd.

   Australia        (55,174      (282,255


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Schlumberger NV

   United States        (23,763      (1,121,138

TC Energy Corp.

   Canada        (17,700      (670,824

Texas Pacific Land Corp.

   United States        (265      (194,582

Tourmaline Oil Corp.

   Canada        (5,500      (249,406

Woodside Energy Group Ltd.

   Australia        (32,142      (605,557
          

 

 

 
             (7,961,727
          

 

 

 

Equity Real Estate Investment Trusts (REITs) 3.98%

          

Alexandria Real Estate Equities, Inc.

   United States        (2,668      (312,076

Boston Properties, Inc.

   United States        (2,522      (155,254

Essex Property Trust, Inc.

   United States        (1,077      (293,160

Extra Space Storage, Inc.

   United States        (3,527      (548,131

Healthpeak Properties, Inc.

   United States        (12,002      (235,239

Kimco Realty Corp

   United States        (11,520      (224,179

Realty Income Corp.

   United States        (14,687      (775,767

Regency Centers Corp.

   United States        (2,983      (185,543

SBA Communications Corp. REIT

   United States        (1,825      (358,248

Segro PLC

   United Kingdom        (21,672      (246,067

Sun Communities, Inc.

   United States        (2,121      (255,241

WP Carey, Inc.

   United States        (3,699      (203,630
          

 

 

 
             (3,792,535
          

 

 

 

Financial Services 4.34%

          

Annaly Capital Management, Inc.

   United States        (8,477      (161,572

ASX Ltd.

   Australia        (3,315      (132,835

Blackstone Inc.

   United States        (11,840      (1,465,792

Edenred SE

   France        (3,978      (168,021

FactSet Research Systems, Inc.

   United States        (649      (264,967

Julius Baer Group Ltd.

   Switzerland        (3,476      (194,186

London Stock Exchange Group PLC

   United Kingdom        (7,756      (921,610

Nasdaq, Inc.

   United States        (6,736      (405,911

Toast, Inc.

   United States        (5,754      (148,281

Tradeweb Markets, Inc.

   United States        (1,739      (184,334

Wise PLC

   United Kingdom         (10,543      (90,826
          

 

 

 
             (4,138,335
          

 

 

 

Food, Beverage & Tobacco 3.41%

          

Brown-Forman Corp.

   United States        (3,139      (135,573

Chocoladefabriken Lindt & Spruengli AG

   Switzerland        (17      (198,453

Chocoladefabriken Lindt & Spruengli AG

   Switzerland        (2      (231,026

Heineken NV

   Netherlands        (4,899      (474,121

Hershey Co.

   United States        (2,386      (438,618

Hormel Foods Corp.

   United States        (5,089      (155,164

J M Smucker Co.

   United States        (1,811      (197,471

Keurig Dr Pepper, Inc.

   United States        (8,826      (294,788

Lamb Weston Holdings, Inc.

   United States        (2,444      (205,492

McCormick & Co, Inc.

   United States        (4,274      (303,198

Mowi ASA

   Norway        (7,986      (133,281

Pernod Ricard SA

   France        (3,559      (483,279
          

 

 

 
             (3,250,464
          

 

 

 

Health Care Equipment & Services 4.60%

          

Coloplast A/S

   Denmark        (2,133      (256,455

CVS Health Corp.

   United States        (7,671      (453,049

Henry Schein, Inc.

   United States        (2,201      (141,084

Humana, Inc.

   United States        (2,046      (764,488

Insulet Corp.

   United States        (1,177      (237,518

Quest Diagnostics, Inc.

   United States        (1,878      (257,061

ResMed, Inc.

   United States        (2,471      (472,999

Smith & Nephew PLC

   United Kingdom        (15,185      (188,230

Sonic Healthcare Ltd.

   Australia        (7,736      (135,879

UnitedHealth Group, Inc.

   United States        (2,905      (1,479,400
          

 

 

 
               (4,386,163
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued) 

 

Household & Personal Products 0.48%

          

Essity AB, B

   Sweden        (10,380      (266,013

HALEON PLC

   United Kingdom        (46,888      (191,209
          

 

 

 
             (457,222
          

 

 

 

Insurance 4.82%

          

Aon PLC

   United States        (3,300      (968,814

Arthur J Gallagher & Co.

   United States        (3,631      (941,555

Baloise Holding AG

   Switzerland        (783      (137,848

Cincinnati Financial Corp.

   United States        (2,658      (313,910

Markel Corp.

   United States        (224      (352,948

Marsh & McLennan Cos, Inc.

   United States        (6,857      (1,444,907

Prudential PLC

   Hong Kong        (47,849      (434,531
          

 

 

 
             (4,594,513
          

 

 

 

Materials 5.64%

          

Air Products and Chemicals, Inc.

   United States        (3,711      (957,624

Albemarle Corp.

   United States        (1,997      (190,753

Anglo American PLC

   United Kingdom        (21,656      (684,931

Boliden AB

   Sweden        (4,690      (150,175

Corteva, Inc.

   United States        (12,055      (650,247

Croda International PLC

   United Kingdom        (2,274      (113,488

DSM-Firmenich AG

   Switzerland        (3,213      (363,637

First Quantum Minerals Ltd.

   Canada        (11,800      (154,965

James Hardie Industries PLC

   Australia        (7,413      (234,171

Mineral Resources Ltd.

   Australia        (2,704      (97,372

Newmont Corp.

   United States        (18,994      (795,279

Norsk Hydro ASA

   Norway        (22,872      (142,849

Pilbara Minerals Ltd.

   Australia        (44,343      (90,916

Sika AG

   Switzerland        (492      (140,822

South32 Ltd.

   Australia        (71,230      (174,110

Svenska Cellulosa AB

   Sweden        (10,478      (154,891

Symrise AG

   Germany        (2,259      (276,730
          

 

 

 
               (5,372,960
          

 

 

 

Media & Entertainment 4.01%

          

CAR Group Ltd.

   Australia        (6,144      (144,640

Charter Communications, Inc., A

   United States        (1,586      (474,151

Informa PLC

   United Kingdom        (23,135      (250,278

Liberty Media Corp.

   United States        (3,321      (238,581

Pinterest, Inc., A

   United States        (4,676      (206,071

ROBLOX Corp.

   United States        (8,121      (302,182

Roku, Inc.

   United States        (2,107      (126,273

Snap, Inc.

   United States        (18,125      (301,056

Take-Two Interactive Software, Inc.

   United States        (2,807      (436,460

Trade Desk, Inc.

   United States        (7,623      (744,538

Vivendi SA

   France         (12,504      (130,742

Warner Bros Discovery, Inc.

   United States        (39,799      (296,105

WPP PLC

   United Kingdom        (18,664      (170,909
          

 

 

 
             (3,821,986
          

 

 

 

Pharmaceuticals, Biotechnology & Life Sciences 6.67%

          

Alnylam Pharmaceuticals, Inc.

   United States        (2,122      (515,646

Amgen, Inc.

   United States        (2,200      (687,390

Argenx SE

   Netherlands        (1,018      (445,799

Astellas Pharma, Inc.

   Japan        (30,900      (305,427

AstraZeneca PLC

   United Kingdom        (9,136      (1,426,972

Bayer AG

   Germany        (17,076      (482,786

Eisai Co. Ltd.

   Japan        (4,300      (176,213

Exact Sciences Corp.

   United States        (3,063      (129,412

GRAIL, Inc.

   United States        (462      (7,101

Illumina, Inc.

   United States        (2,774      (289,550

Merck KGaA

   Germany        (2,190      (363,219

Pfizer, Inc.

   United States        (51,206      (1,432,744


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Sartorius AG

   Germany        (415      (97,406
          

 

 

 
             (6,359,665
          

 

 

 

Real Estate Management & Development 1.03%

          

CoStar Group, Inc.

   United States        (6,866      (509,045

Vonovia SE

   Germany        (12,484      (355,232

Zillow Group, Inc., C

   United States        (2,599      (120,568
          

 

 

 
             (984,845
          

 

 

 

Semiconductors & Semiconductor Equipment 9.83%

          

Advanced Micro Devices, Inc.

   United States        (8,965      (1,454,213

Advantest Corp.

   Japan        (12,700      (507,258

ASM International NV

   Netherlands        (791      (603,431

BE Semiconductor Industries NV

   Netherlands        (1,239      (207,351

Enphase Energy, Inc.

   United States        (2,151      (214,476

First Solar, Inc.

   United States        (1,639      (369,529

Infineon Technologies AG

   Germany        (14,035      (516,016

Intel Corp.

   United States        (46,502      (1,440,167

Lattice Semiconductor Corp.

   United States        (2,293      (132,971

Marvell Technology, Inc.

   United States        (14,290      (998,871

Monolithic Power Systems, Inc.

   United States        (791      (649,949

ON Semiconductor Corp.

   United States        (7,088      (485,882

Teradyne, Inc.

   United States        (2,540      (376,657

Texas Instruments, Inc.

   United States        (7,273      (1,414,817
          

 

 

 
             (9,371,588
          

 

 

 

Software & Services 3.91%

          

Cloudflare, Inc., A

   United States        (4,962      (411,003

Dassault Systemes SE

   France        (11,542      (436,666

MongoDB, Inc.

   United States        (1,240      (309,950

Okta, Inc., A

   United States        (2,649      (247,973

Open Text Corp.

   Canada        (4,600      (138,099

Shopify, Inc., A

   Canada        (19,900      (1,314,838

Snowflake, Inc.

   United States        (5,249      (709,088

Twilio, Inc., A

   United States        (2,877      (163,442
          

 

 

 
             (3,731,059
          

 

 

 

Technology Hardware & Equipment 5.28%

          

Apple, Inc.

   United States        (7,443      (1,567,645

Corning, Inc.

   United States        (13,696      (532,089

Halma PLC

   United Kingdom        (6,469      (221,282

Hexagon AB

   Sweden        (35,343      (399,312

Keyence Corp.

   Japan        (2,600      (1,140,308

Pure Storage, Inc.

   United States        (5,113      (328,306

Teledyne Technologies, Inc.

   United States        (799      (309,996

Telefonaktiebolaget LM Ericsson

   Sweden        (48,301      (300,108

Trimble, Inc.

   United States        (4,089      (228,657
          

 

 

 
               (5,027,703
          

 

 

 

Telecommunication Services 1.39%

          

Cellnex Telecom SA

   Spain        (8,690      (282,851

Elisa Oyj

   Finland        (2,480      (113,866

Rogers Communications, Inc.

   Canada        (6,200      (229,269

Singapore Telecommunications Ltd.

   Singapore        (138,100      (280,225

Telenor ASA

   Norway        (10,883      (124,392

Telstra Group Ltd.

   Australia        (68,930      (166,646

TELUS Corp.

   Canada        (8,500      (128,648
          

 

 

 
             (1,325,897
          

 

 

 

Transportation 1.33%

          

DSV A/S

   Denmark        (2,944      (451,445

Knight-Swift transportation Holdings, Inc.

   United States        (2,625      (131,040

Kuehne + Nagel International AG

   Switzerland        (845      (242,987

Transurban Group

   Australia        (52,981      (438,754
          

 

 

 
             (1,264,226
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

CONSOLIDATED SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued) 

 

Utilities 4.33%

          

Alliant Energy Corp.

   United States        (4,321      (219,939

APA Group

   Australia         (21,910      (116,914

Dominion Energy, Inc.

   United States        (14,114      (691,586

DTE Energy Co.

   United States        (3,479      (386,204

EDP - Energias de Portugal SA

   Portugal        (53,479      (200,549

Eversource Energy

   United States        (5,850      (331,754

NextEra Energy, Inc.

   United States        (18,674      (1,322,306

Origin Energy Ltd.

   Australia        (29,812      (216,222

RWE AG

   Germany        (10,200      (349,273

Severn Trent PLC

   United Kingdom        (4,596      (138,273

Snam SpA

   Italy        (34,711      (153,679
          

 

 

 
             (4,126,699
          

 

 

 

Total Value of Reference Entity — Morgan Stanley Capital Services LLC

           $ (95,316,996
          

 

 

 

Abbreviations

Selected Portfolio

 

GDR   – Global Depositary Receipt
LIBOR   – London Interbank Offered Rate
MSCO   – Morgan Stanley
MSCS   – Morgan Stanley Capital Services Inc.
OAT   – Obligation Assumable by the Treasurer
REIT   – Real Estate Investment Trust
SPA   – Standby Purchase Agreement
ULSD   – Ultra-Low Sulfur Diesel


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin U.S. Core Bond ETF      Country          Principal Amount      Value  

Corporate Bonds & Notes 29.3%

          

Aerospace & Defense 0.5%

          

Boeing Co., 3.50%, 3/01/39

     United States          5,000,000      $ 3,563,908  

Northrop Grumman Corp., 4.03%, 10/15/47

     United States          7,400,000        5,853,483  
          

 

 

 
             9,417,391  
          

 

 

 

Agriculture 0.8%

          

Altria Group, Inc., 3.40%, 5/06/30

     United States          5,000,000        4,525,394  

a Cargill, Inc., 2.125%, 11/10/31

     United States          5,000,000        4,090,153  

a Imperial Brands Finance PLC, 3.50%, 7/26/26

     United Kingdom          4,000,000        3,842,418  

Philip Morris International, Inc., 5.375%, 2/15/33

     United States          3,600,000        3,576,479  
          

 

 

 
                16,034,444  
          

 

 

 

Airlines 0.5%

          

American Airlines Pass-Through Trust, Series 2016-3, Class A, 3.25%, 4/15/30

     United States          3,821,629        3,482,424  

a Delta Air Lines, Inc./SkyMiles IP Ltd., first lien, 4.50%, 10/20/25

     United States          3,850,320        3,804,414  

United Airlines Pass-Through Trust,

          

Series 2019-2, Class A, 2.90%, 11/01/29

     United States          802,083        723,912  

Series 2020-1, Class A, 5.875%, 4/15/29

     United States          55,096        55,312  

Series 2020-1, Class B, 4.875%, 7/15/27

     United States           1,209,600        1,192,448  
          

 

 

 
             9,258,510  
          

 

 

 

Apparel 0.1%

          

Tapestry, Inc., 7.85%, 11/27/33

     United States          2,500,000        2,634,431  
          

 

 

 

Auto Manufacturers 0.2%

          

Hyundai Capital America,

          

a 5.30%, 1/08/29

     United States          2,600,000        2,590,426  

a 5.35%, 3/19/29

     United States          885,000        883,898  
          

 

 

 
             3,474,324  
          

 

 

 

Banks 5.9%

          

a ABN AMRO Bank NV, 6.339% to 9/18/26, FRN thereafter, 9/18/27

     Netherlands          1,100,000        1,114,930  

Bank of America Corp.,

          

1.922% to 10/24/30, FRN thereafter, 10/24/31

     United States          2,800,000        2,291,686  

2.592% to 4/29/30, FRN thereafter, 4/29/31

     United States          3,000,000        2,594,694  

3.974% to 2/07/29, FRN thereafter, 2/07/30

     United States          8,200,000        7,767,695  

4.948% to 7/22/27, FRN thereafter, 7/22/28

     United States          2,700,000        2,678,986  

5.468% to 1/23/34, FRN thereafter, 1/23/35

     United States          1,000,000        999,357  

BNP Paribas SA,

          

a 2.819% to 11/19/24, FRN thereafter, 11/19/25

     France          2,200,000        2,172,861  

a 5.176% to 1/09/29, FRN thereafter, 1/09/30

     France          4,400,000        4,355,240  

a BPCE SA, 2.045% to 10/19/26, FRN thereafter, 10/19/27

     France          3,700,000        3,398,062  

Citigroup, Inc.,

          

4.125%, 7/25/28

     United States          2,300,000        2,208,604  

3.057% to 1/25/32, FRN thereafter, 1/25/33

     United States          1,800,000        1,529,477  

a Danske Bank AS, 5.705% to 3/01/29, FRN thereafter, 3/01/30

     Denmark          4,000,000        4,012,742  

Deutsche Bank AG, 5.371%, 9/09/27

     Germany          3,700,000        3,707,441  

Goldman Sachs Group, Inc.,

          

1.948% to 10/21/26, FRN thereafter, 10/21/27

     United States          5,200,000        4,802,914  

2.64% to 2/24/27, FRN thereafter, 2/24/28

     United States          5,200,000        4,851,105  

HSBC Holdings PLC,

          

2.013% to 9/22/27, FRN thereafter, 9/22/28

     United Kingdom          4,100,000        3,683,262  

2.357% to 8/18/30, FRN thereafter, 8/18/31

     United Kingdom          1,300,000        1,086,681  

JPMorgan Chase & Co.,

          

2.956% to 5/13/30, FRN thereafter, 5/13/31

     United States          5,000,000        4,383,833  

2.522% to 4/22/30, FRN thereafter, 4/22/31

     United States          2,000,000        1,729,291  

1.953% to 2/04/31, FRN thereafter, 2/04/32

     United States          2,000,000        1,627,493  

6.087% to 10/23/28, FRN thereafter, 10/23/29

     United States          1,550,000        1,601,917  

5.336% to 1/23/34, FRN thereafter, 1/23/35

     United States          1,300,000        1,292,779  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

KeyBank NA, 4.15%, 8/08/25

   United States        2,500,000        2,452,241  

Mizuho Financial Group, Inc., 5.778% to 7/06/28, FRN thereafter, 7/06/29

   Japan        2,700,000        2,736,994  

Morgan Stanley,

          

2.239% to 7/21/31, FRN thereafter, 7/21/32

   United States        4,000,000        3,269,020  

3.622% to 4/01/30, FRN thereafter, 4/01/31

   United States        4,300,000        3,947,216  

3.95%, 4/23/27

   United States        3,600,000        3,477,852  

5.466% to 1/18/34, FRN thereafter, 1/18/35

   United States        1,000,000        997,758  

PNC Financial Services Group, Inc., 5.676% to 1/22/34, FRN thereafter, 1/22/35

   United States        1,050,000        1,056,050  

Santander U.K. Group Holdings PLC, 1.673% to 6/14/26, FRN thereafter, 6/14/27

   United Kingdom        3,200,000        2,959,719  

a Societe Generale SA, 1.792% to 6/09/26, FRN thereafter, 6/09/27

   France        4,300,000        3,967,854  

Toronto-Dominion Bank, 4.693%, 9/15/27

   Canada        4,700,000        4,631,393  

Truist Financial Corp., 5.90% to 10/28/25, FRN thereafter, 10/28/26

   United States        3,850,000        3,860,957  

U.S. Bancorp, 5.727% to 10/21/25, FRN thereafter, 10/21/26

   United States        1,700,000        1,703,467  

UBS Group AG,

          

a 6.373% to 7/15/25, FRN thereafter, 7/15/26

   Switzerland        550,000        552,789  

4.55%, 4/17/26

   Switzerland        950,000        934,001  

Wells Fargo & Co.,

          

2.879% to 10/30/29, FRN thereafter, 10/30/30

   United States        10,300,000        9,139,497  

4.54% to 8/15/25, FRN thereafter, 8/15/26

   United States        1,600,000        1,580,585  

5.198% to 1/23/29, FRN thereafter, 1/23/30

   United States        2,250,000        2,241,002  
          

 

 

 
               113,399,445  
          

 

 

 

Banks 0.5%

          

Citigroup, Inc., 4.45%, 9/29/27

   United States        1,500,000        1,462,480  

Goldman Sachs Group, Inc., 3.691% to 6/05/27, FRN thereafter, 6/05/28

   United States        2,500,000        2,392,197  

Wells Fargo & Co., 3.35% to 3/02/32, FRN thereafter, 3/02/33

   United States        6,000,000        5,205,131  
          

 

 

 
             9,059,808  
          

 

 

 

Beverages 0.5%

          

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc., 4.70%, 2/01/36

   Belgium        1,800,000        1,716,827  

Anheuser-Busch InBev Worldwide, Inc., 4.439%, 10/06/48

   Belgium        4,000,000        3,426,348  

Constellation Brands, Inc., 4.90%, 5/01/33

   United States        5,000,000        4,830,153  
          

 

 

 
             9,973,328  
          

 

 

 

Biotechnology 0.8%

          

Amgen, Inc.,

          

4.663%, 6/15/51

   United States        2,000,000        1,710,554  

5.25%, 3/02/33

   United States        3,400,000        3,391,763  

Bio-Rad Laboratories, Inc., 3.30%, 3/15/27

   United States        500,000        473,801  

Illumina, Inc., 5.80%, 12/12/25

   United States        3,000,000        3,004,470  

Regeneron Pharmaceuticals, Inc., 1.75%, 9/15/30

   United States        4,000,000        3,295,714  

Royalty Pharma PLC, 2.20%, 9/02/30

   United Kingdom        5,000,000        4,168,661  
          

 

 

 
             16,044,963  
          

 

 

 

Building Products 0.1%

          

NVR, Inc., 3.00%, 5/15/30

   United States        2,500,000        2,216,761  
          

 

 

 

Commercial Services & Supplies 0.2%

          

a Ashtead Capital, Inc., 5.80%, 4/15/34

   United Kingdom        600,000        595,764  

Boardwalk Pipelines LP, 4.80%, 5/03/29

   United States        3,950,000        3,866,576  
          

 

 

 
             4,462,340  
          

 

 

 

Construction Materials 0.4%

          

Owens Corning, 5.70%, 6/15/34

   United States        7,000,000        7,067,717  
          

 

 

 

Diversified REITs 0.2%

          

Essex Portfolio LP, 2.65%, 3/15/32

   United States        4,000,000        3,317,916  
          

 

 

 

Diversified Telecommunication Services 0.7%

          

America Movil SAB de CV, 2.875%, 5/07/30

   Mexico        3,800,000        3,350,538  

Orange SA, 9.00%, 3/01/31

   France        3,000,000        3,579,578  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Verizon Communications, Inc.,

          

1.75%, 1/20/31

   United States        5,000,000        4,047,767  

2.85%, 9/03/41

   United States        3,900,000        2,734,273  
          

 

 

 
             13,712,156  
          

 

 

 

Electric 0.8%

          

Constellation Energy Generation LLC, 6.125%, 1/15/34

   United States        1,050,000        1,094,838  

DTE Energy Co., 4.875%, 6/01/28

   United States        2,800,000        2,757,095  

Duke Energy Corp., 2.45%, 6/01/30

   United States        3,900,000        3,350,414  

Duke Energy Ohio, Inc., 5.25%, 4/01/33

   United States        500,000        496,078  

a Electricite de France SA, 5.70%, 5/23/28

   France        600,000        606,286  

Public Service Enterprise Group, Inc., 2.45%, 11/15/31

   United States        5,000,000        4,119,464  

Xcel Energy, Inc., 5.45%, 8/15/33

   United States         3,300,000        3,243,776  
          

 

 

 
                15,667,951  
          

 

 

 

Electric Utilities 1.7%

          

Baltimore Gas & Electric Co., 3.50%, 8/15/46

   United States        1,400,000        1,010,987  

a Comision Federal de Electricidad, 3.348%, 2/09/31

   Mexico        3,800,000        3,143,225  

Duke Energy Corp., 3.75%, 9/01/46

   United States        5,000,000        3,644,966  

a EDP Finance BV, 1.71%, 1/24/28

   Netherlands        4,500,000        3,977,807  

Enel Finance International NV,

          

a 3.50%, 4/06/28

   Netherlands        2,700,000        2,526,908  

a 2.25%, 7/12/31

   Netherlands        3,500,000        2,856,212  

Exelon Corp., 4.05%, 4/15/30

   United States        4,500,000        4,225,302  

Georgia Power Co., Series 2010-C, 4.75%, 9/01/40

   United States        1,400,000        1,265,992  

MidAmerican Energy Co., 3.65%, 8/01/48

   United States        1,100,000        829,155  

a Perusahaan Perseroan Persero PT Perusahaan Listrik Negara, 4.875%, 7/17/49

   Indonesia        750,000        619,697  

Southern Co., Series A, 3.70%, 4/30/30

   United States        6,000,000        5,534,087  

Virginia Electric & Power Co., Series B, 3.80%, 9/15/47

   United States        5,100,000        3,787,576  
          

 

 

 
             33,421,914  
          

 

 

 

Electronic Equipment, Instruments & Components 0.3%

          

Flex Ltd., 4.875%, 5/12/30

   Singapore        3,000,000        2,909,631  

Teledyne FLIR LLC, 2.50%, 8/01/30

   United States        3,000,000        2,555,869  
          

 

 

 
             5,465,500  
          

 

 

 

Energy Equipment & Services 0.4%

          

Kinder Morgan, Inc., 2.00%, 2/15/31

   United States        4,100,000        3,360,760  

a Schlumberger Holdings Corp., 5.00%, 11/15/29

   United States        4,270,000        4,239,357  
          

 

 

 
             7,600,117  
          

 

 

 

Entertainment 0.2%

          

Warnermedia Holdings, Inc.,

          

4.279%, 3/15/32

   United States        3,000,000        2,619,439  

4.054%, 3/15/29

   United States        900,000        831,351  
          

 

 

 
             3,450,790  
          

 

 

 

Financial Services 0.2%

          

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 3.40%, 10/29/33

   Ireland        3,500,000        2,937,597  
          

 

 

 

Food 0.4%

          

JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL, 5.75%, 4/01/33

   United States        3,700,000        3,698,396  

Sysco Corp., 5.95%, 4/01/30

   United States        4,600,000        4,789,145  
          

 

 

 
             8,487,541  
          

 

 

 

Food Products 0.1%

          

Kraft Heinz Foods Co., 3.75%, 4/01/30

   United States        2,000,000        1,868,016  
          

 

 

 

Ground Transportation 0.2%

          

Burlington Northern Santa Fe LLC,

          

4.90%, 4/01/44

   United States        1,100,000        1,015,596  

4.15%, 4/01/45

   United States        2,300,000        1,906,010  

CSX Corp., 4.25%, 11/01/66

   United States        1,000,000        779,005  
          

 

 

 
             3,700,611  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Health Care Providers & Services 1.5%

          

CVS Health Corp., 4.875%, 7/20/35

   United States         1,400,000        1,309,009  

Elevance Health, Inc., 5.10%, 1/15/44

   United States        2,000,000        1,857,942  

HCA, Inc., 3.625%, 3/15/32

   United States        6,500,000        5,727,483  

Icon Investments Six DAC, 6.00%, 5/08/34

   United States        365,000        373,028  

IQVIA, Inc., 6.25%, 2/01/29

   United States        5,200,000        5,348,491  

Quest Diagnostics, Inc., 2.80%, 6/30/31

   United States        6,800,000        5,823,871  

STERIS Irish FinCo UnLtd Co., 2.70%, 3/15/31

   Ireland        5,000,000        4,266,291  

UnitedHealth Group, Inc.,

          

2.00%, 5/15/30

   United States        3,000,000        2,550,554  

3.05%, 5/15/41

   United States        2,500,000        1,846,332  
          

 

 

 
                29,103,001  
          

 

 

 

Health Care Services 0.2%

          

Elevance Health, Inc., 2.55%, 3/15/31

   United States        5,000,000        4,264,560  
          

 

 

 

Healthcare-Products 0.8%

          

Baxter International, Inc., 2.539%, 2/01/32

   United States        6,400,000        5,251,668  

Boston Scientific Corp., 2.65%, 6/01/30

   United States        6,000,000        5,268,901  

GE HealthCare Technologies, Inc., 5.905%, 11/22/32

   United States        4,200,000        4,336,079  
          

 

 

 
             14,856,648  
          

 

 

 

Home Builders 0.2%

          

Toll Brothers Finance Corp., 3.80%, 11/01/29

   United States        4,600,000        4,259,570  
          

 

 

 

Household Products 0.1%

          

Haleon U.S. Capital LLC, 3.625%, 3/24/32

   United States        2,500,000        2,240,690  
          

 

 

 

Insurance 2.3%

          

a AIA Group Ltd., 4.95%, 4/04/33

   Hong Kong        1,600,000        1,571,067  

Aon Corp., 2.80%, 5/15/30

   United States        7,000,000        6,138,922  

Aon Corp./Aon Global Holdings PLC, 5.35%, 2/28/33

   United States        2,000,000        1,987,533  

Berkshire Hathaway Finance Corp., 3.85%, 3/15/52

   United States        2,500,000        1,934,401  

Corebridge Financial, Inc.,

          

3.90%, 4/05/32

   United States        1,500,000        1,343,161  

a 6.05%, 9/15/33

   United States        2,400,000        2,462,994  

a Corebridge Global Funding, 5.90%, 9/19/28

   United States        2,000,000        2,043,422  

a Five Corners Funding Trust II, 2.85%, 5/15/30

   United States        7,000,000        6,166,536  

Marsh & McLennan Cos., Inc., 4.90%, 3/15/49

   United States        3,000,000        2,687,090  

MetLife, Inc., 5.875%, 2/06/41

   United States        1,100,000        1,126,153  

a Metropolitan Life Global Funding I, 4.30%, 8/25/29

   United States        1,400,000        1,348,168  

a New York Life Global Funding, 4.85%, 1/09/28

   United States        5,200,000        5,166,487  

Progressive Corp., 3.70%, 3/15/52

   United States        3,000,000        2,244,144  

Reinsurance Group of America, Inc., 3.90%, 5/15/29

   United States        2,250,000        2,110,423  

a RGA Global Funding, 5.50%, 1/11/31

   United States        2,100,000        2,098,046  

a Sammons Financial Group, Inc., 6.875%, 4/15/34

   United States        2,500,000        2,564,999  
          

 

 

 
             42,993,546  
          

 

 

 

Internet Software & Services 0.1%

          

a Tencent Holdings Ltd., 3.925%, 1/19/38

   Cayman Islands        2,000,000        1,678,441  
          

 

 

 

IT Services 0.3%

          

Fiserv, Inc.,

          

3.50%, 7/01/29

   United States        1,800,000        1,664,857  

2.65%, 6/01/30

   United States        4,700,000        4,090,927  
          

 

 

 
             5,755,784  
          

 

 

 

Lodging 0.1%

          

Marriott International, Inc., 5.30%, 5/15/34

   United States        1,400,000        1,375,092  
          

 

 

 

Machinery-Diversified 0.2%

          

Ingersoll Rand, Inc., 5.70%, 8/14/33

   United States        4,200,000        4,295,697  
          

 

 

 

Media 1.1%

          

Charter Communications Operating LLC/Charter Communications Operating Capital,

          

2.80%, 4/01/31

   United States        5,000,000        4,088,765  

3.50%, 3/01/42

   United States        1,500,000        998,861  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Comcast Corp.,

          

4.25%, 1/15/33

   United States        4,000,000        3,741,368  

1.50%, 2/15/31

   United States        3,000,000        2,410,338  

Fox Corp., 6.50%, 10/13/33

   United States        5,100,000        5,344,529  

NBCUniversal Media LLC, 4.45%, 1/15/43

   United States        1,100,000        949,671  

Walt Disney Co., 2.75%, 9/01/49

   United States        5,000,000        3,179,391  
          

 

 

 
             20,712,923  
          

 

 

 

Metals & Mining 0.1%

          

a Corp. Nacional del Cobre de Chile, 4.50%, 8/01/47

   Chile        1,160,000        925,660  
          

 

 

 

Multi-Utilities 0.2%

          

Berkshire Hathaway Energy Co., 5.15%, 11/15/43

   United States        3,000,000        2,832,232  
          

 

 

 

Oil & Gas 0.8%

          

BP Capital Markets America, Inc., 4.893%, 9/11/33

   United States        5,300,000        5,156,311  

ConocoPhillips Co., 5.05%, 9/15/33

   United States        6,000,000        5,950,146  

a Var Energi ASA, 8.00%, 11/15/32

   Norway        3,800,000        4,260,598  
          

 

 

 
             15,367,055  
          

 

 

 

Oil, Gas & Consumable Fuels 0.5%

          

a Aker BP ASA, 3.10%, 7/15/31

   Norway        4,700,000        4,004,123  

a Pertamina Persero PT, 4.70%, 7/30/49

   Indonesia        1,000,000        842,603  

Sabine Pass Liquefaction LLC, 4.20%, 3/15/28

   United States        4,000,000        3,860,466  
          

 

 

 
             8,707,192  
          

 

 

 

Packaging & Containers 0.2%

          

Amcor Flexibles North America, Inc., 2.63%, 6/19/30

   United States        3,500,000        3,008,198  
          

 

 

 

Paper & Forest Products 0.1%

          

Suzano Austria GmbH, 3.125%, 1/15/32

   Austria        1,300,000        1,064,933  
          

 

 

 

Pharmaceuticals 1.4%

          

AbbVie, Inc.,

          

4.05%, 11/21/39

   United States         3,000,000        2,607,225  

4.75%, 3/15/45

   United States        1,000,000        908,345  

a Bayer U.S. Finance II LLC, 4.375%, 12/15/28

   Germany        5,500,000        5,225,332  

Bristol-Myers Squibb Co.,

          

4.125%, 6/15/39

   United States        3,200,000        2,778,315  

2.55%, 11/13/50

   United States        6,000,000        3,514,162  

Cigna Group, 4.90%, 12/15/48

   United States        3,300,000        2,902,493  

CVS Health Corp., 1.875%, 2/28/31

   United States        6,000,000        4,816,533  

Pfizer Investment Enterprises Pte. Ltd., 4.75%, 5/19/33

   United States        1,700,000        1,657,136  

Takeda Pharmaceutical Co. Ltd., 2.05%, 3/31/30

   Japan        2,600,000        2,194,833  
          

 

 

 
                26,604,374  
          

 

 

 

Pipelines 0.9%

          

a Cheniere Energy, Inc., 5.65%, 4/15/34

   United States        2,700,000        2,703,821  

Energy Transfer LP,

          

6.40%, 12/01/30

   United States        5,800,000        6,102,435  

5.55%, 5/15/34

   United States        2,300,000        2,277,704  

MPLX LP,

          

2.65%, 8/15/30

   United States        2,500,000        2,155,318  

5.50%, 6/01/34

   United States        3,200,000        3,152,815  
          

 

 

 
             16,392,093  
          

 

 

 

Real Estate Investment Trusts (REITs) 0.1%

          

Alexandria Real Estate Equities, Inc., 5.25%, 5/15/36

   United States        1,340,000        1,290,528  

a Prologis Targeted U.S. Logistics Fund LP, 5.25%, 4/01/29

   United States        1,200,000        1,201,253  
          

 

 

 
             2,491,781  
          

 

 

 

Real Estate Management & Development 0.3%

          

Simon Property Group LP, 2.20%, 2/01/31

   United States        2,000,000        1,654,325  

VICI Properties LP, 4.95%, 2/15/30

   United States        5,000,000        4,827,401  
          

 

 

 
             6,481,726  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Retail 0.3%

          

Dollar Tree, Inc., 4.20%, 5/15/28

   United States        5,000,000        4,801,477  

Target Corp., 2.95%, 1/15/52

   United States        1,300,000        838,133  
          

 

 

 
             5,639,610  
          

 

 

 

Software 0.3%

          

ServiceNow, Inc., 1.40%, 9/01/30

   United States        8,000,000        6,497,861  
          

 

 

 

Telecommunications 0.9%

          

AT&T, Inc., 2.55%, 12/01/33

   United States        12,800,000        10,181,987  

Motorola Solutions, Inc., 5.40%, 4/15/34

   United States        7,000,000        6,942,344  
          

 

 

 
             17,124,331  
          

 

 

 

Transportation 0.2%

          

CSX Corp., 4.50%, 11/15/52

   United States        3,000,000        2,566,986  

Union Pacific Corp., 3.20%, 5/20/41

   United States        2,000,000        1,514,041  
          

 

 

 
             4,081,027  
          

 

 

 

Wireless Telecommunication Services 0.4%

          

T-Mobile USA, Inc.,

          

3.75%, 4/15/27

   United States        5,000,000        4,806,809  

3.875%, 4/15/30

   United States        3,000,000        2,805,193  

Vodafone Group PLC, 4.875%, 6/19/49

   United Kingdom        1,000,000        866,297  
          

 

 

 
             8,478,299  
          

 

 

 

Total Corporate Bonds & Notes (Cost $590,910,677)

               559,905,895  
          

 

 

 

U.S. Government & Agency Securities 64.0%

          

Federal Farm Credit Banks Funding Corp., 2.10%, 2/25/36

   United States        4,000,000        3,009,798  

Federal Home Loan Mortgage Corp.,

          

2.00%, 4/01/37

   United States        4,454,521        3,916,090  

2.00%, 3/01/51

   United States        27,681,637        21,865,306  

2.00%, 5/01/51

   United States        10,690,379        8,425,671  

2.00%, 9/01/51

   United States        894,712        700,821  

2.00%, 1/01/52

   United States        2,547,943        1,994,598  

2.00%, 1/01/52

   United States        742,090        580,928  

2.00%, 3/01/52

   United States        432,774        339,241  

2.00%, 4/01/52

   United States        4,840,531        3,797,254  

2.00%, 8/01/52

   United States        24,446,706        19,191,512  

2.50%, 4/01/37

   United States        3,378,654        3,055,226  

2.50%, 4/01/37

   United States        1,351,992        1,221,069  

2.50%, 5/01/37

   United States        3,572,472        3,228,828  

2.50%, 9/01/51

   United States        2,051,055        1,676,326  

2.50%, 1/01/52

   United States        603,600        493,310  

2.50%, 3/01/52

   United States        6,468,072        5,300,147  

2.50%, 4/01/52

   United States        15,043,775        12,323,805  

3.00%, 4/01/37

   United States        431,526        399,285  

3.00%, 6/01/37

   United States        3,734,050        3,455,062  

3.00%, 8/01/37

   United States        479,006        443,218  

3.00%, 9/01/37

   United States        637,719        590,072  

3.00%, 3/01/50

   United States        13,296,841        11,502,238  

3.00%, 3/01/50

   United States        5,099,536        4,409,307  

3.00%, 10/01/51

   United States        576,417        490,761  

3.00%, 7/01/52

   United States        3,188,619        2,716,593  

3.00%, 7/01/52

   United States        394,904        336,148  

3.50%, 2/01/47

   United States        1,311,248        1,183,340  

3.50%, 2/01/47

   United States        2,506,076        2,269,798  

3.50%, 3/01/48

   United States        1,580,792        1,429,434  

3.50%, 3/01/48

   United States        3,207,744        2,914,511  

3.50%, 4/01/52

   United States        2,918,809        2,586,194  

3.50%, 5/01/52

   United States        6,729,267        5,962,448  

3.50%, 6/01/52

   United States        4,741,227        4,200,197  

3.50%, 12/01/52

   United States        3,035,488        2,689,326  

4.00%, 11/01/37

   United States        4,850,821        4,668,563  

4.00%, 11/01/45

   United States        2,254,678        2,111,817  

4.00%, 6/01/48

   United States        4,623,194        4,323,408  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

4.00%, 5/01/50

   United States        5,000,464        4,675,932  

4.00%, 9/01/52

   United States        4,444,020        4,068,521  

4.00%, 10/01/52

   United States        3,418,756        3,129,875  

4.00%, 5/01/53

   United States        4,496,062        4,117,673  

4.00%, 11/01/53

   United States        3,519,287        3,221,927  

4.00%, 1/01/54

   United States        3,722,279        3,408,071  

4.50%, 8/01/52

   United States        662,910        625,288  

4.50%, 10/01/52

   United States        5,739,387        5,417,353  

4.50%, 5/01/54

   United States        3,244,844        3,059,896  

5.00%, 7/01/54

   United States        1,603,000        1,549,738  

Federal National Mortgage Association,

          

1.50%, 9/01/51

   United States        4,067,839        3,055,228  

2.00%, 5/01/36

   United States        9,432,841        8,344,546  

2.00%, 4/01/37

   United States        4,284,263        3,767,095  

2.00%, 4/01/37

   United States        411,585        361,836  

2.00%, 7/01/51

   United States        20,480,797        16,103,121  

2.00%, 8/01/51

   United States        13,457,100        10,580,362  

2.00%, 2/01/52

   United States        2,945,516        2,306,131  

2.00%, 2/01/52

   United States        1,469,023        1,151,533  

2.00%, 3/01/52

   United States        18,608,450        14,606,621  

2.50%, 7/01/37

   United States        3,928,240        3,559,477  

2.50%, 4/01/51

   United States        24,977,655           20,562,027  

2.50%, 7/01/51

   United States        6,656,328        5,469,889  

2.50%, 8/01/51

   United States        4,162,226        3,419,260  

2.50%, 12/01/51

   United States        14,800,369        12,139,704  

2.50%, 12/01/51

   United States        4,920,515        4,021,838  

2.50%, 2/01/52

   United States        1,511,497        1,239,065  

2.50%, 3/01/52

   United States        10,843,241        8,877,716  

2.50%, 4/01/52

   United States        4,879,302        3,997,554  

3.00%, 9/01/37

   United States        478,677        442,913  

3.00%, 9/01/37

   United States        3,911,918        3,636,156  

3.00%, 10/01/37

   United States        4,147,931        3,838,020  

3.00%, 4/01/50

   United States        5,392,728        4,687,917  

3.00%, 9/01/50

   United States        4,429,262        3,823,902  

3.00%, 11/01/51

   United States        4,967,995        4,248,279  

3.00%, 2/01/52

   United States        529,602        450,861  

3.00%, 3/01/52

   United States        4,847,938        4,126,994  

3.00%, 3/01/52

   United States        703,371        598,781  

3.00%, 5/01/52

   United States        4,793,706        4,085,104  

3.00%, 5/01/52

   United States        4,014,850        3,420,344  

3.50%, 6/01/49

   United States        555,625        499,900  

3.50%, 8/01/49

   United States        8,822,057        7,913,663  

3.50%, 11/01/52

   United States        4,450,794        3,943,350  

4.00%, 2/01/49

   United States        363,381        341,145  

4.00%, 1/01/54

   United States        4,014,439        3,674,730  

4.00%, 4/01/54

   United States        4,411,515        4,038,190  

4.50%, 7/01/47

   United States        4,782,530        4,618,251  

4.50%, 5/01/48

   United States        2,420,626        2,331,238  

4.50%, 12/01/48

   United States        3,343,955        3,203,932  

4.50%, 2/01/50

   United States        1,446,900        1,387,098  

4.50%, 11/01/52

   United States        6,418,406        6,056,502  

5.00%, 10/01/52

   United States        3,266,981        3,164,324  

5.00%, 1/01/53

   United States        5,370,286        5,201,539  

5.00%, 5/01/53

   United States        3,349,129        3,238,540  

5.00%, 8/01/53

   United States        4,412,970        4,268,386  

5.50%, 5/01/53

   United States        8,439,194        8,330,091  

6.00%, 8/01/53

   United States        13,965,622        14,016,948  

Government National Mortgage Association,

          

2.00%, 10/20/50

   United States        12,778,196        10,355,266  

2.00%, 4/20/52

   United States        4,878,433        3,952,999  

2.00%, 5/20/52

   United States        10,234,963        8,293,392  

2.00%, 6/20/52

   United States        4,913,658        3,981,556  

2.50%, 4/20/52

   United States        8,581,341        7,217,056  

2.50%, 6/20/52

   United States        4,902,906        4,123,430  

3.50%, 10/20/47

   United States        6,285,425        5,703,135  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

4.00%, 6/20/52

   United States        6,710,952        6,208,205  

5.00%, 9/20/53

   United States        3,207,112        3,123,642  

5.50%, 5/20/53

   United States        7,214,334        7,165,162  

6.00%, 4/20/54

   United States        11,432,708        11,490,243  

6.00%, 6/20/54

   United States        3,880,000        3,899,526  

6.50%, 4/20/54

   United States        2,201,414        2,235,018  

6.50%, 5/20/54

   United States        11,544,116        11,720,339  

U.S. Treasury Bonds,

          

1.125%, 5/15/40

   United States        1,850,000        1,139,123  

1.125%, 8/15/40

   United States        21,200,000        12,916,266  

1.25%, 5/15/50

   United States        22,465,000        11,138,603  

1.375%, 8/15/50

   United States        68,475,000        35,054,653  

1.875%, 2/15/51

   United States        2,100,000        1,226,777  

2.00%, 11/15/41

   United States        39,050,000        26,842,299  

2.00%, 2/15/50

   United States        17,200,000        10,449,672  

2.00%, 8/15/51

   United States        4,900,000        2,944,594  

2.25%, 8/15/46

   United States        10,314,000        6,877,343  

2.25%, 8/15/49

   United States        2,050,000        1,325,373  

2.75%, 8/15/42

   United States        22,450,000        17,274,223  

2.75%, 11/15/42

   United States        12,800,000        9,813,500  

2.75%, 11/15/47

   United States        9,420,000        6,851,578  

3.00%, 11/15/44

   United States        5,795,000        4,527,570  

3.00%, 2/15/49

   United States        27,743,000        21,019,657  

3.625%, 2/15/53

   United States        14,600,000        12,423,117  

3.625%, 5/15/53

   United States        450,000        383,010  

U.S. Treasury Notes,

          

0.375%, 11/30/25

   United States        82,150,000        77,078,200  

0.375%, 1/31/26

   United States        63,700,000        59,374,123  

0.875%, 6/30/26

   United States        73,300,000        68,008,656  

1.25%, 12/31/26

   United States        83,300,000        76,800,323  

1.25%, 8/15/31

   United States        14,160,000        11,494,214  

1.375%, 11/15/31

   United States        2,400,000        1,952,719  

1.50%, 10/31/24

   United States        70,000,000        69,102,430  

2.25%, 8/15/27

   United States        6,800,000        6,354,680  

2.75%, 8/15/32

   United States        19,400,000        17,266,379  

3.25%, 6/30/27

   United States        78,565,000        75,816,759  

3.50%, 4/30/28

   United States        7,500,000        7,255,518  

3.75%, 5/31/30

   United States        11,000,000        10,654,531  

4.00%, 10/31/29

   United States        36,300,000        35,693,109  

4.125%, 7/31/28

   United States        12,700,000        12,567,295  

4.375%, 5/15/34

   United States        6,900,000        6,902,695  
          

 

 

 

Total U.S. Government & Agency Securities
(Cost $1,302,155,982)

             1,224,223,983  
          

 

 

 

Municipal Bonds 1.0%

          

California 0.9%

          

Golden State Tobacco Securitization Corp., Subordinate Bond, Refunding, Series 2021, 3.85%, 6/01/50

   United States        5,340,000        5,011,813  

San Bernardino Community College District,

          

Refunding, 2.686%, 8/01/41

   United States        6,140,000        4,486,607  

Refunding, 2.856%, 8/01/49

   United States        3,575,000        2,382,005  

Whittier City School District, Refunding, 3.306%, 8/01/43

   United States        7,500,000        5,928,272  
          

 

 

 
             17,808,697  
          

 

 

 

Ohio 0.1%

          

Greenville City School District, Refunding, 3.541%, 1/01/51

   United States        1,295,000        1,002,085  
          

 

 

 

Total Municipal Bonds (Cost $23,708,414)

             18,810,782  
          

 

 

 

Foreign Government and Agency Securities 0.8%

          

Chile Government International Bonds, 3.500%, 1/25/50

   Chile        1,100,000        794,030  

Peru Government International Bonds, 2.783%, 1/23/31

   Peru        5,850,000        5,037,164  

a African Export-Import Bank, 3.994%, 9/21/29

   Supranational        6,100,000        5,483,040  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Banque Ouest Africaine de Developpement, 5.000%, 7/27/27

   Supranational        3,800,000        3,637,431  
          

 

 

 

Total Foreign Government and Agency Securities
(Cost $17,368,994)

             14,951,665  
          

 

 

 

Asset-Backed Security 0.3%

          

a New Economy Assets Phase 1 Sponsor LLC, Series 2021-1, Class A1, 1.91%, 10/20/61

   United States        6,660,000        5,938,106  
          

 

 

 

Total Asset-Backed Securities (Cost $6,604,458)

             5,938,106  
          

 

 

 

Commercial Mortgage- Backed Securities 1.7%

          

Bank,

          

Series 2021-BN33, Class A5, 2.556%, 5/15/64

   United States        2,780,000        2,345,079  

b Series 2022-BN40, Class A4, 3.506%, 3/15/64

   United States        2,800,000        2,467,306  

Benchmark Mortgage Trust,

          

Series 2021-B31, Class A5, 2.669%, 12/15/54

   United States        2,780,000        2,328,829  

b Series 2022-B32, Class A5, 3.002%, 1/15/55

   United States        5,560,000        4,643,456  

b Series 2023-V3, Class A3, 6.363%, 7/15/56

   United States        540,000        557,764  

BX Commercial Mortgage Trust,

          

a,b Series 2021-VOLT, Class B, 1 mo. USD Term SOFR + 1.06%, 6.393%, 9/15/36

   United States        3,190,000        3,146,157  

a,b Series 2022-LP2, Class A, 1 mo. USD Term SOFR + 1.01%, 6.342%, 2/15/39

   United States        2,530,336        2,504,104  

a,b BX Mortgage Trust, Series 2021-PAC, Class A, 1 mo. USD Term SOFR + 0.80%, 6.133%, 10/15/36

   United States        3,090,000        3,052,808  

a,b BX Trust, Series 2022-IND, Class A, 1 mo. USD Term SOFR + 1.49%, 6.82%, 4/15/37

   United States        3,785,950        3,779,166  

a,b DBCG Mortgage Trust, Series 2017-BBG, Class A, 8.50%, 6/15/34

   United States        7,007,049        7,006,635  
          

 

 

 

Total Commercial Mortgage- Backed Securities
(Cost $33,791,332)

             31,831,304  
          

 

 

 

Total Investments before Short-Term Investments (Cost $1,974,539,857)

             1,855,661,735  
          

 

 

 

Short-Term Investments 2.8%

          

Money Market Funds 2.8%

          

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   United States        53,609,580        53,609,580  
          

 

 

 

Total Short-Term Investments (Cost $53,609,580)

             53,609,580  
          

 

 

 

Total Investments (Cost $2,028,149,437) 99.9%

             1,909,271,315  

Other Assets, less Liabilities 0.1%

             2,638,764  
          

 

 

 

Net Assets 100.0%

           $ 1,911,910,079  
          

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $132,162,041, representing 6.9% of net assets.

bVariable rate security. The rate shown represents the yield at period end.

cThe rate shown is the annualized seven-day effective yield at period end.

dSee Note 3 regarding investments in affiliated management investment companies.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding. 

Futures Contracts 

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Interest rate contracts

                 

U.S. Treasury 10 Yr. Note

     Long        37        $ 4,069,422        9/19/24           $ 69,323  

U.S. Treasury 2 Yr. Note

     Long        238        48,604,063        9/30/24           187,942  

U.S. Treasury 5 Yr. Note

     Long        514        54,781,156        9/30/24           619,543  

U.S. Treasury Ultra 10 Yr. (CBT)

     Long        5        567,656        9/19/24                   1,946  
                 

 

 

 

Total Futures Contracts

                    $878,754  
                 

 

 

 

*As of period end.

Abbreviations

Selected Portfolio

 

FRN   – Floating Rate Note
REIT   – Real Estate Investment Trust
SOFR   – Secured Overnight Financing Rate


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin U.S. Core Dividend Tilt Index ETF    Industry      Shares      Value  

Common Stocks 99.8%

          

Brazil 0.3%

          

a MercadoLibre, Inc.

   Broadline Retail        90      $ 147,906  
          

 

 

 

Netherlands 0.4%

          

NXP Semiconductors NV

   Semiconductors & Semiconductor Equipment        884        237,875  
          

 

 

 

Russia 0.0%

          

b Tatneft PJSC

   Oil, Gas & Consumable Fuels        15,990         
          

 

 

 
          

United Kingdom 0.1%

          

CNH Industrial NV

   Machinery        3,328        33,713  
          

 

 

 

United States 99.0%

          

3M Co.

   Industrial Conglomerates        1,950        199,270  

Abbott Laboratories

   Health Care Equipment & Supplies        2,574        267,464  

AbbVie, Inc.

   Biotechnology        3,666        628,792  

Accenture PLC, Class A

   IT Services        780        236,660  

a Adobe, Inc.

   Software        442        245,549  

a Advanced Micro Devices, Inc.

   Semiconductors & Semiconductor Equipment        1,924        312,092  

AES Corp.

   Independent Power Producers & Energy Traders        2,241        39,374  

Air Products & Chemicals, Inc.

   Chemicals        364        93,930  

Alexandria Real Estate Equities, Inc.

   Health Care REITs        567        66,322  

Alliant Energy Corp.

   Electric Utilities        936        47,642  

Allstate Corp.

   Insurance        286        45,663  

Alphabet, Inc., Class A

   Interactive Media & Services        6,084          1,108,201  

Alphabet, Inc., Class C

   Interactive Media & Services        5,408        991,935  

Altria Group, Inc.

   Tobacco        6,162        280,679  

a Amazon.com, Inc.

   Broadline Retail        10,530        2,034,922  

Amcor PLC

   Containers & Packaging        5,110        49,976  

Ameren Corp.

   Multi-Utilities        208        14,791  

American Electric Power Co., Inc.

   Electric Utilities        1,924        168,812  

American Tower Corp.

   Specialized REITs        1,144        222,371  

Amgen, Inc.

   Biotechnology        1,300        406,185  

Analog Devices, Inc.

   Semiconductors & Semiconductor Equipment        1,430        326,412  

Annaly Capital Management, Inc.

   Mortgage Real Estate Investment Trusts (REITs)        1,782        33,965  

APA Corp.

   Oil, Gas & Consumable Fuels        1,404        41,334  

Apollo Global Management, Inc.

   Financial Services        1,352        159,631  

Apple, Inc.

   Technology Hardware, Storage & Peripherals        14,924        3,143,293  

Applied Materials, Inc.

   Semiconductors & Semiconductor Equipment        1,118        263,837  

ARES Management Corp., Class A

   Capital Markets        594        79,168  

a Arista Networks, Inc.

   Communications Equipment        390        136,687  

AT&T, Inc.

   Diversified Telecommunication Services        24,128        461,086  

Automatic Data Processing, Inc.

   Professional Services        260        62,059  

AvalonBay Communities, Inc.

   Residential REITs        494        102,204  

Avangrid, Inc.

   Electric Utilities        252        8,954  

Baker Hughes Co.

   Energy Equipment & Services        1,560        54,865  

Bank of America Corp.

   Banks        8,019        318,916  

Bank of New York Mellon Corp.

   Capital Markets        2,704        161,943  

Baxter International, Inc.

   Health Care Equipment & Supplies        1,846        61,749  

Becton Dickinson & Co.

   Health Care Equipment & Supplies        26        6,076  

Bentley Systems, Inc., Class B

   Software        56        2,764  

a Berkshire Hathaway, Inc., Class B

   Financial Services        312        126,922  

Best Buy Co., Inc.

   Specialty Retail        676        56,980  

BlackRock, Inc.

   Capital Markets        508        399,959  

Blackstone, Inc.

   Capital Markets        2,470        305,786  

a Block, Inc.

   Financial Services        297        19,154  

Boston Properties, Inc.

   Office REITs        546        33,612  

Bristol-Myers Squibb Co.

   Pharmaceuticals        7,020        291,541  

Broadcom, Inc.

   Semiconductors & Semiconductor Equipment        610        979,373  

Broadridge Financial Solutions, Inc.

   Professional Services        416        81,952  

a Cadence Design Systems, Inc.

   Software        286        88,016  

Camden Property Trust

   Residential REITs        364        39,716  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Campbell Soup Co.

   Food Products        728        32,898  

Cardinal Health, Inc.

   Health Care Providers & Services        108        10,619  

Carlyle Group, Inc.

   Capital Markets        806        32,361  

Caterpillar, Inc.

   Machinery        364            121,248  

Chevron Corp.

   Oil, Gas & Consumable Fuels        4,004        626,306  

a Chipotle Mexican Grill, Inc.

   Hotels, Restaurants & Leisure        1,150        72,047  

Cigna Group

   Health Care Providers & Services        54        17,851  

Cincinnati Financial Corp.

   Insurance        540        63,774  

Cisco Systems, Inc.

   Communications Equipment        8,736        415,047  

Citigroup, Inc.

   Banks        6,604        419,090  

Citizens Financial Group, Inc.

   Banks        1,612        58,080  

Clorox Co.

   Household Products        442        60,320  

a Cloudflare, Inc., Class A

   IT Services        416        34,457  

CME Group, Inc.

   Capital Markets        1,323        260,102  

CMS Energy Corp.

   Multi-Utilities        962        57,268  

Coca-Cola Co.

   Beverages        7,228        460,062  

a Coinbase Global, Inc., Class A

   Capital Markets        234        52,002  

Colgate-Palmolive Co.

   Household Products        312        30,276  

Comcast Corp., Class A

   Media        4,940        193,450  

Conagra Brands, Inc.

   Food Products        1,768        50,247  

ConocoPhillips

   Oil, Gas & Consumable Fuels        1,326        151,668  

Consolidated Edison, Inc.

   Multi-Utilities        1,274        113,921  

Corebridge Financial, Inc.

   Financial Services        832        24,228  

Corning, Inc.

   Electronic Equipment, Instruments & Components        2,678        104,040  

Costco Wholesale Corp.

   Consumer Staples Distribution & Retail        176        149,598  

Coterra Energy, Inc., Class A

   Oil, Gas & Consumable Fuels        2,730        72,809  

CRH PLC

   Construction Materials        884        66,282  

a Crowdstrike Holdings, Inc., Class A

   Software        442        169,370  

Crown Castle, Inc.

   Specialized REITs        1,586        154,952  

Cummins, Inc.

   Machinery        494        136,803  

CVS Health Corp.

   Health Care Providers & Services        3,952        233,405  

Darden Restaurants, Inc.

   Hotels, Restaurants & Leisure        442        66,883  

a Datadog, Inc., Class A

   Software        390        50,579  

Dell Technologies, Inc., Class C

   Technology Hardware, Storage & Peripherals        390        53,785  

Devon Energy Corp.

   Oil, Gas & Consumable Fuels        2,340        110,916  

Diamondback Energy, Inc.

   Oil, Gas & Consumable Fuels        621        124,318  

Digital Realty Trust, Inc.

   Specialized REITs        1,014        154,179  

Discover Financial Services

   Consumer Finance        442        57,818  

Dominion Energy, Inc.

   Multi-Utilities        3,172        155,428  

Dow, Inc.

   Chemicals        2,548        135,171  

DTE Energy Co.

   Multi-Utilities        728        80,815  

Duke Energy Corp.

   Electric Utilities        2,730        273,628  

a Dynatrace, Inc.

   Software        416        18,612  

East West Bancorp, Inc.

   Banks        520        38,080  

Eastman Chemical Co.

   Chemicals        416        40,756  

Eaton Corp. PLC

   Electrical Equipment        650        203,807  

eBay, Inc.

   Broadline Retail        1,296        69,621  

Edison International

   Electric Utilities        1,430        102,688  

Eli Lilly & Co.

   Pharmaceuticals        936        847,436  

Emerson Electric Co.

   Electrical Equipment        780        85,925  

Entegris, Inc.

   Semiconductors & Semiconductor Equipment        84        11,374  

Entergy Corp.

   Electric Utilities        780        83,460  

EOG Resources, Inc.

   Oil, Gas & Consumable Fuels        260        32,726  

Equinix, Inc.

   Specialized REITs        144        108,950  

Equity LifeStyle Properties, Inc.

   Residential REITs        676        44,028  

Equity Residential

   Residential REITs        1,196        82,931  

Essex Property Trust, Inc.

   Residential REITs        208        56,618  

Estee Lauder Cos., Inc., Class A

   Personal Care Products        286        30,430  

Evergy, Inc.

   Electric Utilities        832        44,071  

Eversource Energy

   Electric Utilities        1,242        70,434  

Exelon Corp.

   Electric Utilities        3,718        128,680  

Extra Space Storage, Inc.

   Specialized REITs        702        109,098  

Exxon Mobil Corp.

   Oil, Gas & Consumable Fuels        6,032        694,404  

Fastenal Co.

   Trading Companies & Distributors        2,080        130,707  

FedEx Corp.

   Air Freight & Logistics        156        46,775  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Fidelity National Financial, Inc.

   Insurance        936        46,257  

Fidelity National Information Services, Inc.

   Financial Services        1,118        84,252  

Fifth Third Bancorp

   Banks        2,496        91,079  

FirstEnergy Corp.

   Electric Utilities        1,924        73,631  

Ford Motor Co.

   Automobiles        14,040        176,062  

Franklin Resources, Inc.

   Capital Markets        1,066        23,825  

Garmin Ltd.

   Household Durables        520        84,718  

Gen Digital, Inc.

   Software        1,485        37,095  

General Dynamics Corp.

   Aerospace & Defense        104        30,175  

General Mills, Inc.

   Food Products        2,106        133,226  

Genuine Parts Co.

   Distributors        338        46,752  

Gilead Sciences, Inc.

   Biotechnology        4,420        303,256  

Goldman Sachs Group, Inc.

   Capital Markets        546        246,967  

Healthpeak Properties, Inc.

   Health Care REITs        2,574        50,450  

Hewlett Packard Enterprise Co.

   Technology Hardware, Storage & Peripherals        2,288        48,437  

Home Depot, Inc.

   Specialty Retail        1,534        528,064  

Honeywell International, Inc.

   Industrial Conglomerates        468        99,937  

Hormel Foods Corp.

   Food Products        1,040        31,710  

Host Hotels & Resorts, Inc.

   Hotel & Resort REITs        2,496        44,878  

HP, Inc.

   Technology Hardware, Storage & Peripherals        2,964        103,799  

Hubbell, Inc., Class B

   Electrical Equipment        84        30,700  

a HubSpot, Inc.

   Software        112        66,056  

Huntington Bancshares, Inc.

   Banks        5,746        75,732  

Illinois Tool Works, Inc.

   Machinery        884        209,473  

Intel Corp.

   Semiconductors & Semiconductor Equipment        5,798        179,564  

International Business Machines Corp.

   IT Services        2,678        463,160  

International Flavors & Fragrances, Inc.

   Chemicals        884        84,166  

International Paper Co.

   Containers & Packaging        1,222        52,729  

Interpublic Group of Cos., Inc.

   Media        1,404        40,842  

Intuit, Inc.

   Software        416        273,399  

a Intuitive Surgical, Inc.

   Health Care Equipment & Supplies        156        69,397  

Invitation Homes, Inc.

   Residential REITs        2,028        72,785  

Iron Mountain, Inc.

   Specialized REITs        962        86,214  

J M Smucker Co.

   Food Products        390        42,526  

Johnson & Johnson

   Pharmaceuticals        4,732        691,629  

Johnson Controls International PLC

   Building Products        1,612        107,150  

JPMorgan Chase & Co.

   Banks        3,588        725,709  

Juniper Networks, Inc.

   Communications Equipment        1,170        42,658  

Kellanova

   Food Products        972        56,065  

Kenvue, Inc.

   Personal Care Products        6,630        120,533  

KeyCorp

   Banks        3,484        49,508  

Kimberly-Clark Corp.

   Household Products        1,170        161,694  

Kimco Realty Corp.

   Retail REITs        2,484        48,339  

Kinder Morgan, Inc.

   Oil, Gas & Consumable Fuels        6,838        135,871  

KKR & Co., Inc.

   Capital Markets        286        30,099  

KLA Corp.

   Semiconductors & Semiconductor Equipment        260        214,373  

Kraft Heinz Co.

   Food Products        3,406        109,741  

Lam Research Corp.

   Semiconductors & Semiconductor Equipment        234        249,175  

Linde PLC

   Chemicals        182        79,863  

LKQ Corp.

   Distributors        546        22,708  

Lockheed Martin Corp.

   Aerospace & Defense        78        36,434  

Lowe’s Cos., Inc.

   Specialty Retail        624        137,567  

LyondellBasell Industries NV, Class A

   Chemicals        962        92,025  

M&T Bank Corp.

   Banks        624        94,449  

Marvell Technology, Inc.

   Semiconductors & Semiconductor Equipment        832        58,157  

Masco Corp.

   Building Products        196        13,067  

Mastercard, Inc., Class A

   Financial Services        312        137,642  

McDonald’s Corp.

   Hotels, Restaurants & Leisure        468        119,265  

Medtronic PLC

   Health Care Equipment & Supplies        3,900        306,969  

Merck & Co., Inc.

   Pharmaceuticals        3,874        479,601  

Meta Platforms, Inc., Class A

   Interactive Media & Services        2,273          1,146,092  

MetLife, Inc.

   Insurance        806        56,573  

Microchip Technology, Inc.

   Semiconductors & Semiconductor Equipment        1,872        171,288  

Micron Technology, Inc.

   Semiconductors & Semiconductor Equipment        936        123,112  

Microsoft Corp.

   Software        8,554        3,823,210  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Mid-America Apartment Communities, Inc.

   Residential REITs        416        59,326  

Molson Coors Beverage Co., Class B

   Beverages        520        26,432  

a MongoDB, Inc.

   IT Services        182        45,493  

Monolithic Power Systems, Inc.

   Semiconductors & Semiconductor Equipment        114        93,672  

Morgan Stanley

   Capital Markets        3,952        384,095  

MSCI, Inc.

   Capital Markets        232        111,766  

NetApp, Inc.

   Technology Hardware, Storage & Peripherals        598        77,022  

a Netflix, Inc.

   Entertainment        461        311,120  

Newmont Corp.

   Metals & Mining        3,718        155,673  

NextEra Energy, Inc.

   Electric Utilities        910        64,437  

NIKE, Inc., Class B

   Textiles, Apparel & Luxury Goods        962        72,506  

NiSource, Inc.

   Multi-Utilities        1,638        47,191  

Norfolk Southern Corp.

   Ground Transportation        156        33,492  

Northern Trust Corp.

   Capital Markets        728        61,137  

NRG Energy, Inc.

   Electric Utilities        364        28,341  

NVIDIA Corp.

   Semiconductors & Semiconductor Equipment        24,856          3,070,710  

a Okta, Inc.

   IT Services        140        13,105  

Omnicom Group, Inc.

   Media        728        65,302  

ONEOK, Inc.

   Oil, Gas & Consumable Fuels        2,080        169,624  

Oracle Corp.

   Software        1,742        245,970  

Packaging Corp. of America

   Containers & Packaging        312        56,959  

a Palantir Technologies, Inc., Class A

   Software        3,120        79,030  

a Palo Alto Networks, Inc.

   Software        390        132,214  

Parker-Hannifin Corp.

   Machinery        54        27,314  

Paychex, Inc.

   Professional Services        1,118        132,550  

PepsiCo, Inc.

   Beverages        2,184        360,207  

Pfizer, Inc.

   Pharmaceuticals        16,744        468,497  

Philip Morris International, Inc.

   Tobacco        4,446        450,513  

Phillips 66

   Oil, Gas & Consumable Fuels        910        128,465  

PNC Financial Services Group, Inc.

   Banks        1,456        226,379  

PPL Corp.

   Electric Utilities        2,730        75,484  

Principal Financial Group, Inc.

   Insurance        864        67,781  

Procter & Gamble Co.

   Household Products        2,808        463,095  

Prologis, Inc.

   Industrial REITs        2,366        265,725  

Prudential Financial, Inc.

   Insurance        1,352        158,441  

Public Service Enterprise Group, Inc.

   Multi-Utilities        1,560        114,972  

Public Storage

   Specialized REITs        546        157,057  

QUALCOMM, Inc.

   Semiconductors & Semiconductor Equipment        2,184        435,009  

Realty Income Corp.

   Retail REITs        3,120        164,798  

Regency Centers Corp.

   Retail REITs        598        37,196  

Regions Financial Corp.

   Banks        3,380        67,735  

Rockwell Automation, Inc.

   Electrical Equipment        390        107,359  

Royalty Pharma PLC, Class A

   Pharmaceuticals        448        11,814  

RTX Corp.

   Aerospace & Defense        1,040        104,406  

Salesforce, Inc.

   Software        936        240,646  

Schlumberger NV

   Energy Equipment & Services        754        35,574  

Seagate Technology Holdings PLC

   Technology Hardware, Storage & Peripherals        650        67,126  

a ServiceNow, Inc.

   Software        286        224,988  

Simon Property Group, Inc.

   Retail REITs        1,066        161,819  

Sirius XM Holdings, Inc.

   Media        2,392        6,769  

Skyworks Solutions, Inc.

   Semiconductors & Semiconductor Equipment        520        55,422  

Snap-on, Inc.

   Machinery        189        49,403  

a Snowflake, Inc., Class A

   IT Services        468        63,222  

Southern Co.

   Electric Utilities        3,718        288,405  

Southern Copper Corp.

   Metals & Mining        338        36,416  

Southwest Airlines Co.

   Passenger Airlines        2,002        57,277  

Stanley Black & Decker, Inc.

   Machinery        520        41,543  

Starbucks Corp.

   Hotels, Restaurants & Leisure        2,727        212,297  

State Street Corp.

   Capital Markets        1,144        84,656  

Stryker Corp.

   Health Care Equipment & Supplies        104        35,386  

Sun Communities, Inc.

   Residential REITs        442        53,190  

a Super Micro Computer, Inc.

   Technology Hardware, Storage & Peripherals        78        63,909  

a Synopsys, Inc.

   Software        130        77,358  

Sysco Corp.

   Consumer Staples Distribution & Retail        1,352        96,519  

T Rowe Price Group, Inc.

   Capital Markets        783        90,288  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Target Corp.

     Consumer Staples Distribution & Retail          728        107,773  

TE Connectivity Ltd.

     Electronic Equipment, Instruments & Components          140        21,060  

a Tesla, Inc.

     Automobiles          2,938        581,371  

Texas Instruments, Inc.

     Semiconductors & Semiconductor Equipment          2,418        470,374  

Tractor Supply Co.

     Specialty Retail          104        28,080  

a Trade Desk, Inc., Class A

     Media          312        30,473  

Trane Technologies PLC

     Building Products          27        8,881  

Truist Financial Corp.

     Banks          4,862        188,889  

Tyson Foods, Inc., Class A

     Food Products          1,040        59,426  

U.S. Bancorp

     Banks          5,694        226,052  

a Uber Technologies, Inc.

     Ground Transportation          2,210        160,623  

UDR, Inc.

     Residential REITs          1,066        43,866  

Union Pacific Corp.

     Ground Transportation          754        170,600  

United Parcel Service, Inc., Class B

     Air Freight & Logistics          2,652        362,926  

UnitedHealth Group, Inc.

     Health Care Providers & Services          884        450,186  

Valero Energy Corp.

     Oil, Gas & Consumable Fuels          312        48,909  

Ventas, Inc.

     Health Care REITs          1,456        74,635  

Verizon Communications, Inc.

     Diversified Telecommunication Services          11,960        493,230  

Vertiv Holdings Co., Class A

     Electrical Equipment          754        65,274  

Viatris, Inc.

     Pharmaceuticals          4,264        45,326  

VICI Properties, Inc.

     Specialized REITs          3,718        106,484  

Visa, Inc., Class A

     Financial Services          675        177,167  

Walgreens Boots Alliance, Inc.

     Consumer Staples Distribution & Retail          2,619        31,677  

Walmart, Inc.

     Consumer Staples Distribution & Retail          216        14,625  

Walt Disney Co.

     Entertainment          810        80,425  

Watsco, Inc.

     Trading Companies & Distributors          130        60,221  

WEC Energy Group, Inc.

     Multi-Utilities          1,144        89,758  

Wells Fargo & Co.

     Banks          3,640        216,180  

Welltower, Inc.

     Health Care REITs          648        67,554  

Westrock Co.

     Containers & Packaging          988        49,657  

Williams Cos., Inc.

     Oil, Gas & Consumable Fuels          4,290        182,325  

a Workday, Inc., Class A

     Software          189        42,253  

WP Carey, Inc.

     Diversified REITs          783        43,104  

Xcel Energy, Inc.

     Electric Utilities          1,976        105,538  

a Zscaler, Inc.

     Software          260        49,969  
          

 

 

 
             54,196,693  
          

 

 

 

Total Common Stocks (Cost $46,132,300)

             54,616,187  
          

 

 

 

Total Investments before Short-Term Investments (Cost $46,132,300)

             54,616,187  
          

 

 

 

Short-Term Investments 0.0%

          

Money Market Funds 0.0%

          

United States 0.0%

          

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

     Money Market Funds          23,071        23,071  
          

 

 

 

Total Short-Term Investments (Cost $23,071)

             23,071  
          

 

 

 

Total Investments (Cost $46,155,371) 99.8%

             54,639,258  

Other Assets, less Liabilities 0.2%

             86,573  
          

 

 

 

Net Assets 100.0%

           $ 54,725,831  
          

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

cThe rate shown is the annualized seven-day effective yield at period end.

dSee Note 3 regarding investments in affiliated management investment companies.


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

 

Futures Contracts

 

                                  
Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

Equity Contracts

                        

S&P 500 E-Mini

     Long        4      $ 110,430        9/20/24          $(520)  

*As of period end.

Abbreviations

Selected Portfolio

 

REIT      Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

   Franklin U.S. Equity Index ETF   Industry   Shares     Value  

Common Stocks 99.9%

     

Brazil 0.2%

     

a MercadoLibre, Inc.

  Broadline Retail     1,161       $     1,907,987  
     

 

 

 

Netherlands 0.1%

     

NXP Semiconductors NV

  Semiconductors & Semiconductor Equipment     6,097       1,640,642  
     

 

 

 

Russia 0.0%

     

b Alrosa PJSC

  Metals & Mining     3,584        

 a,b Gazprom PJSC

  Oil, Gas & Consumable Fuels        15,428        

b GMK Norilskiy Nickel PAO

  Metals & Mining     10,000        

b Inter RAO UES PJSC

  Electric Utilities     53,546        

b LUKOIL PJSC

  Oil, Gas & Consumable Fuels     516        

b Novolipetsk Steel PJSC

  Metals & Mining     2,272        

b PhosAgro PJSC

  Chemicals     73        

a,b PhosAgro PJSC

  Chemicals     2        

a,b Polyus PJSC

  Metals & Mining     50        

b Rosneft Oil Co. PJSC

  Oil, Gas & Consumable Fuels     1,154        

b Severstal PAO

  Metals & Mining     392        

b Surgutneftegas PJSC

  Oil, Gas & Consumable Fuels     8,286        

b Tatneft PJSC

  Oil, Gas & Consumable Fuels     1,974        

a,b United Co. RUSAL International PJSC

  Metals & Mining     1,714        
     

 

 

 
         
     

 

 

 

United Kingdom 0.0%

     

CNH Industrial NV

  Machinery     22,512       228,046  
     

 

 

 

United States 99.6%

     

3M Co.

  Industrial Conglomerates     13,132       1,341,959  

Abbott Laboratories

  Health Care Equipment & Supplies     40,803       4,239,840  

AbbVie, Inc.

  Biotechnology     41,741       7,159,416  

Accenture PLC, Class A

  IT Services     14,539       4,411,278  

a Adobe, Inc.

  Software     10,787       5,992,610  

a Advanced Micro Devices, Inc.

  Semiconductors & Semiconductor Equipment     37,989       6,162,196  

AES Corp.

  Independent Power Producers & Energy Traders     17,353       304,892  

Aflac, Inc.

  Insurance     12,194       1,089,046  

Agilent Technologies, Inc.

  Life Sciences Tools & Services     7,035       911,947  

Air Products & Chemicals, Inc.

  Chemicals     5,159       1,331,280  

a Airbnb, Inc., Class A

  Hotels, Restaurants & Leisure     9,849       1,493,404  

a Akamai Technologies, Inc.

  IT Services     3,752       337,980  

Albemarle Corp.

  Chemicals     2,814       268,793  

Albertsons Cos., Inc., Class A

  Consumer Staples Distribution & Retail     9,849       194,518  

Alexandria Real Estate Equities, Inc.

  Health Care REITs     3,752       438,871  

a Align Technology, Inc.

  Health Care Equipment & Supplies     1,876       452,923  

Allegion PLC

  Building Products     1,876       221,649  

Alliant Energy Corp.

  Electric Utilities     6,097       310,337  

Allstate Corp.

  Insurance     6,097       973,447  

a Alnylam Pharmaceuticals, Inc.

  Biotechnology     2,814       683,802  

Alphabet, Inc., Class A

  Interactive Media & Services     138,824       25,286,792  

Alphabet, Inc., Class C

  Interactive Media & Services     123,816       22,710,331  

Altria Group, Inc.

  Tobacco     40,803       1,858,577  

a Amazon.com, Inc.

  Broadline Retail     221,837       42,870,000  

Amcor PLC

  Containers & Packaging     34,237       334,838  

Ameren Corp.

  Multi-Utilities     6,097       433,558  

American Electric Power Co., Inc.

  Electric Utilities     12,663       1,111,052  

American Express Co.

  Consumer Finance     13,601       3,149,312  

American Financial Group, Inc.

  Insurance     1,876       230,786  

American International Group, Inc.

  Insurance     15,946       1,183,831  

American Tower Corp.

  Specialized REITs     10,787       2,096,777  

American Water Works Co., Inc.

  Water Utilities     4,690       605,760  

Ameriprise Financial, Inc.

  Capital Markets     2,345       1,001,761  

AMETEK, Inc.

  Electrical Equipment     5,159       860,057  

Amgen, Inc.

  Biotechnology     12,663       3,956,554  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Amphenol Corp., Class A

  Electronic Equipment, Instruments & Components        28,140         1,895,792  

Analog Devices, Inc.

  Semiconductors & Semiconductor Equipment     11,725       2,676,348  

Annaly Capital Management, Inc.

  Mortgage Real Estate Investment Trusts (REITs)     11,725       223,478  

a ANSYS, Inc.

  Software     1,876       603,134  

Aon PLC, Class A

  Insurance     5,159       1,514,579  

APA Corp.

  Oil, Gas & Consumable Fuels     8,911       262,340  

Apollo Global Management, Inc.

  Financial Services     9,380       1,107,497  

Apple, Inc.

  Technology Hardware, Storage & Peripherals     340,494           71,714,846  

Applied Materials, Inc.

  Semiconductors & Semiconductor Equipment     19,698       4,648,531  

a Aptiv PLC

  Automobile Components     6,566       462,378  

a Arch Capital Group Ltd.

  Insurance     8,911       899,031  

Archer-Daniels-Midland Co.

  Food Products     11,725       708,776  

ARES Management Corp., Class A

  Capital Markets     4,221       562,575  

a Arista Networks, Inc.

  Communications Equipment     6,097       2,136,877  

Arthur J Gallagher & Co.

  Insurance     5,159       1,337,780  

a Aspen Technology, Inc.

  Software     469       93,157  

AT&T, Inc.

  Diversified Telecommunication Services     167,902       3,208,607  

a Atlassian Corp., Class A

  Software     3,752       663,654  

Atmos Energy Corp.

  Gas Utilities     3,752       437,671  

a Autodesk, Inc.

  Software     5,159       1,276,595  

Automatic Data Processing, Inc.

  Professional Services     9,849       2,350,858  

a AutoZone, Inc.

  Specialty Retail     422       1,250,850  

AvalonBay Communities, Inc.

  Residential REITs     3,283       679,220  

Avangrid, Inc.

  Electric Utilities     1,876       66,654  

a Avantor, Inc.

  Life Sciences Tools & Services     15,477       328,112  

Avery Dennison Corp.

  Containers & Packaging     1,876       410,187  

a Axon Enterprise, Inc.

  Aerospace & Defense     1,876       551,994  

Baker Hughes Co.

  Energy Equipment & Services     23,919       841,231  

Ball Corp.

  Containers & Packaging     7,504       450,390  

Bank of America Corp.

  Banks     160,398       6,379,028  

Bank of New York Mellon Corp.

  Capital Markets     17,822       1,067,360  

Baxter International, Inc.

  Health Care Equipment & Supplies     12,194       407,889  

Becton Dickinson & Co.

  Health Care Equipment & Supplies     7,035       1,644,150  

Bentley Systems, Inc., Class B

  Software     3,283       162,049  

a Berkshire Hathaway, Inc., Class B

  Financial Services     42,679       17,361,817  

Best Buy Co., Inc.

  Specialty Retail     4,221       355,788  

a Biogen, Inc.

  Biotechnology     3,283       761,065  

a BioMarin Pharmaceutical, Inc.

  Biotechnology     4,690       386,128  

Bio-Techne Corp.

  Life Sciences Tools & Services     3,752       268,831  

BlackRock, Inc.

  Capital Markets     3,508       2,761,919  

Blackstone, Inc.

  Capital Markets     16,884       2,090,239  

a Block, Inc.

  Financial Services     13,132       846,883  

a Boeing Co.

  Aerospace & Defense     14,539       2,646,243  

Booking Holdings, Inc.

  Hotels, Restaurants & Leisure     805       3,189,007  

Booz Allen Hamilton Holding Corp.

  Professional Services     2,814       433,075  

Boston Properties, Inc.

  Office REITs     3,752       230,973  

a Boston Scientific Corp.

  Health Care Equipment & Supplies     34,237       2,636,591  

Bristol-Myers Squibb Co.

  Pharmaceuticals     47,369       1,967,235  

Broadcom, Inc.

  Semiconductors & Semiconductor Equipment     10,735       17,235,365  

Broadridge Financial Solutions, Inc.

  Professional Services     2,814       554,358  

Brown & Brown, Inc.

  Insurance     5,628       503,199  

Brown-Forman Corp., Class A

  Beverages     938       41,394  

Brown-Forman Corp., Class B

  Beverages     7,035       303,842  

a Builders FirstSource, Inc.

  Building Products     2,814       389,486  

Bunge Global SA

  Food Products     3,283       350,526  

a Burlington Stores, Inc.

  Specialty Retail     1,407       337,680  

a Cadence Design Systems, Inc.

  Software     6,566       2,020,686  

Camden Property Trust

  Residential REITs     2,345       255,863  

Campbell Soup Co.

  Food Products     4,690       211,941  

Capital One Financial Corp.

  Consumer Finance     8,911       1,233,728  

Cardinal Health, Inc.

  Health Care Providers & Services     5,628       553,345  

Carlyle Group, Inc.

  Capital Markets     4,690       188,304  

a CarMax, Inc.

  Specialty Retail     3,752       275,172  

a Carnival Corp.

  Hotels, Restaurants & Leisure     22,512       421,425  

Carrier Global Corp.

  Building Products     19,698       1,242,550  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Caterpillar, Inc.

  Machinery        11,725              3,905,597  

a CBRE Group, Inc., Class A

  Real Estate Management & Development     7,035       626,889  

CDW Corp.

  Electronic Equipment, Instruments & Components     3,283       734,867  

Celanese Corp.

  Chemicals     2,345       316,317  

Cencora, Inc.

  Health Care Providers & Services     4,221       950,991  

a Centene Corp.

  Health Care Providers & Services     12,663       839,557  

CenterPoint Energy, Inc.

  Multi-Utilities     15,008       464,948  

CF Industries Holdings, Inc.

  Chemicals     4,221       312,861  

a Charles River Laboratories International, Inc.

  Life Sciences Tools & Services     1,407       290,658  

Charles Schwab Corp.

  Capital Markets     33,768       2,488,364  

a Charter Communications, Inc., Class A

  Media     2,345       701,061  

Cheniere Energy, Inc.

  Oil, Gas & Consumable Fuels     5,159       901,948  

Chevron Corp.

  Oil, Gas & Consumable Fuels     40,803       6,382,405  

a Chipotle Mexican Grill, Inc.

  Hotels, Restaurants & Leisure     32,306       2,023,971  

Chubb Ltd.

  Insurance     9,380       2,392,650  

Church & Dwight Co., Inc.

  Household Products     5,628       583,511  

Cigna Group

  Health Care Providers & Services     6,566       2,170,523  

Cincinnati Financial Corp.

  Insurance     3,752       443,111  

Cintas Corp.

  Commercial Services & Supplies     2,070       1,449,538  

Cisco Systems, Inc.

  Communications Equipment     95,207       4,523,285  

Citigroup, Inc.

  Banks     44,555       2,827,460  

Citizens Financial Group, Inc.

  Banks     10,787       388,656  

Clorox Co.

  Household Products     2,814       384,027  

a Cloudflare, Inc., Class A

  IT Services     7,035       582,709  

CME Group, Inc.

  Capital Markets     8,442       1,659,697  

CMS Energy Corp.

  Multi-Utilities     7,035       418,794  

Coca-Cola Co.

  Beverages     92,393       5,880,814  

Cognizant Technology Solutions Corp., Class A

  IT Services     11,725       797,300  

a Coinbase Global, Inc., Class A

  Capital Markets     4,690       1,042,259  

Colgate-Palmolive Co.

  Household Products     19,698       1,911,494  

Comcast Corp., Class A

  Media     92,393       3,618,110  

Conagra Brands, Inc.

  Food Products     10,787       306,567  

ConocoPhillips

  Oil, Gas & Consumable Fuels     27,671       3,165,009  

Consolidated Edison, Inc.

  Multi-Utilities     7,973       712,946  

Constellation Brands, Inc., Class A

  Beverages     3,752       965,315  

Constellation Energy Corp.

  Electric Utilities     7,504       1,502,826  

Cooper Cos., Inc.

  Health Care Equipment & Supplies     4,690       409,437  

a Copart, Inc.

  Commercial Services & Supplies     20,636       1,117,646  

Corebridge Financial, Inc.

  Financial Services     5,628       163,887  

Corning, Inc.

  Electronic Equipment, Instruments & Components     18,291       710,605  

a Corpay, Inc.

  Financial Services     1,407       374,839  

Corteva, Inc.

  Chemicals     16,884       910,723  

a CoStar Group, Inc.

  Real Estate Management & Development     9,849       730,205  

Costco Wholesale Corp.

  Consumer Staples Distribution & Retail     10,485       8,912,145  

Coterra Energy, Inc., Class A

  Oil, Gas & Consumable Fuels     17,822       475,313  

a Coupang, Inc.

  Broadline Retail     27,671       579,707  

CRH PLC

  Construction Materials     15,946       1,195,631  

a Crowdstrike Holdings, Inc., Class A

  Software     5,628       2,156,593  

Crown Castle, Inc.

  Specialized REITs     10,318       1,008,069  

Crown Holdings, Inc.

  Containers & Packaging     2,814       209,333  

CSX Corp.

  Ground Transportation     45,962       1,537,429  

Cummins, Inc.

  Machinery     3,283       909,161  

CVS Health Corp.

  Health Care Providers & Services     29,547       1,745,046  

Danaher Corp.

  Life Sciences Tools & Services     15,946       3,984,108  

Darden Restaurants, Inc.

  Hotels, Restaurants & Leisure     2,814       425,814  

a Datadog, Inc., Class A

  Software     7,035       912,369  

a Dayforce, Inc.

  Professional Services     3,283       162,837  

a Deckers Outdoor Corp.

  Textiles, Apparel & Luxury Goods     612       592,385  

Deere & Co.

  Machinery     6,097       2,278,022  

Dell Technologies, Inc., Class C

  Technology Hardware, Storage & Peripherals     6,097       840,837  

Delta Air Lines, Inc.

  Passenger Airlines     15,477       734,229  

Devon Energy Corp.

  Oil, Gas & Consumable Fuels     15,008       711,379  

a Dexcom, Inc.

  Health Care Equipment & Supplies     9,380       1,063,504  

Diamondback Energy, Inc.

  Oil, Gas & Consumable Fuels     4,221       845,002  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Digital Realty Trust, Inc.

  Specialized REITs     7,504              1,140,983  

Discover Financial Services

  Consumer Finance     6,097       797,549  

a DocuSign, Inc.

  Software     4,690       250,915  

Dollar General Corp.

  Consumer Staples Distribution & Retail     5,159       682,175  

a Dollar Tree, Inc.

  Consumer Staples Distribution & Retail     5,159       550,826  

Dominion Energy, Inc.

  Multi-Utilities        19,698       965,202  

Domino’s Pizza, Inc.

  Hotels, Restaurants & Leisure     938       484,318  

a DoorDash, Inc., Class A

  Hotels, Restaurants & Leisure     7,504       816,285  

Dover Corp.

  Machinery     3,283       592,417  

Dow, Inc.

  Chemicals     16,884       895,696  

DR Horton, Inc.

  Household Durables     7,035       991,443  

DTE Energy Co.

  Multi-Utilities     4,690       520,637  

Duke Energy Corp.

  Electric Utilities     18,291       1,833,307  

DuPont de Nemours, Inc.

  Chemicals     9,849       792,746  

a Dynatrace, Inc.

  Software     6,566       293,763  

East West Bancorp, Inc.

  Banks     3,283       240,414  

Eastman Chemical Co.

  Chemicals     2,814       275,688  

Eaton Corp. PLC

  Electrical Equipment     9,380       2,941,099  

eBay, Inc.

  Broadline Retail     12,194       655,062  

Ecolab, Inc.

  Chemicals     6,097       1,451,086  

Edison International

  Electric Utilities     8,911       639,899  

a Edwards Lifesciences Corp.

  Health Care Equipment & Supplies     14,070       1,299,646  

Electronic Arts, Inc.

  Entertainment     5,628       784,149  

Elevance Health, Inc.

  Health Care Providers & Services     5,628       3,049,588  

Eli Lilly & Co.

  Pharmaceuticals     19,977       18,086,776  

Emerson Electric Co.

  Electrical Equipment     13,132       1,446,621  

a Enphase Energy, Inc.

    Semiconductors & Semiconductor Equipment       3,283       327,348  

Entegris, Inc.

  Semiconductors & Semiconductor Equipment     3,752       508,021  

Entergy Corp.

  Electric Utilities     5,159       552,013  

EOG Resources, Inc.

  Oil, Gas & Consumable Fuels     13,601       1,711,958  

a EPAM Systems, Inc.

  IT Services     1,407       264,671  

EQT Corp.

  Oil, Gas & Consumable Fuels     9,849       364,216  

Equifax, Inc.

  Professional Services     2,814       682,282  

Equinix, Inc.

  Specialized REITs     2,345       1,774,227  

Equitable Holdings, Inc.

  Financial Services     7,504       306,613  

Equity LifeStyle Properties, Inc.

  Residential REITs     4,221       274,914  

Equity Residential

  Residential REITs     7,973       552,848  

Essex Property Trust, Inc.

  Residential REITs     1,407       382,985  

Estee Lauder Cos., Inc., Class A

  Personal Care Products     5,628       598,819  

Everest Group Ltd.

  Insurance     938       357,397  

Evergy, Inc.

  Electric Utilities     5,159       273,272  

Eversource Energy

  Electric Utilities     8,442       478,746  

a Exact Sciences Corp.

  Biotechnology     4,221       178,337  

Exelon Corp.

  Electric Utilities     23,450       811,604  

a Expedia Group, Inc.

  Hotels, Restaurants & Leisure     2,814       354,536  

Expeditors International of Washington, Inc.

  Air Freight & Logistics     3,283       409,686  

Extra Space Storage, Inc.

  Specialized REITs     5,159       801,760  

Exxon Mobil Corp.

  Oil, Gas & Consumable Fuels     106,463       12,256,021  

a F5, Inc.

  Communications Equipment     1,407       242,328  

FactSet Research Systems, Inc.

  Capital Markets     938       382,957  

a Fair Isaac Corp.

  Software     580       863,423  

Fastenal Co.

  Trading Companies & Distributors     13,601       854,687  

FedEx Corp.

  Air Freight & Logistics     5,159       1,546,875  

Ferguson PLC

  Trading Companies & Distributors     4,690       908,218  

Fidelity National Financial, Inc.

  Insurance     6,097       301,314  

Fidelity National Information Services, Inc.

  Financial Services     13,132       989,628  

Fifth Third Bancorp

  Banks     15,946       581,870  

First Citizens BancShares, Inc., Class A

  Banks     300       505,083  

a First Solar, Inc.

  Semiconductors & Semiconductor Equipment     2,345       528,704  

FirstEnergy Corp.

  Electric Utilities     12,194       466,664  

a Fiserv, Inc.

  Financial Services     13,601       2,027,093  

a Flex Ltd.

  Electronic Equipment, Instruments & Components     10,318       304,278  

Ford Motor Co.

  Automobiles     92,862       1,164,489  

a Fortinet, Inc.

  Software     15,477       932,799  

Fortive Corp.

  Machinery     8,442       625,552  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Fox Corp., Class A

  Media     5,628         193,434  

Fox Corp., Class B

  Media     3,283       105,122  

Franklin Resources, Inc.

  Capital Markets     6,566       146,750  

Freeport-McMoRan, Inc.

  Metals & Mining        33,768            1,641,125  

Garmin Ltd.

  Household Durables     3,752       611,276  

a Gartner, Inc.

  IT Services     1,876       842,437  

GE HealthCare Technologies, Inc.

  Health Care Equipment & Supplies     9,380       730,890  

a GE Vernova, Inc.

  Electrical Equipment     6,566       1,126,135  

Gen Digital, Inc.

  Software     14,070       351,469  

General Dynamics Corp.

  Aerospace & Defense     5,159       1,496,832  

General Electric Co.

  Aerospace & Defense     25,795       4,100,631  

General Mills, Inc.

  Food Products     13,601       860,399  

General Motors Co.

  Automobiles     27,202       1,263,805  

Genuine Parts Co.

  Distributors     3,283       454,105  

Gilead Sciences, Inc.

  Biotechnology     29,547       2,027,220  

Global Payments, Inc.

  Financial Services     6,097       589,580  

a GoDaddy, Inc., Class A

  IT Services     3,283       458,668  

Goldman Sachs Group, Inc.

  Capital Markets     7,504       3,394,209  

Halliburton Co.

  Energy Equipment & Services     21,105       712,927  

Hartford Financial Services Group, Inc.

  Insurance     7,035       707,299  

HCA Healthcare, Inc.

  Health Care Providers & Services     4,690       1,506,803  

Healthpeak Properties, Inc.

  Health Care REITs     16,884       330,926  

HEICO Corp.

  Aerospace & Defense     938       209,746  

HEICO Corp., Class A

  Aerospace & Defense     1,876       333,028  

Hershey Co.

  Food Products     3,283       603,514  

Hess Corp.

  Oil, Gas & Consumable Fuels     6,566       968,616  

Hewlett Packard Enterprise Co.

  Technology Hardware, Storage & Peripherals     30,485       645,367  

Hilton Worldwide Holdings, Inc.

  Hotels, Restaurants & Leisure     5,628       1,228,030  

a Hologic, Inc.

  Health Care Equipment & Supplies     5,628       417,879  

Home Depot, Inc.

  Specialty Retail     23,450       8,072,428  

Honeywell International, Inc.

  Industrial Conglomerates     15,477       3,304,959  

Hormel Foods Corp.

  Food Products     7,035       214,497  

Host Hotels & Resorts, Inc.

  Hotel & Resort REITs     15,477       278,276  

Howmet Aerospace, Inc.

  Aerospace & Defense     9,380       728,169  

HP, Inc.

  Technology Hardware, Storage & Peripherals     23,450       821,219  

Hubbell, Inc., Class B

  Electrical Equipment     1,407       514,230  

a HubSpot, Inc.

  Software     1,144       674,720  

Humana, Inc.

  Health Care Providers & Services     2,814       1,051,451  

Huntington Bancshares, Inc.

  Banks     32,830       432,699  

Huntington Ingalls Industries, Inc.

  Aerospace & Defense     938       231,058  

IDEX Corp.

  Machinery     1,876       377,451  

a IDEXX Laboratories, Inc.

  Health Care Equipment & Supplies     1,876       913,987  

Illinois Tool Works, Inc.

  Machinery     7,035       1,667,014  

a Illumina, Inc.

  Life Sciences Tools & Services     3,752       391,634  

a Incyte Corp.

  Biotechnology     4,221       255,877  

Ingersoll Rand, Inc.

  Machinery     9,380       852,079  

a Insulet Corp.

  Health Care Equipment & Supplies     1,876       378,577  

Intel Corp.

   Semiconductors & Semiconductor Equipment      100,835       3,122,860  

Intercontinental Exchange, Inc.

  Capital Markets     13,601       1,861,841  

International Business Machines Corp.

  IT Services     21,574       3,731,223  

International Flavors & Fragrances, Inc.

  Chemicals     6,097       580,495  

International Paper Co.

  Containers & Packaging     7,973       344,035  

Interpublic Group of Cos., Inc.

  Media     8,911       259,221  

Intuit, Inc.

  Software     6,566       4,315,241  

a Intuitive Surgical, Inc.

  Health Care Equipment & Supplies     8,442       3,755,424  

Invitation Homes, Inc.

  Residential REITs     14,070       504,972  

a IQVIA Holdings, Inc.

  Life Sciences Tools & Services     4,221       892,488  

Iron Mountain, Inc.

  Specialized REITs     7,035       630,477  

J M Smucker Co.

  Food Products     2,345       255,699  

Jack Henry & Associates, Inc.

  Financial Services     1,876       311,454  

Jacobs Solutions, Inc.

  Professional Services     2,814       393,144  

JB Hunt Transport Services, Inc.

  Ground Transportation     1,876       300,160  

Johnson & Johnson

  Pharmaceuticals     56,749       8,294,434  

Johnson Controls International PLC

  Building Products     16,415       1,091,105  

JPMorgan Chase & Co.

  Banks     67,536       13,659,831  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Juniper Networks, Inc.

  Communications Equipment     7,504         273,596  

Kellanova

  Food Products     6,097       351,675  

Kenvue, Inc.

  Personal Care Products     40,803       741,799  

Keurig Dr Pepper, Inc.

  Beverages     25,795       861,553  

KeyCorp

  Banks     22,043       313,231  

a Keysight Technologies, Inc.

  Electronic Equipment, Instruments & Components     4,221       577,222  

Kimberly-Clark Corp.

  Household Products     7,973            1,101,869  

Kimco Realty Corp.

  Retail REITs     15,946       310,309  

Kinder Morgan, Inc.

  Oil, Gas & Consumable Fuels     46,431       922,584  

KKR & Co., Inc.

  Capital Markets     15,477       1,628,799  

KLA Corp.

  Semiconductors & Semiconductor Equipment     3,283       2,706,866  

Kraft Heinz Co.

  Food Products     21,105       680,003  

Kroger Co.

  Consumer Staples Distribution & Retail     15,946       796,184  

L3Harris Technologies, Inc.

  Aerospace & Defense     4,690       1,053,280  

Labcorp Holdings, Inc.

  Health Care Providers & Services     1,876       381,785  

Lam Research Corp.

  Semiconductors & Semiconductor Equipment     3,102       3,303,165  

Lamb Weston Holdings, Inc.

  Food Products     3,283       276,035  

Las Vegas Sands Corp.

  Hotels, Restaurants & Leisure     9,849       435,818  

Leidos Holdings, Inc.

  Professional Services     3,283       478,924  

Lennar Corp., Class A

  Household Durables     5,628       843,468  

Lennox International, Inc.

  Building Products     938       501,811  

a Liberty Media Corp.-Liberty Formula One, Class A

  Entertainment     469       30,124  

a Liberty Media Corp.-Liberty Formula One, Class C

  Entertainment     4,690       336,930  

Linde PLC

  Chemicals        11,256       4,939,245  

a Live Nation Entertainment, Inc.

  Entertainment     3,283       307,748  

LKQ Corp.

  Distributors     6,566       273,080  

Lockheed Martin Corp.

  Aerospace & Defense     5,159       2,409,769  

Loews Corp.

  Insurance     4,221       315,478  

Lowe’s Cos., Inc.

  Specialty Retail     13,601       2,998,476  

LPL Financial Holdings, Inc.

  Capital Markets     1,876       523,967  

a Lululemon Athletica, Inc.

  Textiles, Apparel & Luxury Goods     2,814       840,542  

LyondellBasell Industries NV, Class A

  Chemicals     6,097       583,239  

M&T Bank Corp.

  Banks     3,752       567,903  

Marathon Oil Corp.

  Oil, Gas & Consumable Fuels     13,132       376,494  

Marathon Petroleum Corp.

  Oil, Gas & Consumable Fuels     8,442       1,464,518  

a Markel Group, Inc.

  Insurance     308       485,303  

Marriott International, Inc., Class A

  Hotels, Restaurants & Leisure     5,628       1,360,682  

Marsh & McLennan Cos., Inc.

  Insurance     11,725       2,470,692  

Martin Marietta Materials, Inc.

  Construction Materials     1,407       762,313  

Marvell Technology, Inc.

  Semiconductors & Semiconductor Equipment     20,167       1,409,673  

Masco Corp.

  Building Products     5,159       343,951  

Mastercard, Inc., Class A

  Financial Services     19,698       8,689,970  

McCormick & Co., Inc.

  Food Products     6,097       432,521  

McDonald’s Corp.

  Hotels, Restaurants & Leisure     16,884       4,302,719  

McKesson Corp.

  Health Care Providers & Services     3,283       1,917,403  

Medtronic PLC

  Health Care Equipment & Supplies     30,954       2,436,389  

Merck & Co., Inc.

  Pharmaceuticals     59,563       7,373,899  

Meta Platforms, Inc., Class A

  Interactive Media & Services     51,590       26,012,710  

MetLife, Inc.

  Insurance     14,070       987,573  

a Mettler-Toledo International, Inc.

  Life Sciences Tools & Services     469       655,470  

a MGM Resorts International

  Hotels, Restaurants & Leisure     5,628       250,108  

Microchip Technology, Inc.

  Semiconductors & Semiconductor Equipment     12,663       1,158,664  

Micron Technology, Inc.

  Semiconductors & Semiconductor Equipment     26,264       3,454,504  

Microsoft Corp.

  Software     175,406       78,397,712  

Mid-America Apartment Communities, Inc.

  Residential REITs     2,814       401,305  

a Moderna, Inc.

  Biotechnology     7,973       946,794  

a Molina Healthcare, Inc.

  Health Care Providers & Services     1,407       418,301  

Molson Coors Beverage Co., Class B

  Beverages     4,221       214,553  

Mondelez International, Inc., Class A

  Food Products     31,892       2,087,012  

a MongoDB, Inc.

  IT Services     1,876       468,925  

Monolithic Power Systems, Inc.

  Semiconductors & Semiconductor Equipment     1,105       907,956  

a Monster Beverage Corp.

  Beverages     18,291       913,635  

Moody’s Corp.

  Capital Markets     3,752       1,579,329  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Morgan Stanley

  Capital Markets        29,547              2,871,673  

Mosaic Co.

  Chemicals     7,973       230,420  

Motorola Solutions, Inc.

  Communications Equipment     3,752       1,448,460  

MSCI, Inc.

  Capital Markets     1,876       903,763  

Nasdaq, Inc.

  Capital Markets     9,380       565,239  

NetApp, Inc.

  Technology Hardware, Storage & Peripherals     4,690       604,072  

a Netflix, Inc.

  Entertainment     10,318       6,963,412  

a Neurocrine Biosciences, Inc.

  Biotechnology     2,345       322,836  

Newmont Corp.

  Metals & Mining     27,202       1,138,948  

News Corp., Class A

  Media     8,911       245,676  

News Corp., Class B

  Media     2,345       66,575  

NextEra Energy, Inc.

  Electric Utilities     48,307       3,420,619  

NIKE, Inc., Class B

  Textiles, Apparel & Luxury Goods     27,671       2,085,563  

NiSource, Inc.

  Multi-Utilities     10,787       310,773  

Norfolk Southern Corp.

  Ground Transportation     5,159       1,107,586  

Northern Trust Corp.

  Capital Markets     5,159       433,253  

Northrop Grumman Corp.

  Aerospace & Defense     3,283       1,431,224  

NRG Energy, Inc.

  Electric Utilities     4,690       365,163  

Nucor Corp.

  Metals & Mining     5,628       889,674  

NVIDIA Corp.

  Semiconductors & Semiconductor Equipment     562,331       69,470,372  

a NVR, Inc.

  Household Durables     75       569,142  

Occidental Petroleum Corp.

  Oil, Gas & Consumable Fuels     15,008       945,954  

a Okta, Inc.

  IT Services     3,752       351,225  

Old Dominion Freight Line, Inc.

  Ground Transportation     4,221       745,429  

Omnicom Group, Inc.

  Media     4,690       420,693  

a ON Semiconductor Corp.

   Semiconductors & Semiconductor Equipment      10,318       707,299  

ONEOK, Inc.

  Oil, Gas & Consumable Fuels     13,601       1,109,162  

Oracle Corp.

  Software     37,520       5,297,824  

a O’Reilly Automotive, Inc.

  Specialty Retail     1,407       1,485,876  

Otis Worldwide Corp.

  Machinery     9,849       948,065  

Owens Corning

  Building Products     1,876       325,899  

PACCAR, Inc.

  Machinery     12,194       1,255,250  

Packaging Corp. of America

  Containers & Packaging     1,876       342,483  

a Palantir Technologies, Inc., Class A

  Software     46,900       1,187,977  

a Palo Alto Networks, Inc.

  Software     7,504       2,543,931  

Parker-Hannifin Corp.

  Machinery     2,931       1,482,529  

Paychex, Inc.

  Professional Services     7,504       889,674  

Paycom Software, Inc.

  Professional Services     938       134,172  

a PayPal Holdings, Inc.

  Financial Services     24,857       1,442,452  

Pentair PLC

  Machinery     3,752       287,666  

PepsiCo, Inc.

  Beverages     32,361       5,337,300  

Pfizer, Inc.

  Pharmaceuticals     133,665       3,739,947  

PG&E Corp.

  Electric Utilities     50,183       876,195  

Philip Morris International, Inc.

  Tobacco     36,582       3,706,854  

Phillips 66

  Oil, Gas & Consumable Fuels     9,849       1,390,383  

a Pinterest, Inc., Class A

  Interactive Media & Services     14,070       620,065  

PNC Financial Services Group, Inc.

  Banks     9,380       1,458,402  

Pool Corp.

  Distributors     938       288,276  

PPG Industries, Inc.

  Chemicals     5,628       708,509  

PPL Corp.

  Electric Utilities     17,353       479,810  

Principal Financial Group, Inc.

  Insurance     5,628       441,517  

Procter & Gamble Co.

  Household Products     55,811       9,204,350  

Progressive Corp.

  Insurance     13,601       2,825,064  

Prologis, Inc.

  Industrial REITs     22,043       2,475,649  

Prudential Financial, Inc.

  Insurance     8,442       989,318  

a PTC, Inc.

  Software     2,814       511,219  

Public Service Enterprise Group, Inc.

  Multi-Utilities     11,725       864,132  

Public Storage

  Specialized REITs     3,752       1,079,263  

PulteGroup, Inc.

  Household Durables     5,159       568,006  

a Qorvo, Inc.

  Semiconductors & Semiconductor Equipment     2,345       272,114  

QUALCOMM, Inc.

  Semiconductors & Semiconductor Equipment     26,264       5,231,264  

Quanta Services, Inc.

  Construction & Engineering     3,283       834,177  

Quest Diagnostics, Inc.

  Health Care Providers & Services     2,814       385,180  

Raymond James Financial, Inc.

  Capital Markets     4,690       579,731  

Realty Income Corp.

  Retail REITs     20,636       1,089,994  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Regency Centers Corp.

  Retail REITs     4,221         262,546  

a Regeneron Pharmaceuticals, Inc.

  Biotechnology     2,496            2,623,371  

Regions Financial Corp.

  Banks        22,043       441,742  

Reinsurance Group of America, Inc.

  Insurance     1,407       288,815  

Republic Services, Inc.

  Commercial Services & Supplies     4,690       911,455  

ResMed, Inc.

  Health Care Equipment & Supplies     3,283       628,432  

Revvity, Inc.

  Life Sciences Tools & Services     2,814       295,076  

a ROBLOX Corp., Class A

  Entertainment     12,194       453,739  

Rockwell Automation, Inc.

  Electrical Equipment     2,814       774,638  

Rollins, Inc.

  Commercial Services & Supplies     7,035       343,238  

Roper Technologies, Inc.

  Software     2,345       1,321,783  

Ross Stores, Inc.

  Specialty Retail     7,973       1,158,636  

a Royal Caribbean Cruises Ltd.

  Hotels, Restaurants & Leisure     5,628       897,272  

Royalty Pharma PLC, Class A

  Pharmaceuticals     9,380       247,351  

RTX Corp.

  Aerospace & Defense     31,423       3,154,555  

S&P Global, Inc.

  Capital Markets     7,504       3,346,784  

Salesforce, Inc.

  Software     22,043       5,667,255  

SBA Communications Corp.

  Specialized REITs     2,345       460,323  

Schlumberger NV

  Energy Equipment & Services     33,768       1,593,174  

Seagate Technology Holdings PLC

  Technology Hardware, Storage & Peripherals     4,690       484,336  

Sempra

  Multi-Utilities     15,008       1,141,508  

a ServiceNow, Inc.

  Software     4,690       3,689,482  

Sherwin-Williams Co.

  Chemicals     5,628       1,679,564  

Simon Property Group, Inc.

  Retail REITs     7,035       1,067,913  

c Sirius XM Holdings, Inc.

  Media     15,008       42,473  

Skyworks Solutions, Inc.

  Semiconductors & Semiconductor Equipment     3,752       399,888  

a Snap, Inc., Class A

  Interactive Media & Services     23,919       397,295  

Snap-on, Inc.

  Machinery     1,407       367,776  

a Snowflake, Inc., Class A

  IT Services     7,504       1,013,715  

Southern Co.

  Electric Utilities     25,795       2,000,918  

Southern Copper Corp.

  Metals & Mining     1,876       202,120  

Southwest Airlines Co.

  Passenger Airlines     14,070       402,543  

SS&C Technologies Holdings, Inc.

  Professional Services     5,159       323,315  

Stanley Black & Decker, Inc.

  Machinery     3,752       299,747  

Starbucks Corp.

  Hotels, Restaurants & Leisure     26,733       2,081,164  

State Street Corp.

  Capital Markets     7,504       555,296  

Steel Dynamics, Inc.

  Metals & Mining     3,283       425,148  

STERIS PLC

  Health Care Equipment & Supplies     2,345       514,821  

Stryker Corp.

  Health Care Equipment & Supplies     8,442       2,872,390  

Sun Communities, Inc.

  Residential REITs     2,814       338,637  

a Super Micro Computer, Inc.

  Technology Hardware, Storage & Peripherals     1,184       970,110  

Synchrony Financial

  Consumer Finance     9,380       442,642  

a Synopsys, Inc.

  Software     3,752       2,232,665  

Sysco Corp.

  Consumer Staples Distribution & Retail     11,725       837,048  

T Rowe Price Group, Inc.

  Capital Markets     5,159       594,884  

a Take-Two Interactive Software, Inc.

  Entertainment     3,752       583,398  

Targa Resources Corp.

  Oil, Gas & Consumable Fuels     5,159       664,376  

Target Corp.

  Consumer Staples Distribution & Retail     10,787       1,596,907  

TE Connectivity Ltd.

  Electronic Equipment, Instruments & Components     7,035       1,058,275  

a Teledyne Technologies, Inc.

  Electronic Equipment, Instruments & Components     938       363,925  

Teleflex, Inc.

  Health Care Equipment & Supplies     938       197,290  

Teradyne, Inc.

  Semiconductors & Semiconductor Equipment     3,752       556,384  

a Tesla, Inc.

  Automobiles     65,660       12,992,801  

Texas Instruments, Inc.

  Semiconductors & Semiconductor Equipment     21,574       4,196,790  

Texas Pacific Land Corp.

  Oil, Gas & Consumable Fuels     469       344,373  

Textron, Inc.

  Aerospace & Defense     4,690       402,683  

Thermo Fisher Scientific, Inc.

  Life Sciences Tools & Services     8,911       4,927,783  

TJX Cos., Inc.

  Specialty Retail     26,733       2,943,303  

T-Mobile U.S., Inc.

  Wireless Telecommunication Services     9,380       1,652,568  

Tractor Supply Co.

  Specialty Retail     2,345       633,150  

a Trade Desk, Inc., Class A

  Media     10,787       1,053,566  

Trane Technologies PLC

  Building Products     5,159       1,696,950  

TransDigm Group, Inc.

  Aerospace & Defense     1,407       1,797,597  

TransUnion

  Professional Services     4,221       313,029  

Travelers Cos., Inc.

  Insurance     5,159       1,049,031  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Trimble, Inc.

  Electronic Equipment, Instruments & Components     5,628         314,718  

Truist Financial Corp.

  Banks        31,423            1,220,784  

a Twilio, Inc., Class A

  IT Services     3,752       213,151  

a Tyler Technologies, Inc.

  Software     938       471,608  

Tyson Foods, Inc., Class A

  Food Products     6,566       375,181  

U.S. Bancorp

  Banks     36,582       1,452,305  

a Uber Technologies, Inc.

  Ground Transportation     47,369       3,442,779  

UDR, Inc.

  Residential REITs     7,973       328,089  

a Ulta Beauty, Inc.

  Specialty Retail     938       361,946  

Union Pacific Corp.

  Ground Transportation     14,539       3,289,594  

a United Airlines Holdings, Inc.

  Passenger Airlines     7,973       387,966  

United Parcel Service, Inc., Class B

  Air Freight & Logistics     17,353       2,374,758  

United Rentals, Inc.

  Trading Companies & Distributors     1,589       1,027,654  

UnitedHealth Group, Inc.

  Health Care Providers & Services     21,574       10,986,775  

a Unity Software, Inc.

  Software     5,628       91,511  

Universal Health Services, Inc., Class B

  Health Care Providers & Services     1,407       260,197  

Valero Energy Corp.

  Oil, Gas & Consumable Fuels     7,504       1,176,327  

a Veeva Systems, Inc., Class A

  Health Care Technology     3,283       600,822  

Ventas, Inc.

  Health Care REITs     8,911       456,778  

Veralto Corp.

  Commercial Services & Supplies     5,628       537,305  

a VeriSign, Inc.

  IT Services     1,876       333,553  

Verisk Analytics, Inc.

  Professional Services     3,283       884,933  

Verizon Communications, Inc.

  Diversified Telecommunication Services     99,897       4,119,752  

a Vertex Pharmaceuticals, Inc.

  Biotechnology     6,097       2,857,786  

Vertiv Holdings Co., Class A

  Electrical Equipment     8,442       730,824  

Viatris, Inc.

  Pharmaceuticals     27,202       289,157  

VICI Properties, Inc.

  Specialized REITs     24,388       698,472  

Visa, Inc., Class A

  Financial Services     37,051       9,724,776  

Vistra Corp.

  Independent Power Producers & Energy Traders     7,504       645,194  

Vulcan Materials Co.

  Construction Materials     3,283       816,416  

W R Berkley Corp.

  Insurance     4,690       368,540  

Walgreens Boots Alliance, Inc.

  Consumer Staples Distribution & Retail     16,884       204,212  

Walmart, Inc.

  Consumer Staples Distribution & Retail     102,711       6,954,562  

Walt Disney Co.

  Entertainment     43,148       4,284,165  

a Warner Bros Discovery, Inc.

  Entertainment     52,997       394,298  

Waste Management, Inc.

  Commercial Services & Supplies     8,442       1,801,016  

a Waters Corp.

  Life Sciences Tools & Services     1,407       408,199  

Watsco, Inc.

  Trading Companies & Distributors     938       434,519  

WEC Energy Group, Inc.

  Multi-Utilities     7,504       588,764  

Wells Fargo & Co.

  Banks     82,544       4,902,288  

Welltower, Inc.

  Health Care REITs     14,070       1,466,797  

West Pharmaceutical Services, Inc.

  Life Sciences Tools & Services     1,876       617,936  

a Western Digital Corp.

  Technology Hardware, Storage & Peripherals     7,504       568,578  

Westinghouse Air Brake Technologies Corp.

  Machinery     4,221       667,129  

Westlake Corp.

  Chemicals     938       135,841  

Westrock Co.

  Containers & Packaging     6,097       306,435  

Weyerhaeuser Co.

  Specialized REITs     15,946       452,707  

Williams Cos., Inc.

  Oil, Gas & Consumable Fuels     28,609       1,215,882  

Willis Towers Watson PLC

  Insurance     2,345       614,718  

a Workday, Inc., Class A

  Software     5,159       1,153,346  

WP Carey, Inc.

  Diversified REITs     5,159       284,003  

WW Grainger, Inc.

  Trading Companies & Distributors     938       846,301  

Wynn Resorts Ltd.

  Hotels, Restaurants & Leisure     2,345       209,878  

Xcel Energy, Inc.

  Electric Utilities     13,132       701,380  

Xylem, Inc.

  Machinery     5,628       763,326  

Yum! Brands, Inc.

  Hotels, Restaurants & Leisure     6,566       869,732  

a Zebra Technologies Corp., Class A

  Electronic Equipment, Instruments & Components     1,407       434,665  

a Zillow Group, Inc., Class A

  Real Estate Management & Development     1,407       63,371  

a Zillow Group, Inc., Class C

  Real Estate Management & Development     3,752       174,055  

Zimmer Biomet Holdings, Inc.

  Health Care Equipment & Supplies     4,690       509,006  

Zoetis, Inc.

  Pharmaceuticals     10,787       1,870,034  

a Zoom Video Communications, Inc., Class A

  Software     5,628       333,121  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Zscaler, Inc.

  Software     2,345         450,686  
     

 

 

 
        1,112,345,557  
     

 

 

 

Total Common Stocks (Cost $860,732,903)

        1,116,122,232  
     

 

 

 

Preferred Stock 0.0%

     

Russia 0.0%

     

b,d Surgutneftegas PJSC, pfd.

      Oil, Gas & Consumable Fuels            10,688        
     

 

 

 

Total Preferred Stocks (Cost $6,128)

         
     

 

 

 

Total Investments before Short-Term Investments (Cost $860,739,031)

        1,116,122,232  
     

 

 

 

Short-Term Investments 0.1%

     

Investments from Cash Collateral Received for Loaned Securities 0.0%

     

United States 0.0%

     

e,f Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

  Money Market Funds     35,550       35,550  
     

 

 

 

Money Market Funds 0.1%

     

United States 0.1%

     

e,f Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

  Money Market Funds     559,336       559,336  
     

 

 

 

Total Short-Term Investments
(Cost $594,886)

        594,886  
     

 

 

 

Total Investments (Cost $861,333,917) 100.0%

        1,116,717,118  

Other Assets, less Liabilities 0.0%

        412,447  
     

 

 

 

Net Assets 100.0%

      $ 1,117,129,565  
     

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bFair valued using significant unobservable inputs. See Note 4 regarding fair value measurements.

cA portion or all of the security is on loan at June 30, 2024.

dVariable rate security. The rate shown represents the yield at period end.

eThe rate shown is the annualized seven-day effective yield at period end.

fSee Note 3 regarding investments in affiliated management investment companies.

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
     Notional
Amount*
     Expiration
Date
     Value/Unrealized
Appreciation
(Depreciation)
 

 

 

Index Contracts

              

S&P 500 E-Mini

     Long        2        $552,150        9/20/24        $1,841  

*As of period end.

Abbreviations

Selected Portfolio

 

REIT     Real Estate Investment Trust
SBA     Small Business Administration


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

   Franklin U.S. Large Cap Multifactor Index ETF   Shares     Value  

Common Stocks 99.6%

   

Communication Services 10.1%

   

Alphabet, Inc., Class A

    163,560       $ 29,792,454  

Alphabet, Inc., Class C

    138,180       25,344,975  

AT&T, Inc.

    561,650       10,733,131  

Comcast Corp., Class A

    344,980       13,509,417  

Meta Platforms, Inc., Class A

    63,920       32,229,742  

T-Mobile U.S., Inc.

    23,970       4,223,035  

Verizon Communications, Inc.

    395,740       16,320,318  
   

 

 

 
        132,153,072  
   

 

 

 

Consumer Discretionary 10.8%

   

a Amazon.com, Inc.

    210,090       40,599,893  

Bath & Body Works, Inc.

    23,965       935,833  

Best Buy Co., Inc.

    14,570       1,228,105  

Booking Holdings, Inc.

    3,490       13,825,635  

Carter’s, Inc.

    18,330       1,135,910  

a Chipotle Mexican Grill, Inc.

    141,945       8,892,854  

a Crocs, Inc.

    7,990       1,166,061  

a Deckers Outdoor Corp.

    3,290       3,184,556  

Dick’s Sporting Goods, Inc.

    7,050       1,514,693  

Domino’s Pizza, Inc.

    3,816       1,970,315  

DR Horton, Inc.

    31,490       4,437,886  

eBay, Inc.

    26,320       1,413,910  

Gap, Inc.

    43,240       1,033,004  

Garmin Ltd.

    15,040       2,450,317  

General Motors Co.

    63,450       2,947,887  

Gentex Corp.

    35,820       1,207,492  

a Grand Canyon Education, Inc.

    8,930       1,249,396  

H&R Block, Inc.

    25,380       1,376,357  

Hilton Worldwide Holdings, Inc.

    16,450       3,589,390  

Lennar Corp., Class A

    25,850       3,874,140  

Lennar Corp., Class B

    8,460       1,179,578  

Macy’s, Inc.

    64,390       1,236,288  

Murphy USA, Inc.

    2,820       1,323,877  

a NVR, Inc.

    330       2,504,225  

PulteGroup, Inc.

    24,910       2,742,591  

Ralph Lauren Corp.

    6,580       1,151,895  

Tapestry, Inc.

    28,670       1,226,789  

a Tesla, Inc.

    44,655       8,836,331  

Texas Roadhouse, Inc.

    8,930       1,533,370  

TJX Cos., Inc.

    109,510       12,057,051  

Toll Brothers, Inc.

    12,620       1,453,572  

a TopBuild Corp.

    3,290       1,267,538  

Tractor Supply Co.

    5,640       1,522,800  

Travel & Leisure Co.

    28,670       1,289,577  

Williams-Sonoma, Inc.

    8,460       2,388,850  

Wingstop, Inc.

    3,290       1,390,551  
   

 

 

 
      141,138,517  
   

 

 

 

Consumer Staples 4.6%

   

Altria Group, Inc.

    206,800       9,419,740  

a BJ’s Wholesale Club Holdings, Inc.

    14,100       1,238,544  

Casey’s General Stores, Inc.

    4,230       1,613,999  

Coca-Cola Consolidated, Inc.

    1,278       1,386,630  

Colgate-Palmolive Co.

    68,145       6,612,791  

Costco Wholesale Corp.

    25,791       21,922,092  

Ingredion, Inc.

    10,335       1,185,425  

a Pilgrim’s Pride Corp.

    34,780       1,338,682  

Walmart, Inc.

    219,020       14,829,844  
   

 

 

 
      59,547,747  
   

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Energy 1.9%

   

APA Corp.

    40,890         1,203,802  

Civitas Resources, Inc.

    16,920       1,167,480  

Diamondback Energy, Inc.

    14,100       2,822,679  

Exxon Mobil Corp.

    49,350       5,681,172  

Marathon Petroleum Corp.

    40,890       7,093,597  

Ovintiv, Inc.

    28,675       1,343,997  

Valero Energy Corp.

    34,310       5,378,436  
   

 

 

 
          24,691,163  
   

 

 

 

Financials 8.1%

   

a Arch Capital Group Ltd.

    36,190       3,651,209  

Assured Guaranty Ltd.

    15,980       1,232,857  

Axis Capital Holdings Ltd.

    16,920       1,195,398  

a Berkshire Hathaway, Inc., Class B

    33,370       13,574,916  

Chubb Ltd.

    19,740       5,035,279  

Citigroup, Inc.

    199,750       12,676,135  

Citizens Financial Group, Inc.

    35,720       1,286,992  

Evercore, Inc., Class A

    6,110       1,273,507  

Hartford Financial Services Group, Inc.

    16,450       1,653,883  

Interactive Brokers Group, Inc., Class A

    10,340       1,267,684  

Jefferies Financial Group, Inc.

    26,790       1,333,070  

JPMorgan Chase & Co.

    70,030       14,164,268  

Lincoln National Corp.

    38,070       1,183,977  

LPL Financial Holdings, Inc.

    7,520       2,100,336  

Mastercard, Inc., Class A

    47,470       20,941,865  

MGIC Investment Corp.

    59,690       1,286,319  

Moody’s Corp.

    15,510       6,528,624  

OneMain Holdings, Inc.

    25,380       1,230,676  

Progressive Corp.

    30,080       6,247,917  

Reinsurance Group of America, Inc.

    7,050       1,447,153  

Rithm Capital Corp.

    111,860       1,220,393  

SLM Corp.

    59,225       1,231,288  

Synchrony Financial

    44,635       2,106,326  

Western Union Co.

    100,580       1,229,088  
   

 

 

 
      105,099,160  
   

 

 

 

Health Care 16.0%

   

AbbVie, Inc.

    118,440       20,314,829  

Amgen, Inc.

    52,170       16,300,516  

a Boston Scientific Corp.

    112,320       8,649,763  

Cencora, Inc.

    13,160       2,964,948  

Chemed Corp.

    2,331       1,264,754  

Cigna Group

    22,560       7,457,659  

a DaVita, Inc.

    8,460       1,172,302  

Eli Lilly & Co.

    26,320       23,829,602  

Encompass Health Corp.

    15,515       1,331,032  

HCA Healthcare, Inc.

    21,150       6,795,072  

a IDEXX Laboratories, Inc.

    8,460       4,121,712  

a Intuitive Surgical, Inc.

    33,845       15,055,948  

Johnson & Johnson

    141,470       20,677,255  

McKesson Corp.

    11,285       6,590,891  

a Medpace Holdings, Inc.

    3,290       1,354,987  

Merck & Co., Inc.

    158,390       19,608,682  

a Neurocrine Biosciences, Inc.

    10,815       1,488,901  

Organon & Co.

    61,125       1,265,288  

a Regeneron Pharmaceuticals, Inc.

    10,810       11,361,634  

Stryker Corp.

    35,720       12,153,730  

a Tenet Healthcare Corp.

    9,400       1,250,482  

a United Therapeutics Corp.

    4,700       1,497,185  

Universal Health Services, Inc., Class B

    7,520       1,390,674  

a Vertex Pharmaceuticals, Inc.

    29,610       13,878,799  

Zoetis, Inc.

    39,480       6,844,253  
   

 

 

 
      208,620,898  
   

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Industrials 9.5%

   

Acuity Brands, Inc.

    4,700         1,134,768  

Allison Transmission Holdings, Inc.

    16,450       1,248,555  

Armstrong World Industries, Inc.

    11,285       1,277,913  

a Builders FirstSource, Inc.

    13,630       1,886,528  

a CACI International, Inc., Class A

    2,820       1,212,967  

Carlisle Cos., Inc.

    4,700       1,904,487  

Caterpillar, Inc.

    47,470           15,812,257  

Cintas Corp.

    5,861       4,104,224  

a Clean Harbors, Inc.

    6,580       1,488,067  

Comfort Systems USA, Inc.

    3,760       1,143,491  

Cummins, Inc.

    7,050       1,952,357  

Curtiss-Wright Corp.

    4,230       1,146,245  

Delta Air Lines, Inc.

    33,830       1,604,895  

Donaldson Co., Inc.

    16,920       1,210,795  

Eaton Corp. PLC

    39,010       12,231,586  

Emerson Electric Co.

    29,140       3,210,062  

Fastenal Co.

    57,340       3,603,246  

General Dynamics Corp.

    13,630       3,954,608  

Howmet Aerospace, Inc.

    20,670       1,604,612  

ITT, Inc.

    9,875       1,275,653  

a Kirby Corp.

    10,340       1,238,008  

Leidos Holdings, Inc.

    14,095       2,056,179  

Lennox International, Inc.

    3,290       1,760,084  

Masco Corp.

    22,560       1,504,075  

MDU Resources Group, Inc.

    50,770       1,274,327  

MSC Industrial Direct Co., Inc., Class A

    15,040       1,192,822  

nVent Electric PLC

    15,985       1,224,611  

Oshkosh Corp.

    11,280       1,220,496  

Owens Corning

    9,870       1,714,616  

PACCAR, Inc.

    61,570       6,338,016  

Parker-Hannifin Corp.

    10,340       5,230,075  

Republic Services, Inc.

    21,620       4,201,631  

Ryder System, Inc.

    10,340       1,280,919  

Science Applications International Corp.

    9,400       1,104,970  

Trane Technologies PLC

    21,150       6,956,870  

United Rentals, Inc.

    7,050       4,559,447  

Waste Management, Inc.

    48,880       10,428,059  

Watsco, Inc.

    3,290       1,524,060  

Westinghouse Air Brake Technologies Corp.

    9,400       1,485,670  

WW Grainger, Inc.

    4,837       4,364,135  
   

 

 

 
      123,666,386  
   

 

 

 

Information Technology 34.6%

   

Amphenol Corp., Class A

    114,680       7,725,992  

Apple, Inc.

    396,680       83,548,742  

Applied Materials, Inc.

    76,140       17,968,279  

a AppLovin Corp., Class A

    15,510       1,290,742  

a Arista Networks, Inc.

    29,610       10,377,713  

Avnet, Inc.

    23,025       1,185,557  

Broadcom, Inc.

    16,103       25,853,850  

CDW Corp.

    10,340       2,314,506  

a Cirrus Logic, Inc.

    10,805       1,379,366  

Cisco Systems, Inc.

    375,065       17,819,338  

Cognizant Technology Solutions Corp., Class A

    44,180       3,004,240  

Corning, Inc.

    40,420       1,570,317  

Dell Technologies, Inc., Class C

    12,695       1,750,767  

a GoDaddy, Inc., Class A

    12,690       1,772,920  

Hewlett Packard Enterprise Co.

    135,830       2,875,521  

HP, Inc.

    103,870       3,637,527  

International Business Machines Corp.

    89,770       15,525,721  

Jabil, Inc.

    12,220       1,329,414  

Juniper Networks, Inc.

    36,185       1,319,305  

KLA Corp.

    15,708       12,951,403  

Lam Research Corp.

    14,678       15,629,868  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Microchip Technology, Inc.

    52,170         4,773,555  

Microsoft Corp.

    207,270           92,639,326  

Motorola Solutions, Inc.

    13,630       5,261,862  

NetApp, Inc.

    23,970       3,087,336  

NVIDIA Corp.

    599,250       74,031,345  

a Pure Storage, Inc., Class A

    20,675       1,327,542  

QUALCOMM, Inc.

    86,480       17,225,086  

Skyworks Solutions, Inc.

    15,985       1,703,681  

a Super Micro Computer, Inc.

    2,997       2,455,592  

TD SYNNEX Corp.

    9,395       1,084,183  

Teradyne, Inc.

    8,930       1,324,230  

Texas Instruments, Inc.

    84,130       16,365,809  
   

 

 

 
      452,110,635  
   

 

 

 

Materials 1.9%

   

Celanese Corp.

    10,340       1,394,763  

CF Industries Holdings, Inc.

    18,800       1,393,456  

CRH PLC

    36,190       2,713,526  

Eagle Materials, Inc.

    5,170       1,124,268  

Eastman Chemical Co.

    12,690       1,243,239  

International Paper Co.

    27,730       1,196,550  

LyondellBasell Industries NV, Class A

    26,790       2,562,731  

NewMarket Corp.

    2,350       1,211,589  

Nucor Corp.

    23,500       3,714,880  

Packaging Corp. of America

    8,460       1,544,458  

Reliance, Inc.

    5,640       1,610,784  

Southern Copper Corp.

    14,570       1,569,772  

Steel Dynamics, Inc.

    17,390       2,252,005  

U.S. Steel Corp.

    33,370       1,261,386  
   

 

 

 
      24,793,407  
   

 

 

 

Real Estate 1.7%

   

Cousins Properties, Inc.

    54,995       1,273,134  

EPR Properties

    30,550       1,282,489  

Essex Property Trust, Inc.

    4,700       1,279,340  

Highwoods Properties, Inc.

    48,410       1,271,731  

Iron Mountain, Inc.

    15,980       1,432,128  

Kilroy Realty Corp.

    37,600       1,171,992  

Lamar Advertising Co., Class A

    10,810       1,292,119  

NNN REIT, Inc.

    30,555       1,301,643  

Omega Healthcare Investors, Inc.

    39,010       1,336,093  

Park Hotels & Resorts, Inc.

    78,930       1,182,371  

Public Storage

    15,040       4,326,256  

Simon Property Group, Inc.

    37,600       5,707,680  
   

 

 

 
      22,856,976  
   

 

 

 

Utilities 0.4%

   

Entergy Corp.

    11,280       1,206,960  

National Fuel Gas Co.

    22,090       1,197,057  

NRG Energy, Inc.

    15,510       1,207,609  

Public Service Enterprise Group, Inc.

    24,440       1,801,228  
   

 

 

 
      5,412,854  
   

 

 

 

Total Common Stocks (Cost $1,030,472,134)

      1,300,090,815  
   

 

 

 

Total Investments before Short-Term Investments
(Cost $1,030,472,134)

      1,300,090,815  
   

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Short-Term Investments 0.0%

   

Money Market Funds 0.0%

   

b,c Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

    162,029         162,029  
   

 

 

 

Total Short-Term Investments (Cost $162,029)

      162,029  
   

 

 

 

Total Investments (Cost $1,030,634,163) 99.6%

      1,300,252,844  

Other Assets, less Liabilities 0.4%

      4,798,643  
   

 

 

 

Net Assets 100.0%

    $ 1,305,051,487  
   

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bThe rate shown is the annualized seven-day effective yield at period end.

cSee Note 3 regarding investments in affiliated management investment companies.

Abbreviations

Selected Portfolio

 

REIT     Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin U.S. Mid Cap Multifactor Index ETF   Shares     Value  

Common Stocks 99.7%

   

Communication Services 2.0%

   

Electronic Arts, Inc.

    52,962       $ 7,379,195  

Fox Corp., Class A

    30,849       1,060,280  

Omnicom Group, Inc.

    60,606       5,436,358  

Playtika Holding Corp.

    19,096       150,286  

Sirius XM Holdings, Inc.

    82,173       232,550  
   

 

 

 
        14,258,669  
   

 

 

 

Consumer Discretionary 18.7%

   

a AutoNation, Inc.

    9,009       1,435,854  

Bath & Body Works, Inc.

    62,790       2,451,950  

Best Buy Co., Inc.

    73,983       6,236,027  

Brunswick Corp.

    19,383       1,410,501  

Carter’s, Inc.

    12,012       744,384  

b Choice Hotels International, Inc.

    8,190       974,610  

Columbia Sportswear Co.

    9,828       777,198  

a Crocs, Inc.

    14,742       2,151,447  

a Deckers Outdoor Corp.

    6,444       6,237,470  

Dick’s Sporting Goods, Inc.

    18,564       3,988,475  

Dillard’s, Inc., Class A

    546       240,453  

DR Horton, Inc.

    47,775       6,732,931  

eBay, Inc.

    114,387       6,144,870  

a Expedia Group, Inc.

    16,107       2,029,321  

Gap, Inc.

    26,208       626,109  

Garmin Ltd.

    42,863       6,983,240  

Genuine Parts Co.

    39,858       5,513,159  

a Grand Canyon Education, Inc.

    7,098       993,081  

H&R Block, Inc.

    46,683       2,531,619  

Kohl’s Corp.

    31,122       715,495  

LKQ Corp.

    72,618       3,020,183  

Macy’s, Inc.

    87,906       1,687,795  

Murphy USA, Inc.

    5,187       2,435,089  

Nordstrom, Inc.

    33,579       712,546  

a NVR, Inc.

    686       5,205,752  

Penske Automotive Group, Inc.

    5,460       813,649  

Polaris, Inc.

    16,380       1,282,718  

Pool Corp.

    10,647       3,272,143  

PulteGroup, Inc.

    59,241       6,522,434  

Ralph Lauren Corp.

    12,558       2,198,403  

a Skechers USA, Inc., Class A

    38,493       2,660,636  

Tapestry, Inc.

    81,900       3,504,501  

Tempur Sealy International, Inc.

    53,781       2,545,993  

Texas Roadhouse, Inc.

    20,202       3,468,885  

Toll Brothers, Inc.

    19,656       2,263,978  

Tractor Supply Co.

    24,570       6,633,900  

a Ulta Beauty, Inc.

    15,017       5,794,610  

VF Corp.

    92,178       1,244,403  

Wendy’s Co.

    25,116       425,967  

Williams-Sonoma, Inc.

    23,478       6,629,483  

Wingstop, Inc.

    6,825       2,884,655  

Yum! Brands, Inc.

    51,324       6,798,377  
   

 

 

 
      130,924,294  
   

 

 

 

Consumer Staples 7.4%

   

Albertsons Cos., Inc., Class A

    145,509       2,873,803  

a BJ’s Wholesale Club Holdings, Inc.

    40,677       3,573,068  

Casey’s General Stores, Inc.

    9,555       3,645,806  

Church & Dwight Co., Inc.

    62,244       6,453,458  

Clorox Co.

    34,944       4,768,807  

Coca-Cola Consolidated, Inc.

    819       888,615  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Dollar General Corp.

    29,757         3,934,768  

Flowers Foods, Inc.

    63,609       1,412,120  

Hershey Co.

    23,751       4,366,146  

Kellanova

    35,763       2,062,810  

Kroger Co.

    134,589       6,720,029  

Lamb Weston Holdings, Inc.

    34,944       2,938,091  

Sysco Corp.

    87,089       6,217,284  

Walgreens Boots Alliance, Inc.

    146,601       1,773,139  
   

 

 

 
        51,627,944  
   

 

 

 

Energy 5.5%

   

Antero Midstream Corp.

    107,946       1,591,124  

APA Corp.

    94,731       2,788,881  

Cheniere Energy, Inc.

    34,398       6,013,802  

Chord Energy Corp.

    9,282       1,556,406  

Civitas Resources, Inc.

    14,469       998,361  

Devon Energy Corp.

    143,598       6,806,545  

Diamondback Energy, Inc.

    35,217       7,050,091  

DT Midstream, Inc.

    13,650       969,560  

HF Sinclair Corp.

    40,956       2,184,593  

Ovintiv, Inc.

    78,078       3,659,516  

Texas Pacific Land Corp.

    5,733       4,209,570  

Viper Energy, Inc.

    12,012       450,810  
   

 

 

 
      38,279,259  
   

 

 

 

Financials 11.4%

   

Affiliated Managers Group, Inc.

    10,374       1,620,730  

Allstate Corp.

    42,042       6,712,426  

Ally Financial, Inc.

    74,529       2,956,565  

a Arch Capital Group Ltd.

    48,321       4,875,106  

Assured Guaranty Ltd.

    14,251       1,099,465  

Cincinnati Financial Corp.

    45,318       5,352,056  

CNA Financial Corp.

    6,552       301,851  

Columbia Banking System, Inc.

    29,211       581,007  

Everest Group Ltd.

    11,741       4,473,556  

Globe Life, Inc.

    29,484       2,425,943  

Hartford Financial Services Group, Inc.

    67,979       6,834,609  

Invesco Ltd.

    49,959       747,387  

Janus Henderson Group PLC

    36,036       1,214,774  

Kinsale Capital Group, Inc.

    5,733       2,208,810  

MGIC Investment Corp.

    100,464       2,164,999  

MSCI, Inc.

    14,196       6,838,923  

Old Republic International Corp.

    62,517       1,931,775  

OneMain Holdings, Inc.

    28,392       1,376,728  

Prosperity Bancshares, Inc.

    24,845       1,519,023  

Regions Financial Corp.

    242,881       4,867,335  

Rithm Capital Corp.

    120,985       1,319,946  

SEI Investments Co.

    34,944       2,260,527  

Synchrony Financial

    133,224       6,286,841  

T Rowe Price Group, Inc.

    48,048       5,540,415  

Unum Group

    50,232       2,567,357  

Western Union Co.

    137,046       1,674,702  
   

 

 

 
      79,752,856  
   

 

 

 

Health Care 10.0%

   

a Acadia Healthcare Co., Inc.

    26,756       1,807,100  

Cencora, Inc.

    23,751       5,351,100  

Chemed Corp.

    3,822       2,073,741  

a DaVita, Inc.

    10,920       1,513,184  

Encompass Health Corp.

    37,674       3,232,052  

a IDEXX Laboratories, Inc.

    14,196       6,916,291  

a Incyte Corp.

    61,425       3,723,584  

a Mettler-Toledo International, Inc.

    5,018       7,013,107  

a Neurocrine Biosciences, Inc.

    33,852       4,660,405  

Organon & Co.

    84,903       1,757,492  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

ResMed, Inc.

    34,125         6,532,208  

Royalty Pharma PLC, Class A

    117,665       3,102,826  

a Solventum Corp.

    18,564       981,664  

a Tenet Healthcare Corp.

    29,484       3,922,257  

a United Therapeutics Corp.

    13,106       4,174,916  

Universal Health Services, Inc., Class B

    18,837       3,483,526  

Viatris, Inc.

    335,790       3,569,448  

a Waters Corp.

    20,475       5,940,207  
   

 

 

 
        69,755,108  
   

 

 

 

Industrials 22.5%

   

Acuity Brands, Inc.

    4,095       988,697  

Allegion PLC

    25,116       2,967,455  

Allison Transmission Holdings, Inc.

    30,576       2,320,718  

Armstrong World Industries, Inc.

    5,733       649,205  

Booz Allen Hamilton Holding Corp.

    46,139       7,100,792  

a Builders FirstSource, Inc.

    36,855       5,101,101  

a CACI International, Inc., Class A

    4,641       1,996,233  

CH Robinson Worldwide, Inc.

    32,760       2,886,811  

Concentrix Corp.

    6,279       397,335  

Cummins, Inc.

    17,745       4,914,123  

Curtiss-Wright Corp.

    10,101       2,737,169  

Delta Air Lines, Inc.

    133,224       6,320,147  

Donaldson Co., Inc.

    36,309       2,598,272  

Dover Corp.

    38,220       6,896,799  

Expeditors International of Washington, Inc.

    43,134       5,382,692  

Fastenal Co.

    106,743       6,707,730  

Ferguson PLC

    34,125       6,608,306  

Genpact Ltd.

    49,686       1,599,392  

Graco, Inc.

    45,045       3,571,168  

Landstar System, Inc.

    9,828       1,813,069  

Leidos Holdings, Inc.

    18,018       2,628,466  

Lennox International, Inc.

    10,374       5,549,883  

Lincoln Electric Holdings, Inc.

    17,199       3,244,419  

ManpowerGroup, Inc.

    13,650       952,770  

Masco Corp.

    58,695       3,913,196  

MSC Industrial Direct Co., Inc., Class A

    16,107       1,277,446  

Nordson Corp.

    14,742       3,419,259  

Old Dominion Freight Line, Inc.

    40,131       7,087,135  

Otis Worldwide Corp.

    70,980       6,832,535  

Paychex, Inc.

    58,695       6,958,879  

Paycom Software, Inc.

    14,196       2,030,596  

Robert Half, Inc.

    30,625       1,959,387  

Rollins, Inc.

    84,294       4,112,704  

Ryder System, Inc.

    11,739       1,454,227  

a Saia, Inc.

    6,279       2,978,067  

Schneider National, Inc., Class B

    15,834       382,549  

Snap-on, Inc.

    16,380       4,281,568  

Toro Co.

    28,119       2,629,408  

a United Airlines Holdings, Inc.

    46,410       2,258,311  

Veralto Corp.

    36,582       3,492,484  

Verisk Analytics, Inc.

    18,564       5,003,926  

Watsco, Inc.

    9,707       4,496,671  

WW Grainger, Inc.

    7,644       6,896,723  
   

 

 

 
      157,397,823  
   

 

 

 

Information Technology 12.5%

   

Amdocs Ltd.

    31,668       2,499,238  

a Appfolio, Inc., Class A

    3,003       734,444  

Avnet, Inc.

    17,199       885,576  

CDW Corp.

    31,395       7,027,457  

a Cirrus Logic, Inc.

    12,831       1,638,005  

Dolby Laboratories, Inc., Class A

    17,199       1,362,677  

a F5, Inc.

    15,834       2,727,090  

a Fair Isaac Corp.

    5,463       8,132,550  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Gartner, Inc.

    16,653         7,478,196  

Gen Digital, Inc.

    150,150       3,750,747  

a GoDaddy, Inc., Class A

    37,128       5,187,153  

Hewlett Packard Enterprise Co.

    332,787       7,045,101  

HP, Inc.

    193,011       6,759,245  

Jabil, Inc.

    27,027       2,940,267  

Juniper Networks, Inc.

    89,817       3,274,728  

a Manhattan Associates, Inc.

    21,567       5,320,147  

NetApp, Inc.

    58,422       7,524,754  

Teradyne, Inc.

    39,585       5,870,060  

a VeriSign, Inc.

    28,665       5,096,637  

Vontier Corp.

    48,594       1,856,291  
   

 

 

 
        87,110,363  
   

 

 

 

Materials 4.8%

   

Avery Dennison Corp.

    23,753       5,193,593  

CF Industries Holdings, Inc.

    53,508       3,966,013  

LyondellBasell Industries NV, Class A

    66,339       6,345,989  

NewMarket Corp.

    1,638       844,504  

Reliance, Inc.

    17,472       4,990,003  

RPM International, Inc.

    34,125       3,674,580  

Sealed Air Corp.

    44,226       1,538,622  

Sonoco Products Co.

    27,573       1,398,503  

Steel Dynamics, Inc.

    41,496       5,373,732  
   

 

 

 
      33,325,539  
   

 

 

 

Real Estate 3.8%

   

AvalonBay Communities, Inc.

    36,582       7,568,450  

Boston Properties, Inc.

    36,309       2,235,182  

Camden Property Trust

    28,392       3,097,851  

Cousins Properties, Inc.

    19,656       455,036  

EastGroup Properties, Inc.

    10,647       1,811,055  

Equity LifeStyle Properties, Inc.

    45,045       2,933,781  

Highwoods Properties, Inc.

    34,400       903,688  

Kilroy Realty Corp.

    27,300       850,941  

Lamar Advertising Co., Class A

    11,466       1,370,531  

NNN REIT, Inc.

    50,778       2,163,143  

STAG Industrial, Inc.

    42,042       1,516,035  

WP Carey, Inc.

    30,849       1,698,237  
   

 

 

 
      26,603,930  
   

 

 

 

Utilities 1.1%

   

American Water Works Co., Inc.

    48,321       6,241,140  

National Fuel Gas Co.

    24,256       1,314,433  
   

 

 

 
      7,555,573  
   

 

 

 

Total Common Stocks (Cost $651,212,905)

      696,591,358  
   

 

 

 

Total Investments before Short-Term Investments
(Cost $651,212,905)

      696,591,358  
   

 

 

 

Short-Term Investments 0.3%

   

Investments from Cash Collateral Received for Loaned Securities 0.1%

   

Money Market Funds 0.1%

   

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

    831,375       831,375  
   

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Money Market Funds 0.2%

   

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

    1,612,598         1,612,598  
   

 

 

 

Total Short-Term Investments (Cost $2,443,973)

      2,443,973  
   

 

 

 

Total Investments (Cost $653,656,878) 100.0%

      699,035,331  

Other Assets, less Liabilities (0.0)%

      (50,202
   

 

 

 

Net Assets 100.0%

    $ 698,985,129  
   

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bA portion or all of the security is on loan at June 30, 2024.

cThe rate shown is the annualized seven-day effective yield at period end.

dSee Note 3 regarding investments in affiliated management investment companies.

Abbreviations

Selected Portfolio

 

REIT     Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin U.S. Small Cap Multifactor Index ETF   Shares     Value  

Common Stocks 100.6%

   

Communication Services 2.5%

   

a AMC Networks, Inc., Class A

    1,767       $ 17,069  

a Cargurus, Inc.

    4,009          105,036  

a EverQuote, Inc., Class A

    684       14,268  

a Gambling.com Group Ltd.

    513       4,217  

a Ibotta, Inc., Class A

    209       15,708  

IDT Corp., Class B

    855       30,712  

John Wiley & Sons, Inc., Class A

    2,261       92,023  

a Liberty Latin America Ltd., Class A

    1,900       18,259  

a Liberty Latin America Ltd., Class C

    3,667       35,276  

a Playstudios, Inc.

    4,484       9,282  

Scholastic Corp.

    1,387       49,197  

Shutterstock, Inc.

    1,387       53,677  

Spok Holdings, Inc.

    1,045       15,476  

TEGNA, Inc.

    10,298       143,554  

Telephone & Data Systems, Inc.

    5,852       121,312  

a Yelp, Inc.

    4,066       150,239  

a ZipRecruiter, Inc., Class A

    4,123       37,478  
   

 

 

 
      912,783  
   

 

 

 

Consumer Discretionary 15.5%

   

a 1-800- Flowers.com, Inc., Class A

    1,330       12,662  

a Abercrombie & Fitch Co., Class A

    2,204       391,959  

Academy Sports & Outdoors, Inc.

    3,952       210,444  

Acushnet Holdings Corp.

    2,071       131,467  

a Adtalem Global Education, Inc.

    1,938       132,191  

American Eagle Outfitters, Inc.

    9,614       191,895  

a American Public Education, Inc.

    418       7,348  

Bloomin’ Brands, Inc.

    6,061       116,553  

Buckle, Inc.

    2,052       75,801  

Build-A-Bear Workshop, Inc.

    817       20,646  

Caleres, Inc.

    2,090       70,224  

Camping World Holdings, Inc., Class A

    2,147       38,345  

Cheesecake Factory, Inc.

    3,477       136,611  

a Chuy’s Holdings, Inc.

    1,102       28,564  

Cracker Barrel Old Country Store, Inc.

    1,634       68,889  

Designer Brands, Inc., Class A

    1,938       13,237  

a Destination XL Group, Inc.

    3,116       11,342  

a Dorman Products, Inc.

    703       64,310  

Escalade, Inc.

    418       5,764  

Ethan Allen Interiors, Inc.

    1,520       42,393  

a Figs, Inc., Class A

    7,752       41,318  

Flexsteel Industries, Inc.

    133       4,131  

Foot Locker, Inc.

    4,237       105,586  

a Frontdoor, Inc.

    4,237       143,168  

a Genesco, Inc.

    646       16,706  

a G-III Apparel Group Ltd.

    2,185       59,148  

Group 1 Automotive, Inc.

    741       220,284  

Hamilton Beach Brands Holding Co., Class A

    247       4,246  

Haverty Furniture Cos., Inc.

    1,026       25,948  

a Helen of Troy Ltd.

    1,159       107,486  

Hibbett, Inc.

    741       64,623  

Hooker Furnishings Corp.

    456       6,603  

Installed Building Products, Inc.

    1,368       281,370  

J Jill, Inc.

    285       9,966  

Jack in the Box, Inc.

    912       46,457  

a JAKKS Pacific, Inc.

    323       5,785  

Johnson Outdoors, Inc., Class A

    266       9,305  

Kontoor Brands, Inc.

    3,781       250,113  

La-Z-Boy, Inc.

    2,584       96,332  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

LCI Industries

    1,254             129,639  

Lifetime Brands, Inc.

    380       3,264  

a Lincoln Educational Services Corp.

    1,330       15,774  

a Lovesac Co.

    779       17,590  

a M/I Homes, Inc.

    1,178       143,881  

Marine Products Corp.

    627       6,333  

a MasterCraft Boat Holdings, Inc.

    855       16,142  

a Mister Car Wash, Inc.

    2,603       18,533  

Monarch Casino & Resort, Inc.

    779       53,073  

Monro, Inc.

    1,634       38,987  

Movado Group, Inc.

    988       24,562  

Nathan’s Famous, Inc.

    133       9,015  

a ODP Corp.

    2,071       81,328  

a ONE Group Hospitality, Inc.

    1,254       5,329  

Oxford Industries, Inc.

    969       97,045  

Papa John’s International, Inc.

    1,824       85,692  

Patrick Industries, Inc.

    1,083       117,560  

Perdoceo Education Corp.

    4,636       99,303  

a Portillo’s, Inc., Class A

    2,584       25,116  

a Potbelly Corp.

    1,159       9,307  

a RealReal, Inc.

    2,546       8,122  

a Revolve Group, Inc.

    2,375       37,786  

Rocky Brands, Inc.

    380       14,045  

a Sally Beauty Holdings, Inc.

    7,258       77,878  

a Savers Value Village, Inc.

    608       7,442  

Shoe Carnival, Inc.

    950       35,045  

Signet Jewelers Ltd.

    2,470       221,263  

a Sleep Number Corp.

    570       5,455  

Smith & Wesson Brands, Inc.

    2,413       34,602  

Sonic Automotive, Inc., Class A

    855       46,572  

a Sonos, Inc.

    6,175       91,143  

Standard Motor Products, Inc.

    1,292       35,827  

Steven Madden Ltd.

    4,465       188,869  

Strategic Education, Inc.

    1,330       147,178  

a Stride, Inc.

    2,546       179,493  

Sturm Ruger & Co., Inc.

    931       38,776  

Superior Group of Cos., Inc.

    399       7,545  

a Target Hospitality Corp.

    1,501       13,074  

a Tile Shop Holdings, Inc.

    1,805       12,509  

a,b Torrid Holdings, Inc.

    589       4,412  

a Universal Technical Institute, Inc.

    2,147       33,772  

Upbound Group, Inc.

    3,268       100,328  

a Vera Bradley, Inc.

    1,102       6,899  

Weyco Group, Inc.

    361       10,946  

Wolverine World Wide, Inc.

    4,009       54,202  

a XPEL, Inc.

    1,216       43,241  
   

 

 

 
      5,723,117  
   

 

 

 

Consumer Staples 6.6%

   

Cal-Maine Foods, Inc.

    2,318       141,653  

a Central Garden & Pet Co.

    551       21,214  

a Central Garden & Pet Co., Class A

    2,964       97,901  

Edgewell Personal Care Co.

    2,432       97,742  

Energizer Holdings, Inc.

    3,078       90,924  

Ingles Markets, Inc., Class A

    855       58,662  

Inter Parfums, Inc.

    1,216       141,093  

J & J Snack Foods Corp.

    722       117,231  

John B Sanfilippo & Son, Inc.

    513       49,848  

Lancaster Colony Corp.

    1,007       190,293  

a Lifeway Foods, Inc.

    133       1,699  

a Mama’s Creations, Inc.

    1,007       6,787  

Medifast, Inc.

    665       14,510  

National Beverage Corp.

    1,501       76,911  

Natural Grocers by Vitamin Cottage, Inc., Class C

    608       12,890  

a Nature’s Sunshine Products, Inc.

    703       10,594  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Nu Skin Enterprises, Inc., Class A

    3,325         35,046  

Oil-Dri Corp. of America

    247       15,830  

PriceSmart, Inc.

    1,425       115,710  

Primo Water Corp.

    4,408       96,359  

SpartanNash Co.

    2,204       41,347  

a Sprouts Farmers Market, Inc.

    4,807           402,154  

Turning Point Brands, Inc.

    456       14,633  

a United Natural Foods, Inc.

    2,717       35,593  

Universal Corp.

    1,368       65,924  

a USANA Health Sciences, Inc.

    684       30,944  

Vector Group Ltd.

    8,227       86,959  

Village Super Market, Inc., Class A

    608       16,057  

a Vita Coco Co., Inc.

    1,045       29,103  

a Vital Farms, Inc.

    912       42,654  

WD-40 Co.

    855       187,792  

Weis Markets, Inc.

    1,064       66,787  
   

 

 

 
      2,412,844  
   

 

 

 

Energy 6.2%

   

Archrock, Inc.

    5,985       121,017  

Ardmore Shipping Corp.

    2,071       46,660  

Atlas Energy Solutions, Inc.

    1,862       37,110  

California Resources Corp.

    3,876       206,281  

a CONSOL Energy, Inc.

    1,919       195,795  

Crescent Energy Co., Class A

    3,591       42,553  

CVR Energy, Inc.

    1,558       41,708  

DHT Holdings, Inc.

    3,743       43,306  

Dorian LPG Ltd.

    931       39,065  

a Drilling Tools International Corp.

    266       1,495  

Equitrans Midstream Corp.

    11,324       146,985  

Evolution Petroleum Corp.

    1,444       7,610  

Granite Ridge Resources, Inc.

    2,185       13,831  

a Gulfport Energy Corp.

    570       86,070  

International Seaways, Inc.

    1,862       110,100  

Kodiak Gas Services, Inc.

    570       15,538  

Magnolia Oil & Gas Corp., Class A

    8,721       220,990  

Nordic American Tankers Ltd.

    5,434       21,627  

Northern Oil & Gas, Inc.

    4,446       165,258  

Overseas Shipholding Group, Inc., Class A

    1,311       11,117  

PBF Energy, Inc., Class A

    4,389       201,982  

Peabody Energy Corp.

    5,700       126,084  

Riley Exploration Permian, Inc.

    513       14,523  

Scorpio Tankers, Inc.

    2,204       179,163  

SFL Corp. Ltd.

    6,517       90,456  

Teekay Tankers Ltd., Class A

    1,007       69,292  

VAALCO Energy, Inc.

    5,548       34,786  
   

 

 

 
      2,290,402  
   

 

 

 

Financials 10.7%

   

1st Source Corp.

    988       52,977  

Artisan Partners Asset Management, Inc., Class A

    1,748       72,140  

Associated Banc-Corp.

    7,638       161,544  

Banco Latinoamericano de Comercio Exterior SA, Class E

    1,501       44,535  

Bank of Marin Bancorp

    760       12,304  

Bank7 Corp.

    114       3,568  

b Blackstone Mortgage Trust, Inc., Class A

    9,747       169,793  

Brookline Bancorp, Inc.

    4,883       40,773  

Cass Information Systems, Inc.

    646       25,885  

Central Pacific Financial Corp.

    760       16,112  

Chemung Financial Corp.

    171       8,208  

Chicago Atlantic Real Estate Finance, Inc.

    437       6,712  

Citizens & Northern Corp.

    437       7,818  

City Holding Co.

    722       76,712  

Claros Mortgage Trust, Inc.

    2,261       18,133  

CNO Financial Group, Inc.

    3,002       83,215  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Consumer Portfolio Services, Inc.

    456         4,469  

a CrossFirst Bankshares, Inc.

    1,292       18,114  

CVB Financial Corp.

    6,175           106,457  

a Donnelley Financial Solutions, Inc.

    1,292       77,029  

Eagle Bancorp, Inc.

    1,463       27,651  

Enact Holdings, Inc.

    1,805       55,341  

a Enova International, Inc.

    1,235       76,879  

ESSA Bancorp, Inc.

    456       8,021  

Essent Group Ltd.

    5,795       325,621  

Farmers National Banc Corp.

    1,691       21,121  

First Business Financial Services, Inc.

    418       15,462  

First Community Bankshares, Inc.

    456       16,799  

First of Long Island Corp.

    1,254       12,565  

FirstCash Holdings, Inc.

    1,596       167,388  

Flushing Financial Corp.

    1,311       17,240  

GCM Grosvenor, Inc., Class A

    1,083       10,570  

a Genworth Financial, Inc., Class A

    22,439       135,531  

German American Bancorp, Inc.

    1,520       53,732  

Granite Point Mortgage Trust, Inc.

    2,071       6,151  

Guaranty Bancshares, Inc.

    456       14,382  

a Hamilton Insurance Group Ltd., Class B

    494       8,225  

Heritage Commerce Corp.

    1,805       15,703  

Home Bancorp, Inc.

    323       12,923  

Home BancShares, Inc.

    8,588       205,768  

Hope Bancorp, Inc.

    5,605       60,198  

a International Money Express, Inc.

    2,261       47,119  

Jackson Financial, Inc., Class A

    4,028       299,119  

Kearny Financial Corp.

    1,425       8,764  

KKR Real Estate Finance Trust, Inc.

    2,755       24,933  

Macatawa Bank Corp.

    1,368       19,973  

Mercury General Corp.

    1,368       72,695  

NBT Bancorp, Inc.

    2,432       93,875  

a NerdWallet, Inc., Class A

    1,938       28,295  

Nexpoint Real Estate Finance, Inc.

    380       5,214  

a NMI Holdings, Inc., Class A

    4,275       145,521  

Northeast Community Bancorp, Inc.

    608       10,835  

Northfield Bancorp, Inc.

    2,185       20,714  

Northwest Bancshares, Inc.

    6,384       73,735  

OceanFirst Financial Corp.

    2,850       45,286  

Park National Corp.

    380       54,089  

Parke Bancorp, Inc.

    513       8,926  

Peoples Bancorp, Inc.

    1,786       53,580  

Peoples Financial Services Corp.

    342       15,575  

PJT Partners, Inc., Class A

    627       67,660  

Preferred Bank

    589       44,464  

Regional Management Corp.

    494       14,198  

Selective Insurance Group, Inc.

    2,698       253,153  

Seven Hills Realty Trust

    342       4,337  

Southern Missouri Bancorp, Inc.

    475       21,380  

Stock Yards Bancorp, Inc.

    703       34,918  

Tompkins Financial Corp.

    722       35,306  

TPG RE Finance Trust, Inc.

    3,534       30,534  

TrustCo Bank Corp.

    969       27,878  

Victory Capital Holdings, Inc., Class A

    1,672       79,805  

a World Acceptance Corp.

    228       28,176  
   

 

 

 
      3,943,826  
   

 

 

 

Health Care 8.4%

   

a ACADIA Pharmaceuticals, Inc.

    6,365       103,431  

a Alkermes PLC

    9,956       239,940  

a AMN Healthcare Services, Inc.

    2,242       114,858  

a Artivion, Inc.

    1,140       29,241  

a AtriCure, Inc.

    2,432       55,377  

Atrion Corp.

    66       29,860  

a Axogen, Inc.

    2,014       14,581  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Biote Corp., Class A

    1,045         7,806  

a Catalyst Pharmaceuticals, Inc.

    6,156       95,357  

a ChromaDex Corp.

    1,425       3,890  

a Collegium Pharmaceutical, Inc.

    893       28,755  

a Community Health Systems, Inc.

    6,365       21,386  

CONMED Corp.

    1,672           115,903  

a Corcept Therapeutics, Inc.

    4,769       154,945  

a CorVel Corp.

    475       120,778  

a Cross Country Healthcare, Inc.

    1,957       27,085  

Embecta Corp.

    3,724       46,550  

a Fennec Pharmaceuticals, Inc.

    665       4,063  

a Harmony Biosciences Holdings, Inc.

    1,406       42,419  

a Harvard Bioscience, Inc.

    1,767       5,036  

a Hims & Hers Health, Inc.

    7,182       145,005  

a Inari Medical, Inc.

    2,869       138,142  

a InfuSystem Holdings, Inc.

    836       5,710  

a Inmode Ltd.

    4,142       75,550  

a Innoviva, Inc.

    3,306       54,218  

iRadimed Corp.

    494       21,706  

a Ironwood Pharmaceuticals, Inc.

    7,315       47,694  

a Joint Corp.

    779       10,953  

a Kiniksa Pharmaceuticals International PLC

    1,558       29,088  

LeMaitre Vascular, Inc.

    1,064       87,546  

a Merit Medical Systems, Inc.

    2,755       236,792  

a MiMedx Group, Inc.

    6,289       43,583  

National HealthCare Corp.

    741       80,324  

National Research Corp.

    950       21,803  

a Option Care Health, Inc.

    4,522       125,259  

a Organogenesis Holdings, Inc.

    3,724       10,427  

Patterson Cos., Inc.

    5,301       127,860  

a Pediatrix Medical Group, Inc.

    5,130       38,732  

a Performant Financial Corp.

    4,028       11,681  

Phibro Animal Health Corp., Class A

    1,235       20,711  

a Prestige Consumer Healthcare, Inc.

    2,812       193,606  

a Puma Biotechnology, Inc.

    1,159       3,778  

a Quipt Home Medical Corp.

    1,653       5,323  

a Rigel Pharmaceuticals, Inc.

    532       4,373  

a Semler Scientific, Inc.

    304       10,458  

SIGA Technologies, Inc.

    2,831       21,487  

a Sonida Senior Living, Inc.

    114       3,135  

a Surmodics, Inc.

    570       23,963  

a Tactile Systems Technology, Inc.

    1,311       15,653  

a Treace Medical Concepts, Inc.

    2,356       15,667  

a UFP Technologies, Inc.

    342       90,244  

a Vanda Pharmaceuticals, Inc.

    3,173       17,928  

a Vericel Corp.

    1,406       64,507  

a Viemed Healthcare, Inc.

    1,729       11,325  

a Y-mAbs Therapeutics, Inc.

    988       11,935  

a,b Zynex, Inc.

    1,197       11,156  
   

 

 

 
      3,098,583  
   

 

 

 

Industrials 23.8%

   

ACCO Brands Corp.

    5,111       24,022  

Alamo Group, Inc.

    532       92,036  

Allient, Inc.

    779       19,685  

Apogee Enterprises, Inc.

    931       58,499  

Applied Industrial Technologies, Inc.

    1,957       379,658  

Atkore, Inc.

    1,919       258,931  

a Atmus Filtration Technologies, Inc.

    2,565       73,821  

Barrett Business Services, Inc.

    1,463       47,943  

Boise Cascade Co.

    2,090       249,170  

a Bowman Consulting Group Ltd.

    513       16,308  

a BrightView Holdings, Inc.

    1,178       15,667  

Brink’s Co.

    2,584       264,602  

a Cimpress PLC

    1,121       98,211  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

CompX International, Inc.

    95         2,344  

Costamare, Inc.

    2,451       40,270  

Covenant Logistics Group, Inc.

    570       28,095  

CRA International, Inc.

    361       62,171  

CSG Systems International, Inc.

    1,881       77,441  

CSW Industrials, Inc.

    836           221,799  

Deluxe Corp.

    2,641       59,317  

a DXP Enterprises, Inc.

    741       33,967  

Encore Wire Corp.

    760       220,271  

Enerpac Tool Group Corp.

    1,463       55,857  

Ennis, Inc.

    1,615       35,352  

ESCO Technologies, Inc.

    1,349       141,699  

Exponent, Inc.

    3,002       285,550  

Federal Signal Corp.

    1,577       131,948  

a Forrester Research, Inc.

    323       5,517  

Forward Air Corp.

    1,406       26,770  

a Franklin Covey Co.

    684       25,992  

Franklin Electric Co., Inc.

    2,622       252,551  

a GEO Group, Inc.

    6,194       88,946  

Global Industrial Co.

    912       28,600  

a GMS, Inc.

    2,489       200,638  

Golden Ocean Group Ltd.

    3,154       43,525  

Gorman-Rupp Co.

    1,083       39,757  

Griffon Corp.

    1,064       67,947  

H&E Equipment Services, Inc.

    1,615       71,335  

Heartland Express, Inc.

    2,926       36,078  

Heidrick & Struggles International, Inc.

    1,368       43,201  

Hillenbrand, Inc.

    3,344       133,827  

HNI Corp.

    2,888       130,018  

a Huron Consulting Group, Inc.

    665       65,503  

Hyster-Yale, Inc.

    475       33,122  

a IBEX Holdings Ltd.

    513       8,300  

ICF International, Inc.

    1,083       160,782  

a IES Holdings, Inc.

    380       52,945  

Insperity, Inc.

    1,919       175,032  

Interface, Inc.

    1,539       22,593  

Kadant, Inc.

    646       189,782  

Karat Packaging, Inc.

    361       10,678  

Kelly Services, Inc., Class A

    1,729       37,018  

Kforce, Inc.

    1,292       80,272  

Korn Ferry

    3,439       230,894  

a L B Foster Co., Class A

    228       4,907  

a Legalzoom.com, Inc.

    7,866       65,996  

a Liquidity Services, Inc.

    1,273       25,435  

LSI Industries, Inc.

    1,330       19,245  

Luxfer Holdings PLC

    1,444       16,736  

Marten Transport Ltd.

    3,040       56,088  

a Masterbrand, Inc.

    5,586       82,003  

Matson, Inc.

    1,748       228,936  

Matthews International Corp., Class A

    1,387       34,744  

b McGrath RentCorp

    1,273       135,638  

Miller Industries, Inc.

    608       33,452  

MillerKnoll, Inc.

    3,914       103,682  

a Mistras Group, Inc.

    1,159       9,608  

Moog, Inc., Class A

    1,368       228,866  

Mueller Industries, Inc.

    5,947       338,622  

Mueller Water Products, Inc., Class A

    7,695       137,894  

National Presto Industries, Inc.

    266       19,985  

NL Industries, Inc.

    513       3,093  

a NV5 Global, Inc.

    779       72,424  

Omega Flex, Inc.

    247       12,666  

a PAM Transportation Services, Inc.

    361       6,271  

Preformed Line Products Co.

    133       16,564  

Primoris Services Corp.

    1,406       70,145  

a Radiant Logistics, Inc.

    1,881       10,703  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Resideo Technologies, Inc.

    4,256         83,247  

Resources Connection, Inc.

    2,223       24,542  

REV Group, Inc.

    1,425       35,468  

Rush Enterprises, Inc., Class A

    3,230       135,240  

Rush Enterprises, Inc., Class B

    475       18,639  

Safe Bulkers, Inc.

    3,344       19,462  

Standex International Corp.

    608       97,979  

Steelcase, Inc., Class A

    5,225       67,716  

Tennant Co.

    1,159           114,092  

a Thermon Group Holdings, Inc.

    1,216       37,404  

a Titan Machinery, Inc.

    1,159       18,428  

TriNet Group, Inc.

    1,539       153,900  

UFP Industries, Inc.

    3,097       346,864  

UniFirst Corp.

    722       123,845  

Universal Logistics Holdings, Inc.

    399       16,195  

a Upwork, Inc.

    3,249       34,927  

Virco Mfg. Corp.

    323       4,503  

Wabash National Corp.

    1,995       43,571  

Watts Water Technologies, Inc., Class A

    1,539       282,206  

Werner Enterprises, Inc.

    4,180       149,769  
   

 

 

 
      8,797,957  
   

 

 

 

Information Technology 14.3%

   

A10 Networks, Inc.

    4,693       64,998  

a ACI Worldwide, Inc.

    2,869       113,584  

Adeia, Inc.

    4,028       45,053  

a Agilysys, Inc.

    589       61,339  

American Software, Inc., Class A

    1,748       15,959  

a Aviat Networks, Inc.

    551       15,808  

a Axcelis Technologies, Inc.

    1,558       221,532  

Badger Meter, Inc.

    1,729       322,199  

Belden, Inc.

    1,919       180,002  

Benchmark Electronics, Inc.

    931       36,737  

a Blackbaud, Inc.

    2,299       175,115  

a Box, Inc., Class A

    7,467       197,428  

a Calix, Inc.

    2,812       99,629  

Clear Secure, Inc., Class A

    2,679       50,124  

Climb Global Solutions, Inc.

    190       11,934  

a CommVault Systems, Inc.

    2,926       355,714  

CompoSecure, Inc.

    969       6,589  

a Consensus Cloud Solutions, Inc.

    969       16,647  

a Couchbase, Inc.

    1,064       19,429  

a CPI Card Group, Inc.

    190       5,178  

a Daily Journal Corp.

    38       14,990  

a eGain Corp.

    1,178       7,433  

a Enfusion, Inc., Class A

    2,299       19,588  

a ePlus, Inc.

    1,558       114,793  

a Extreme Networks, Inc.

    6,897       92,765  

Hackett Group, Inc.

    1,558       33,840  

a Harmonic, Inc.

    5,282       62,169  

Immersion Corp.

    1,482       13,946  

Information Services Group, Inc.

    1,976       5,809  

a Insight Enterprises, Inc.

    1,520       301,507  

InterDigital, Inc.

    1,235       143,952  

a Mitek Systems, Inc.

    1,729       19,330  

Napco Security Technologies, Inc.

    2,033       105,614  

a NetScout Systems, Inc.

    3,211       58,729  

NVE Corp.

    266       19,868  

a OneSpan, Inc.

    2,185       28,012  

a Ooma, Inc.

    1,444       14,339  

a OSI Systems, Inc.

    874       120,193  

PC Connection, Inc.

    627       40,253  

a Plexus Corp.

    1,083       111,744  

Progress Software Corp.

    2,337       126,806  

a PROS Holdings, Inc.

    1,976       56,612  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

a Qualys, Inc.

    2,242             319,709  

a Rambus, Inc.

    5,833       342,747  

Richardson Electronics Ltd.

    513       6,100  

a Rimini Street, Inc.

    3,401       10,441  

Sapiens International Corp. NV

    1,501       50,929  

a SEMrush Holdings, Inc., Class A

    1,026       13,738  

a SPS Commerce, Inc.

    2,014       378,954  

a Squarespace, Inc., Class A

    3,230       140,925  

a Varonis Systems, Inc.

    3,002       144,006  

Vishay Intertechnology, Inc.

    6,213       138,550  

a Vishay Precision Group, Inc.

    646       19,664  

a WM Technology, Inc.

    2,432       2,529  

a Workiva, Inc.

    2,071       151,162  

a Yext, Inc.

    5,206       27,852  
   

 

 

 
      5,274,596  
   

 

 

 

Materials 4.1%

   

Alpha Metallurgical Resources, Inc.

    551       154,572  

Arch Resources, Inc.

    931       141,726  

Caledonia Mining Corp. PLC

    665       6,464  

Commercial Metals Co.

    5,624       309,264  

a Core Molding Technologies, Inc.

    304       4,846  

Greif, Inc., Class A

    1,425       81,895  

Greif, Inc., Class B

    304       18,997  

Hawkins, Inc.

    760       69,160  

Innospec, Inc.

    1,330       164,375  

Myers Industries, Inc.

    2,014       26,947  

Northern Technologies International Corp.

    228       3,776  

Ramaco Resources, Inc., Class A

    1,159       14,429  

Ramaco Resources, Inc., Class B

    304       3,301  

Ryerson Holding Corp.

    1,387       27,046  

Sensient Technologies Corp.

    2,261       167,744  

SunCoke Energy, Inc.

    4,218       41,336  

Sylvamo Corp.

    1,691       116,003  

Warrior Met Coal, Inc.

    2,660       166,968  
   

 

 

 
      1,518,849  
   

 

 

 

Real Estate 3.8%

   

Alexander’s, Inc.

    57       12,817  

American Assets Trust, Inc.

    2,546       56,980  

Brandywine Realty Trust

    4,845       21,706  

Broadstone Net Lease, Inc.

    9,576       151,971  

CareTrust REIT, Inc.

    7,239       181,699  

City Office REIT, Inc.

    1,938       9,651  

Community Healthcare Trust, Inc.

    1,425       33,331  

Elme Communities

    2,280       36,320  

Essential Properties Realty Trust, Inc.

    4,541       125,831  

a Forestar Group, Inc.

    855       27,351  

Four Corners Property Trust, Inc.

    4,978       122,807  

Innovative Industrial Properties, Inc.

    1,406       153,563  

LTC Properties, Inc.

    2,109       72,761  

NET Lease Office Properties

    380       9,356  

One Liberty Properties, Inc.

    418       9,815  

Orion Office REIT, Inc.

    3,078       11,050  

Paramount Group, Inc.

    5,130       23,752  

Peakstone Realty Trust

    1,083       11,480  

Piedmont Office Realty Trust, Inc., Class A

    6,536       47,386  

RE/MAX Holdings, Inc., Class A

    1,254       10,157  

Retail Opportunity Investments Corp.

    5,700       70,851  

RMR Group, Inc., Class A

    874       19,752  

Tanger, Inc.

    6,182       167,594  

Universal Health Realty Income Trust

    665       26,028  
   

 

 

 
      1,414,009  
   

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Utilities 4.7%

   

American States Water Co.

    2,090            151,671  

Avista Corp.

    3,990       138,094  

California Water Service Group

    3,135       152,016  

Global Water Resources, Inc.

    627       7,587  

MGE Energy, Inc.

    1,881       140,548  

Northwest Natural Holding Co.

    1,919       69,295  

Northwestern Energy Group, Inc.

    3,192       159,855  

Otter Tail Corp.

    1,976       173,078  

PNM Resources, Inc.

    4,807       177,667  

SJW Group

    1,615       87,565  

Southwest Gas Holdings, Inc.

    3,591       252,735  

Spire, Inc.

    2,584       156,926  

Unitil Corp.

    798       41,329  

York Water Co.

    836       31,007  
   

 

 

 
      1,739,373  
   

 

 

 

Total Common Stocks (Cost $34,968,518)

      37,126,339  
   

 

 

 

Total Investments before Short-Term Investments
(Cost $34,968,518)

      37,126,339  
   

 

 

 

Short-Term Investments 0.8%

   

Investments from Cash Collateral Received for Loaned Securities 0.8%

   

Money Market Funds 0.8%

   

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

    298,810       298,810  
   

 

 

 

Money Market Funds 0.0%

   

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

    213       213  
   

 

 

 

Total Short-Term Investments (Cost $299,023)

      299,023  
   

 

 

 

Total Investments (Cost $35,267,541) 101.4%

      37,425,362  

Other Assets, less Liabilities (1.4)%

      (501,447
   

 

 

 

Net Assets 100.0%

    $ 36,923,915  
   

 

 

 

Rounds to less than 0.1% of net assets.

aNon-income producing.

bA portion or all of the security is on loan at June 30, 2024.

cThe rate shown is the annualized seven-day effective yield at period end.

dSee Note 3 regarding investments in affiliated management investment companies.

Abbreviations

Selected Portfolio

 

REIT     Real Estate Investment Trust


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Franklin U.S. Treasury Bond ETF   Country   Principal Amount*      Value  

U.S. Government & Agency Securities 98.8%

      

U.S. Treasury Bonds, 2.375%, 5/15/51

       United States          6,000,000      $ 3,953,203  

3.125%, 5/15/48

  United States     5,000,000        3,889,355  

3.625%, 5/15/53

  United States     34,000,000        28,938,516  

3.875%, 5/15/43

  United States     13,400,000        12,094,285  

4.00%, 11/15/52

  United States     20,700,000        18,861,662  

4.125%, 8/15/53

  United States     11,400,000        10,618,477  

4.375%, 5/15/40

  United States     4,750,000        4,687,471  

4.75%, 2/15/41

  United States     114,000,000        117,117,188  

a U.S. Treasury Inflation-Indexed Bonds, 2.125%, 2/15/54

  United States     3,575,320        3,479,983  

U.S. Treasury Inflation-Indexed Notes,

      

a 0.125%, 1/15/32

  United States     1,696,455        1,469,396  

a 0.50%, 1/15/28

  United States     9,589,544        9,038,356  

U.S. Treasury Notes,

      

0.25%, 7/31/25

  United States     102,083,000        96,956,918  

0.75%, 1/31/28

  United States     268,500,000        235,787,050  

1.125%, 2/29/28

  United States     13,553,000        12,042,317  

1.125%, 2/15/31

  United States     48,475,000        39,652,929  

1.25%, 4/30/28

  United States     110,000,000        97,751,757  

1.25%, 8/15/31

  United States     5,900,000        4,789,256  

1.375%, 11/15/31

  United States     15,630,000        12,717,081  

1.875%, 2/15/32

  United States     9,884,000        8,298,699  

3.50%, 1/31/30

  United States     14,500,000        13,888,848  

4.00%, 1/31/31

  United States     7,500,000        7,350,586  

4.375%, 5/15/34

  United States     11,500,000        11,504,492  

4.625%, 6/30/26

  United States     4,500,000        4,492,002  
      

 

 

 

Total U.S. Government & Agency Securities
(Cost $764,966,225)

         759,379,827  
      

 

 

 

Total Investments before Short-Term Investments
(Cost $764,966,225)

         759,379,827  
      

 

 

 

Short-Term Investments 0.9%

      

Money Market Funds 0.9%

      

United States 0.9%

      

b,c Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

  United States     7,086,199        7,086,199  
      

 

 

 

Total Short-Term Investments (Cost $7,086,199)

         7,086,199  
      

 

 

 

Total Investments (Cost $772,052,424) 99.7%

         766,466,026  

Other Assets, less Liabilities 0.3%

         2,107,904  
      

 

 

 

Net Assets 100.0%

       $ 768,573,930  
      

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

aPrincipal amount of security, redemption price at maturity, and/or coupon payments are adjusted for inflation.

bThe rate shown is the annualized seven-day effective yield at period end.

cSee Note 3 regarding investments in affiliated management investment companies.


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

   Franklin Ultra Short Bond ETF   Country   Principal Amount*      Value  

Corporate Bonds & Notes 40.0%

      

Aerospace & Defense 2.0%

      

Northrop Grumman Corp., 2.93%, 1/15/25

       United States          100,000       $ 98,594  
      

 

 

 

Apparel 2.0%

      

Tapestry, Inc., 7.05%, 11/27/25

  United States     100,000          101,704  
      

 

 

 

Auto Manufacturers 2.0%

      

American Honda Finance Corp., 2.15%, 9/10/24

  United States     100,000        99,303  
      

 

 

 

Banks 16.0%

      

Bank of America Corp., 0.981% to 9/25/24, FRN thereafter, 9/25/25

  United States     200,000        197,773  

a Goldman Sachs Group, Inc., 3 mo. USD Term SOFR + 1.43%, 6.754%, 5/15/26

  United States     200,000        201,473  

JPMorgan Chase & Co., 0.768% to 8/09/24, FRN thereafter, 8/09/25

  United States     200,000        198,912  

Toronto-Dominion Bank, 4.285%, 9/13/24

  Canada     100,000        99,678  

Westpac Banking Corp., 5.35%, 10/18/24

  Australia     100,000        99,905  
      

 

 

 
         797,741  
      

 

 

 

Electric Utilities 1.0%

      

b Vistra Operations Co. LLC, 3.55%, 7/15/24

  United States     50,000        49,943  
      

 

 

 

Financial Services 6.0%

      

Capital One Financial Corp., Subordinated, 4.20%, 10/29/25

  United States     200,000        195,963  

a Charles Schwab Corp., SOFR + 0.52%, 5.885%, 5/13/26

  United States     100,000        100,028  
      

 

 

 
         295,991  
      

 

 

 

Health Care Providers & Services 2.0%

      

Elevance Health, Inc., 2.375%, 1/15/25

  United States     100,000        98,286  
      

 

 

 

Insurance 2.0%

      

a,b Pacific Life Global Funding II, SOFR + 0.80%, 6.176%, 3/30/25

  United States     100,000        100,371  
      

 

 

 

Real Estate Investment Trusts (REITs) 2.0%

      

Boston Properties LP, 3.20%, 1/15/25

  United States     100,000        98,526  
      

 

 

 

Telecommunications 3.0%

      

a Verizon Communications, Inc., 3 mo. USD Term SOFR + 1.36%, 6.684%, 5/15/25

  United States     150,000        151,511  
      

 

 

 

Transportation 2.0%

      

Ryder System, Inc., 2.50%, 9/01/24

  United States     100,000        99,387  
      

 

 

 

Total Corporate Bonds & Notes (Cost $1,983,474)

         1,991,357  
      

 

 

 

Total Investments before Short-Term Investments
(Cost $1,983,474)

         1,991,357  
      

 

 

 

Short-Term Investments 59.7%

      

Commercial Paper 8.0%

      

Export Development Canada, 0.000%, 8/29/24

  Canada     200,000        198,197  

Province of British Columbia, 0.000%, 7/25/24

  Canada     200,000        199,204  
      

 

 

 

Total Commercial Paper (Cost $397,547)

         397,401  
      

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Money Market Funds 51.7%

      

United States 51.7%

      

c,d Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

       United States          2,575,906         2,575,906  
      

 

 

 

Total Short-Term Investments (Cost $2,973,453)

         2,973,307  
      

 

 

 

Total Investments (Cost $4,956,927) 99.7%

         4,964,664  

Other Assets, less Liabilities 0.3%

         15,985  
      

 

 

 

Net Assets 100.0%

       $ 4,980,649  
      

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

aVariable rate security. The rate shown represents the yield at period end.

bSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $150,314, representing 3.0% of net assets.

cThe rate shown is the annualized seven-day effective yield at period end.

dSee Note 3 regarding investments in affiliated management investment companies.

Abbreviations

Selected Portfolio

 

FRN     Floating Rate Note
SOFR     Secured Overnight Financing Rate


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

  Martin Currie Sustainable International Equity ETF   Country   Shares     Value  

Common Stocks 99.1%

     

Automobiles 6.9%

     

Ferrari NV

  Italy     5,421       $ 2,211,852  
     

 

 

 

Beverages 1.8%

     

Pernod Ricard SA

  France     4,313       585,666  
     

 

 

 

Biotechnology 4.0%

     

CSL Ltd.

  Australia     6,540       1,289,400  
     

 

 

 

Building Products 9.2%

     

Assa Abloy AB, Class B

  Sweden     52,071       1,473,105  

Kingspan Group PLC

  Ireland     17,026       1,450,686  
     

 

 

 
        2,923,791  
     

 

 

 

Capital Markets 2.3%

     

Partners Group Holding AG

  Switzerland     575       738,426  
     

 

 

 

Chemicals 9.2%

     

Croda International PLC

       United Kingdom          15,826       789,823  

Linde PLC

  United States     4,879       2,140,954  
     

 

 

 
        2,930,777  
     

 

 

 

Electronic Equipment, Instruments & Components 5.1%

     

Hexagon AB, Class B

  Sweden     143,729       1,623,876  
     

 

 

 

Financial Services 3.0%

     

a,b Adyen NV

  Netherlands     811       967,582  
     

 

 

 

Health Care Equipment & Supplies 8.6%

     

Coloplast AS, Class B

  Denmark     10,006       1,203,044  

ResMed, Inc., CDI

  United States     80,182       1,558,292  
     

 

 

 
        2,761,336  
     

 

 

 

Life Sciences Tools & Services 8.7%

     

b Mettler-Toledo International, Inc.

  United States     1,169       1,633,783  

b Oxford Nanopore Technologies PLC

  United Kingdom     135,668       161,894  

Sartorius Stedim Biotech

  France     6,008       987,110  
     

 

 

 
        2,782,787  
     

 

 

 

Machinery 6.1%

     

Atlas Copco AB, Class A

  Sweden     104,399       1,963,729  
     

 

 

 

Personal Care Products 4.1%

     

L’Oreal SA

  France     2,988       1,313,140  
     

 

 

 

Pharmaceuticals 3.1%

     

Novo Nordisk AS, Class B

  Denmark     6,791       981,436  
     

 

 

 

Semiconductors & Semiconductor Equipment 13.8%

     

ASML Holding NV

  Netherlands     3,158       3,263,420  

BE Semiconductor Industries NV

  Netherlands     6,894       1,153,737  
     

 

 

 
        4,417,157  
     

 

 

 

Software 6.3%

     

Dassault Systemes SE

  France     33,780       1,277,992  

Nemetschek SE

  Germany     7,558       744,011  
     

 

 

 
         2,022,003  
     

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Textiles, Apparel & Luxury Goods 6.9%

     

Kering SA

  France     1,954         708,887  

Moncler SpA

  Italy     24,348       1,488,980  
     

 

 

 
        2,197,867  
     

 

 

 

Total Common Stocks (Cost $31,010,491)

        31,710,825  
     

 

 

 

Total Investments (Cost $31,010,491) 99.1%

        31,710,825  

Other Assets, less Liabilities 0.9%

        288,319  
     

 

 

 

Net Assets 100.0%

      $ 31,999,144  
     

 

 

 

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $967,582, representing 3.0% of net assets.

bNon-income producing.

Abbreviations

Selected Portfolio

 

CDI     Clearing House Electronic Subregister System Depositary Interest
SPA     Standby Purchase Agreement


FRANKLIN TEMPLETON ETF TRUST

Schedule of Investments, June 30, 2024 (unaudited)

 

Western Asset Bond ETF

   Country        Principal Amount      Value  

Corporate Bonds & Notes 40.1%

          

Aerospace & Defense 1.1%

          

Boeing Co.,

          

3.25%, 2/01/35

   United States        10,000      $ 7,640  

2.70%, 2/01/27

   United States        50,000          46,111  

5.15%, 5/01/30

   United States        10,000        9,606  

2.196%, 2/04/26

   United States        70,000        65,824  

General Dynamics Corp.,

          

4.25%, 4/01/50

   United States        10,000        8,431  

4.25%, 4/01/40

   United States        10,000        8,785  

L3Harris Technologies, Inc.,

          

4.854%, 4/27/35

   United States        10,000        9,501  

5.054%, 4/27/45

   United States        10,000        9,240  

Lockheed Martin Corp.,

          

4.50%, 5/15/36

   United States        10,000        9,395  

4.15%, 6/15/53

   United States        60,000        48,453  

3.90%, 6/15/32

   United States        10,000        9,331  

5.20%, 2/15/64

   United States        10,000        9,463  

Northrop Grumman Corp.,

          

5.25%, 5/01/50

   United States        30,000        28,486  

3.25%, 1/15/28

   United States        50,000        47,111  

RTX Corp.,

          

4.50%, 6/01/42

   United States        40,000        34,672  

2.25%, 7/01/30

   United States        20,000        17,090  

3.95%, 8/16/25

   United States        30,000        29,497  

4.125%, 11/16/28

   United States        10,000        9,629  

6.00%, 3/15/31

   United States        20,000        20,842  
          

 

 

 
             429,107  
          

 

 

 

Agriculture 0.6%

          

Altria Group, Inc.,

          

3.875%, 9/16/46

   United States        30,000        21,631  

5.80%, 2/14/39

   United States        50,000        50,076  

6.875%, 11/01/33

   United States        60,000        64,891  

BAT Capital Corp.,

          

3.557%, 8/15/27

   United Kingdom        10,000        9,501  

4.54%, 8/15/47

   United Kingdom        80,000        61,660  

Philip Morris International, Inc.,

          

2.10%, 5/01/30

   United States        20,000        16,943  

4.875%, 2/13/29

   United States        10,000        9,892  

5.25%, 2/13/34

   United States        10,000        9,814  
          

 

 

 
             244,408  
          

 

 

 

Airlines 0.7%

          

a American Airlines, Inc., 8.50%, 5/15/29

   United States        20,000        20,792  

Delta Air Lines, Inc.,

          

7.375%, 1/15/26

   United States        90,000        91,884  

2.90%, 10/28/24

   United States        20,000        19,805  

Delta Air Lines, Inc./SkyMiles IP Ltd.,

          

a 4.75%, 10/20/28

   United States        20,000        19,486  

a first lien, 4.50%, 10/20/25

   United States        13,335        13,176  

a Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd.,

          

6.50%, 6/20/27

   United States        18,000        18,050  

a Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd., 8.00%, 9/20/25

   United States        40,000        29,231  

a United Airlines, Inc., 4.625%, 4/15/29

   United States        70,000        65,249  
          

 

 

 

             277,673  
          

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Apparel 0.1%

            

NIKE, Inc.,

            

2.85%, 3/27/30

   United States        20,000          18,014  

3.25%, 3/27/40

   United States        20,000          15,568  

2.75%, 3/27/27

   United States        20,000          18,945  
            

 

 

 
               52,527  
            

 

 

 

Auto Manufacturers 1.1%

            

Ford Motor Credit Co. LLC, 7.35%, 3/06/30

   United States        200,000          211,770  

General Motors Co.,

            

6.125%, 10/01/25

   United States        20,000          20,111  

6.25%, 10/02/43

   United States        20,000          19,931  

5.60%, 10/15/32

   United States        10,000          10,008  

a Nissan Motor Co. Ltd., 3.522%, 9/17/25

   Japan        200,000          194,127  
            

 

 

 
               455,947  
            

 

 

 

Banks 11.5%

            

Bank of America Corp.,

            

4.083% to 3/20/50, FRN thereafter, 3/20/51

   United States        80,000          63,938  

3.97% to 3/05/28, FRN thereafter, 3/05/29

   United States        210,000          200,842  

5.00%, 1/21/44

   United States        50,000          47,077  

1.319% to 6/19/25, FRN thereafter, 6/19/26

   United States        140,000          134,170  

4.571% to 4/27/32, FRN thereafter, 4/27/33

   United States        190,000          179,253  

Bank of Montreal, 1.85%, 5/01/25

   Canada        50,000          48,511  

Bank of Nova Scotia,

            

4.588% to 5/04/32, FRN thereafter, 5/04/37

   Canada        20,000          18,022  

1.30%, 6/11/25

   Canada        30,000          28,833  

a BNP Paribas SA, 2.219% to 6/09/25, FRN

            

thereafter, 6/09/26

   France        200,000          193,368  

Citigroup, Inc.,

            

4.30%, 11/20/26

   United States        70,000          68,301  

4.40%, 6/10/25

   United States        60,000          59,196  

3.98% to 3/20/29, FRN thereafter, 3/20/30

   United States        90,000          84,981  

4.412% to 3/31/30, FRN thereafter, 3/31/31

   United States        230,000          219,288  

4.45%, 9/29/27

   United States        70,000          68,249  

4.75%, 5/18/46

   United States        10,000          8,587  

Goldman Sachs Group, Inc.,

            

2.615% to 4/22/31, FRN thereafter, 4/22/32

   United States        40,000          33,646  

5.15%, 5/22/45

   United States        50,000          46,810  

1.093% to 12/09/25, FRN thereafter, 12/09/26

   United States        60,000          56,108  

6.75%, 10/01/37

   United States        20,000          21,590  

4.75%, 10/21/45

   United States        50,000          44,926  

3.691% to 6/05/27, FRN thereafter, 6/05/28

   United States        110,000          105,257  

2.60%, 2/07/30

   United States        20,000          17,534  

4.25%, 10/21/25

   United States        30,000          29,487  

HSBC Holdings PLC,

            

2.099% to 6/04/25, FRN thereafter, 6/04/26

   United Kingdom        400,000          386,784  

4.762% to 3/29/32, FRN thereafter, 3/29/33

   United Kingdom        200,000          185,631  

JPMorgan Chase & Co.,

            

3.109% to 4/22/40, FRN thereafter, 4/22/41

   United States        20,000          14,978  

3.109% to 4/22/50, FRN thereafter, 4/22/51

   United States        10,000          6,814  

3.509% to 1/23/28, FRN thereafter, 1/23/29

   United States        100,000          94,606  

2.083% to 4/22/25, FRN thereafter, 4/22/26

   United States        70,000          67,990  

2.545% to 11/08/31, FRN thereafter, 11/08/32

   United States        110,000          91,632  

Morgan Stanley,

            

2.188% to 4/28/25, FRN thereafter, 4/28/26

   United States        50,000          48,566  

3.772% to 1/24/28, FRN thereafter, 1/24/29

   United States        60,000          57,135  

2.511% to 10/20/31, FRN thereafter, 10/20/32

   United States        70,000          57,882  

PNC Financial Services Group, Inc.,

            

5.582% to 6/12/28, FRN thereafter, 6/12/29

   United States        30,000          30,337  

5.812% to 6/12/25, FRN thereafter, 6/12/26

   United States        20,000          20,024  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Royal Bank of Canada, 

            

1.15%, 6/10/25

   Canada        30,000          28,814  

3.875%, 5/04/32

   Canada        20,000          18,329  

5.15%, 2/01/34

   Canada        20,000          19,854  

Toronto-Dominion Bank,

            

1.15%, 6/12/25

   Canada        30,000          28,823  

4.456%, 6/08/32

   Canada        20,000          18,855  

Truist Financial Corp., 6.047% to 6/08/26, FRN thereafter, 6/08/27

   United States        20,000          20,149  

U.S. Bancorp,

            

5.775% to 6/12/28, FRN thereafter, 6/12/29

   United States        20,000          20,308  

5.836% to 6/10/33, FRN thereafter, 6/12/34

   United States        20,000          20,288  

UBS AG,

            

2.95%, 4/09/25

   Switzerland        250,000          245,064  

7.95%, 1/09/25

   Switzerland        500,000          505,312  

a UBS Group AG, 4.253%, 3/23/28

   Switzerland        400,000          382,920  

Wells Fargo & Co.,

            

5.013% to 4/04/50, FRN thereafter, 4/04/51

   United States        170,000          154,963  

4.478% to 4/04/30, FRN thereafter, 4/04/31

   United States        50,000          47,887  

2.188% to 4/30/25, FRN thereafter, 4/30/26

   United States        70,000          67,986  

2.393% to 6/02/27, FRN thereafter, 6/02/28

   United States        70,000          64,485  

3.584% to 5/22/27, FRN thereafter, 5/22/28

   United States        110,000          104,796  

4.75%, 12/07/46

   United States        50,000          42,381  

3.35% to 3/02/32, FRN thereafter, 3/02/33

   United States        30,000          26,026  
            

 

 

 
                4,657,593  
            

 

 

 

Beverages 0.4%

            

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc., 4.90%, 2/01/46

   United States        80,000          73,804  

Anheuser-Busch InBev Worldwide, Inc.,

            

3.50%, 6/01/30

   United States        10,000          9,294  

4.75%, 1/23/29

   Belgium        40,000          39,786  

Constellation Brands, Inc., 4.35%, 5/09/27

   United States        20,000          19,513  

PepsiCo, Inc., 1.625%, 5/01/30

   United States        20,000          16,744  
            

 

 

 
               159,141  
            

 

 

 

Biotechnology 0.1%

            

Amgen, Inc., 4.663%, 6/15/51

   United States        10,000          8,553  

Gilead Sciences, Inc.,

            

4.75%, 3/01/46

   United States        10,000          8,919  

3.50%, 2/01/25

   United States        10,000          9,888  
            

 

 

 
               27,360  
            

 

 

 

Chemicals 0.4%

            

b OCP SA, 3.75%, 6/23/31

   Morocco        200,000          172,825  
            

 

 

 

Coal 0.0%

            

Teck Resources Ltd., 3.90%, 7/15/30

   Canada        10,000          9,284  
            

 

 

 

Commercial Services & Supplies 0.2%

            

PayPal Holdings, Inc., 2.30%, 6/01/30

   United States        10,000          8,625  

United Rentals North America, Inc.,

            

3.875%, 2/15/31

   United States        70,000          62,514  

3.875%, 11/15/27

   United States        10,000          9,454  

a 6.125%, 3/15/34

   United States        10,000          9,976  
            

 

 

 
               90,569  
            

 

 

 

Diversified Telecommunication Services 0.0%

            

Verizon Communications, Inc., 3.40%, 3/22/41

   United States        20,000          15,303  
            

 

 

 

Electric 0.7%

            

b Comision Federal de Electricidad, 3.875%, 7/26/33

   Mexico        200,000          160,047  

   Consolidated Edison Co. of New York, Inc.,

            

Series 20B, 3.95%, 4/01/50

   United States        10,000          7,811  

Series 20A, 3.35%, 4/01/30

   United States        10,000          9,187  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Duke Energy Ohio, Inc., 3.65%, 2/01/29 

   United States        10,000          9,444  

Exelon Corp., 5.625%, 6/15/35

   United States        10,000          9,988  

FirstEnergy Corp.,

            

Series B, 4.15%, 7/15/27

   United States        30,000          28,808  

Series C, 5.10%, 7/15/47

   United States        20,000          17,230  

Pacific Gas & Electric Co.,

            

3.50%, 8/01/50

   United States        10,000          6,535  

2.50%, 2/01/31

   United States        20,000          16,496  

2.10%, 8/01/27

   United States        10,000          9,027  

Progress Energy, Inc., 6.00%, 12/01/39

   United States        10,000          10,066  
            

 

 

 
                284,639  
            

 

 

 

Electronic Equipment, Instruments & Components 0.1%

            

Honeywell International, Inc., 5.00%, 3/01/35

   United States        30,000          29,754  
            

 

 

 

Energy Equipment & Services 0.0%

            

a Schlumberger Holdings Corp., 3.90%, 5/17/28

   United States        10,000          9,553  
            

 

 

 

Entertainment 0.3%

            

Warnermedia Holdings, Inc.,

            

6.412%, 3/15/26

   United States        20,000          20,001  

3.755%, 3/15/27

   United States        50,000          47,483  

5.05%, 3/15/42

   United States        10,000          8,139  

4.279%, 3/15/32

   United States        30,000          26,194  
            

 

 

 
               101,817  
            

 

 

 

Environmental Control 0.1%

            

a GFL Environmental, Inc., 6.75%, 1/15/31

   United States        30,000          30,643  

Waste Connections, Inc., 5.00%, 3/01/34

   United States        20,000          19,559  
            

 

 

 
               50,202  
            

 

 

 

Financial Services 0.9%

            

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 3.00%, 10/29/28

   Ireland        150,000          136,368  

Air Lease Corp.,

            

3.375%, 7/01/25

   United States        20,000          19,548  

5.30%, 2/01/28

   United States        20,000          19,967  

American Express Co., 4.05%, 5/03/29

   United States        30,000          28,962  

Charles Schwab Corp.,

            

5.875%, 8/24/26

   United States        50,000          50,589  

6.136% to 8/24/33, FRN thereafter, 8/24/34

   United States        20,000          20,835  

Intercontinental Exchange, Inc., 4.60%, 3/15/33

   United States        10,000          9,560  

a Jane Street Group/JSG Finance, Inc., 7.125%, 4/30/31

   United States        20,000          20,526  

Mastercard, Inc., 3.85%, 3/26/50

   United States        10,000          7,893  

Visa, Inc.,

            

4.30%, 12/14/45

   United States        30,000          26,041  

2.05%, 4/15/30

   United States        20,000          17,181  
            

 

 

 
               357,470  
            

 

 

 

Food 0.3%

            

Kraft Heinz Foods Co., 5.20%, 7/15/45

   United States        40,000          36,713  

Mars, Inc.,

            

a 2.70%, 4/01/25

   United States        20,000          19,616  

a 3.20%, 4/01/30

   United States        10,000          9,150  

Mondelez International, Inc., 1.50%, 5/04/25

   United States        40,000          38,665  
            

 

 

 
               104,144  
            

 

 

 

Gas 0.5%

            

b Promigas SA ESP/Gases del Pacifico SAC, 3.75%, 10/16/29

   Colombia        200,000          181,823  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Health Care Providers & Services 1.0% 

            

Centene Corp.,

            

4.25%, 12/15/27

   United States        20,000          19,112  

4.625%, 12/15/29

   United States        20,000          18,931  

3.00%, 10/15/30

   United States        10,000          8,558  

2.625%, 8/01/31

   United States        10,000          8,222  

3.375%, 2/15/30

   United States        10,000          8,884  

CVS Health Corp., 4.30%, 3/25/28

   United States        30,000          28,975  

Elevance Health, Inc.,

            

4.375%, 12/01/47

   United States        10,000          8,309  

4.10%, 5/15/32

   United States        10,000          9,283  

3.65%, 12/01/27

   United States        10,000          9,562  

HCA, Inc.,

            

7.69%, 6/15/25

   United States        20,000          20,336  

5.875%, 2/01/29

   United States        10,000          10,184  

3.50%, 9/01/30

   United States        30,000          27,069  

5.50%, 6/15/47

   United States        20,000          18,508  

Humana, Inc.,

            

3.95%, 3/15/27

   United States        10,000          9,671  

4.50%, 4/01/25

   United States        10,000          9,930  

4.95%, 10/01/44

   United States        20,000          17,409  

a LifePoint Health, Inc., 9.875%, 8/15/30

   United States        60,000          64,060  

UnitedHealth Group, Inc., 3.875%, 8/15/59

   United States        40,000          29,626  

4.20%, 5/15/32

   United States        40,000          37,661  

4.00%, 5/15/29

   United States        20,000          19,241  

5.00%, 4/15/34

   United States        20,000          19,748  
            

 

 

 
               403,279  
            

 

 

 

Healthcare-Products 0.3%

            

Abbott Laboratories, 4.75%, 11/30/36

   United States        10,000          9,713  

a Medline Borrower LP/Medline Co.-Issuer, Inc., 6.25%, 4/01/29

   United States        10,000          10,126  

Solventum Corp.,

            

a 5.40%, 3/01/29

   United States        30,000          29,915  

a 5.45%, 3/13/31

   United States        30,000          29,631  

a 5.90%, 4/30/54

   United States        40,000          38,261  
            

 

 

 
               117,646  
            

 

 

 

Home Builders 0.0%†

            

Lennar Corp., 4.75%, 11/29/27

   United States        10,000          9,865  
            

 

 

 

Insurance 0.2%

            

Aon North America, Inc., 5.45%, 3/01/34

   United States        50,000          49,800  

Berkshire Hathaway Finance Corp., 4.25%, 1/15/49

   United States        30,000          25,640  

MetLife, Inc., 6.40%, 12/15/66

   United States        10,000          10,136  

a Principal Life Global Funding II, 1.25%, 6/23/25

   United States        10,000          9,600  
            

 

 

 
               95,176  
            

 

 

 

Internet 1.0%

            

Alphabet, Inc.,

            

1.90%, 8/15/40

   United States        30,000          19,552  

1.10%, 8/15/30

   United States        10,000          8,170  

Amazon.com,

            

Inc., 3.15%, 8/22/27

   United States        60,000          56,991  

3.10%, 5/12/51

   United States        30,000          20,631  

4.95%, 12/05/44

   United States        70,000          67,714  

3.60%, 4/13/32

   United States        70,000          64,319  

b Prosus NV, 3.061%, 7/13/31

   China        200,000          165,686  
            

 

 

 
                403,063  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Iron/Steel 0.3% 

            

ArcelorMittal SA, 7.00%, 10/15/39

   Luxembourg        10,000          10,754  

Vale Overseas Ltd., 6.125%, 6/12/33

   Brazil        100,000          100,832  
            

 

 

 
                  111,586  
            

 

 

 

Leisure Time 0.7%

            

a Carnival Corp., 10.50%, 6/01/30

   United States        60,000          65,221  

NCL Corp. Ltd.,

            

a 7.75%, 2/15/29

   United States        70,000          72,826  

a 8.125%, 1/15/29

   United States        20,000          20,971  

a Royal Caribbean Cruises Ltd., 7.25%, 1/15/30

   United States        60,000          62,163  

a VOC Escrow Ltd., 5.00%, 2/15/28

   United States        70,000          67,901  
            

 

 

 
               289,082  
            

 

 

 

Lodging 0.3%

            

Hilton Domestic Operating Co., Inc.,

            

a 3.625%, 2/15/32

   United States        50,000          43,311  

a 6.125%, 4/01/32

   United States        10,000          10,055  

Las Vegas Sands Corp.,

            

2.90%, 6/25/25

   United States        70,000          67,979  

6.00%, 8/15/29

   United States        10,000          10,055  
            

 

 

 
               131,400  
            

 

 

 

Machinery-Diversified 0.1%

            

Deere & Co.,

            

3.75%, 4/15/50

   United States        20,000          15,694  

3.10%, 4/15/30

   United States        10,000          9,099  

Otis Worldwide Corp., 2.056%, 4/05/25

   United States        10,000          9,733  
            

 

 

 
               34,526  
            

 

 

 

Media 1.8%

            

a CCO Holdings LLC/CCO Holdings Capital Corp., 4.50%, 6/01/33

   United States        190,000          149,699  

Charter Communications Operating LLC/Charter Communications Operating

            

Capital, 4.908%, 7/23/25

   United States        3,000          2,972  

5.375%, 5/01/47

   United States        30,000          23,990  

5.125%, 7/01/49

   United States        30,000          23,049  

5.05%, 3/30/29

   United States        70,000          67,347  

5.50%, 4/01/63

   United States        30,000          23,271  

6.55%, 6/01/34

   United States        10,000          10,009  

Comcast Corp.,

            

3.999%, 11/01/49

   United States        10,000          7,812  

4.15%, 10/15/28

   United States        90,000          87,151  

4.25%, 10/15/30

   United States        50,000          47,967  

5.65%, 6/15/35

   United States        10,000          10,281  

3.90%, 3/01/38

   United States        50,000          42,399  

3.45%, 2/01/50

   United States        30,000          21,188  

a DISH DBS Corp., 5.75%, 12/01/28

   United States        120,000          83,423  

Fox Corp.,

            

5.476%, 1/25/39

   United States        20,000          19,080  

6.50%, 10/13/33

   United States        20,000          20,959  

Time Warner Cable LLC, 6.55%, 5/01/37

   United States        90,000          85,288  

Walt Disney Co., 6.20%, 12/15/34

   United States        20,000          21,739  
            

 

 

 
               747,624  
            

 

 

 

Mining 1.3%

            

a Anglo American Capital PLC, 4.75%, 4/10/27

   South Africa        200,000          196,394  

Barrick North America Finance LLC,

            

5.75%, 5/01/43

   Canada        20,000          19,874  

5.70%, 5/30/41

   Canada        20,000          19,785  

BHP Billiton Finance USA Ltd., 5.00%, 9/30/43

   Australia        20,000          18,674  

b Freeport Indonesia PT, 5.315%, 4/14/32

   Indonesia        200,000          194,101  

Freeport-McMoRan, Inc., 5.45%, 3/15/43

   United States        50,000          47,528  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

a Glencore Funding LLC, 3.875%, 10/27/27

   Australia        20,000          19,090  

Yamana Gold, Inc., 4.625%, 12/15/27

   Canada        20,000          19,351  
            

 

 

 
                534,797  
            

 

 

 

Miscellaneous Manufacturing 0.0%

            

Eaton Corp., 4.15%, 11/02/42

   United States        10,000          8,504  
            

 

 

 

Oil & Gas 4.6%

            

Apache Corp.,

            

5.10%, 9/01/40

   United States        30,000          25,622  

4.25%, 1/15/44

   United States        40,000          29,778  

7.75%, 12/15/29

   United States        10,000          10,925  

BP Capital Markets America, Inc.,

            

2.772%, 11/10/50

   United States        30,000          18,453  

3.41%, 2/11/26

   United States        30,000          29,167  

3.588%, 4/14/27

   United States        10,000          9,620  

1.749%, 8/10/30

   United States        30,000          24,917  

Chevron Corp., 1.995%, 5/11/27

   United States        10,000          9,243  

a Chord Energy Corp., 6.375%, 6/01/26

   United States        40,000          40,023  

Continental Resources, Inc.,

            

4.375%, 1/15/28

   United States        30,000          28,857  

a 5.75%, 1/15/31

   United States        20,000          19,676  

4.90%, 6/01/44

   United States        20,000          16,366  

a 2.268%, 11/15/26

   United States        10,000          9,287  

Coterra Energy, Inc.,

            

3.90%, 5/15/27

   United States        50,000          48,114  

4.375%, 3/15/29

   United States        50,000          47,840  

Devon Energy Corp.,

            

5.60%, 7/15/41

   United States        80,000          74,478  

5.85%, 12/15/25

   United States        20,000          20,059  

4.50%, 1/15/30

   United States        20,000          19,254  

Diamondback Energy, Inc.,

            

3.50%, 12/01/29

   United States        30,000          27,678  

4.40%, 3/24/51

   United States        20,000          15,995  

Ecopetrol SA, 8.875%, 1/13/33

   Colombia        130,000          134,340  

EOG Resources, Inc.,

            

4.95%, 4/15/50

   United States        30,000          27,524  

3.90%, 4/01/35

   United States        20,000          17,918  

4.375%, 4/15/30

   United States        10,000          9,763  

EQT Corp.,

            

5.00%, 1/15/29

   United States        30,000          29,461  

3.90%, 10/01/27

   United States        50,000          47,827  

Exxon Mobil Corp.,

            

3.482%, 3/19/30

   United States        20,000          18,654  

4.114%, 3/01/46

   United States        60,000          49,614  

b KazMunayGas National Co. JSC, 3.50%, 4/14/33

   Kazakhstan        200,000          164,119  

Occidental Petroleum Corp.,

            

7.50%, 5/01/31

   United States        20,000          22,077  

3.20%, 8/15/26

   United States        40,000          38,070  

6.625%, 9/01/30

   United States        60,000          62,961  

6.60%, 3/15/46

   United States        50,000          52,193  

6.45%, 9/15/36

   United States        40,000          41,805  

4.40%, 4/15/46

   United States        20,000          15,715  

4.625%, 6/15/45

   United States        30,000          23,873  

4.50%, 7/15/44

   United States        20,000          15,455  

4.20%, 3/15/48

   United States        40,000          30,535  

5.55%, 3/15/26

   United States        20,000          19,975  

3.40%, 4/15/26

   United States        20,000          19,222  

4.10%, 2/15/47

   United States        10,000          7,530  

Petrobras Global Finance BV, 6.50%, 7/03/33

   Brazil        120,000          119,587  

Pioneer Natural Resources Co.,

            

2.15%, 1/15/31

   United States        30,000          25,200  

1.125%, 1/15/26

   United States        10,000          9,383  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

a Range Resources Corp., 4.75%, 2/15/30

   United States        40,000          37,559  

Shell International Finance BV,

            

4.00%, 5/10/46

   Netherlands        30,000          24,149  

2.75%, 4/06/30

   Netherlands        20,000          17,841  

3.25%, 4/06/50

   Netherlands        20,000          13,895  

6.375%, 12/15/38

   Netherlands        10,000          11,026  

4.375%, 5/11/45

   Netherlands        10,000          8,530  

Southwestern Energy Co., 5.375%, 3/15/30

   United States        50,000          48,335  

b Tengizchevroil Finance Co. International Ltd.,

            

3.25%, 8/15/30

   Kazakhstan        200,000          165,376  
            

 

 

 
                1,854,864  
            

 

 

 

Oil & Gas Services 0.0%

            

Halliburton Co.,

            

4.85%, 11/15/35

   United States        10,000          9,515  

5.00%, 11/15/45

   United States        10,000          9,061  
            

 

 

 
               18,576  
            

 

 

 

Oil, Gas & Consumable Fuels 0.1%

            

Cheniere Energy, Inc., 4.625%, 10/15/28

   United States        20,000          19,424  

Chevron Corp., 3.078%, 5/11/50

   United States        10,000          6,831  
            

 

 

 
               26,255  
            

 

 

 

Paper & Forest Products 0.1%

            

Suzano Austria GmbH, 3.75%, 1/15/31

   Brazil        60,000          52,314  
            

 

 

 

Personal Care Products 0.1%

            

Kenvue, Inc., 4.90%, 3/22/33

   United States        30,000          29,680  

Procter & Gamble Co., 3.00%, 3/25/30

   United States        10,000          9,205  
            

 

 

 
               38,885  
            

 

 

 

Pharmaceuticals 2.4%

            

AbbVie, Inc.,

            

4.25%, 11/21/49

   United States        30,000          25,019  

3.20%, 11/21/29

   United States        70,000          64,249  

2.60%, 11/21/24

   United States        100,000          98,905  

4.80%, 3/15/29

   United States        20,000          19,927  

4.95%, 3/15/31

   United States        10,000          9,977  

5.05%, 3/15/34

   United States        20,000          19,949  

Becton Dickinson & Co., 4.685%, 12/15/44

   United States        10,000          8,818  

Bristol-Myers Squibb Co., 4.55%, 2/20/48

   United States        10,000          8,576  

5.10%, 2/22/31

   United States        10,000          10,041  

5.20%, 2/22/34

   United States        50,000          49,917  

5.65%, 2/22/64

   United States        10,000          9,776  

Cigna Group,

            

4.80%, 8/15/38

   United States        50,000          45,974  

4.375%, 10/15/28

   United States        30,000          29,139  

2.375%, 3/15/31

   United States        20,000          16,787  

CVS Health Corp.,

            

5.05%, 3/25/48

   United States        90,000          77,602  

3.875%, 7/20/25

   United States        10,000          9,823  

2.125%, 9/15/31

   United States        70,000          56,224  

Eli Lilly & Co.,

            

4.70%, 2/09/34

   United States        30,000          29,427  

5.10%, 2/09/64

   United States        30,000          28,680  

Johnson & Johnson, 3.625%, 3/03/37

   United States        50,000          43,666  

Merck & Co., Inc., 1.45%, 6/24/30

   United States        20,000          16,552  

Pfizer, Inc.,

            

1.70%, 5/28/30

   United States        50,000          42,103  

7.20%, 3/15/39

   United States        20,000          23,609  

Teva Pharmaceutical Finance Netherlands III BV, 8.125%, 9/15/31

   Israel        200,000          222,622  
            

 

 

 
               967,362  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Pipelines 3.2%

            

Cameron LNG LLC,

            

a 2.902%, 7/15/31

   United States        10,000          8,611  

a 3.302%, 1/15/35

   United States        30,000          24,714  

Cheniere Energy Partners LP, 3.25%, 1/31/32

   United States        40,000          34,167  

Columbia Pipelines Operating Co. LLC,

            

a 6.036%, 11/15/33

   United States        30,000          30,672  

a 6.544%, 11/15/53

   United States        10,000          10,546  

Energy Transfer LP,

            

6.25%, 4/15/49

   United States        90,000          89,610  

3.75%, 5/15/30

   United States        20,000          18,405  

2.90%, 5/15/25

   United States        20,000          19,516  

5.25%, 4/15/29

   United States        20,000          19,929  

5.55%, 5/15/34

   United States        20,000          19,806  

Enterprise Products Operating LLC,

            

2.80%, 1/31/30

   United States        40,000          35,742  

3.70%, 1/31/51

   United States        80,000          59,023  

Series H, 6.65%, 10/15/34

   United States        10,000          10,977  

4.15%, 10/16/28

   United States        30,000          29,015  

5.375% to 2/15/28, FRN thereafter, 2/15/78

   United States        10,000          9,365  

4.85%, 1/31/34

   United States        30,000          29,144  

Kinder Morgan, Inc.,

            

5.55%, 6/01/45

   United States        10,000          9,335  

4.30%, 6/01/25

   United States        10,000          9,873  

4.30%, 3/01/28

   United States        10,000          9,712  

MPLX LP,

            

4.875%, 6/01/25

   United States        10,000          9,915  

4.875%, 12/01/24

   United States        20,000          19,917  

5.20%, 3/01/47

   United States        50,000          44,692  

4.50%, 4/15/38

   United States        20,000          17,451  

4.80%, 2/15/29

   United States        20,000          19,612  

b Oleoducto Central SA, 4.00%, 7/14/27

   Colombia        200,000          185,538  

ONEOK, Inc.,

            

6.05%, 9/01/33

   United States        20,000          20,601  

6.625%, 9/01/53

   United States        40,000          42,719  

5.55%, 11/01/26

   United States        10,000          10,044  

5.80%, 11/01/30

   United States        20,000          20,484  

Southern Natural Gas Co. LLC, 8.00%, 3/01/32

   United States        20,000          22,769  

Targa Resources Corp., 4.95%, 4/15/52

   United States        10,000          8,528  

Targa Resources Partners LP/Targa Resources Partners Finance Corp.,

            

5.00%, 1/15/28

   United States        30,000          29,404  

6.875%, 1/15/29

   United States        30,000          30,783  

4.875%, 2/01/31

   United States        30,000          28,646  

a Tennessee Gas Pipeline Co. LLC, 2.90%, 3/01/30

   United States        20,000          17,485  

Transcontinental Gas Pipe Line Co. LLC, 7.85%, 2/01/26

   United States        60,000          61,759  

a Venture Global Calcasieu Pass LLC, 3.875%, 11/01/33

   United States        50,000          42,650  

Western Midstream Operating LP,

            

3.10%, 2/01/25

   United States        10,000          9,835  

4.05%, 2/01/30

   United States        80,000          74,454  

5.25%, 2/01/50

   United States        20,000          17,548  

Williams Cos., Inc.,

            

5.75%, 6/24/44

   United States        20,000          19,604  

3.50%, 11/15/30

   United States        50,000          45,344  

5.15%, 3/15/34

   United States        30,000          29,281  
            

 

 

 
                1,307,225  
            

 

 

 

Real Estate Investment Trusts (REITs) 0.1%

            

Service Properties Trust, 8.375%, 6/15/29

   United States        20,000          19,677  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Retail 0.5%

            

Costco Wholesale Corp.,

            

1.60%, 4/20/30

   United States        20,000          16,818  

1.375%, 6/20/27

   United States        40,000          36,347  

Home Depot, Inc.,

            

3.90%, 6/15/47

   United States        50,000          39,467  

2.70%, 4/15/30

   United States        20,000          17,825  

2.50%, 4/15/27

   United States        20,000          18,736  

Lowe’s Cos., Inc., 4.50%, 4/15/30

   United States        10,000          9,708  

McDonald’s Corp.,

            

4.20%, 4/01/50

   United States        30,000          23,933  

3.60%, 7/01/30

   United States        20,000          18,528  

3.50%, 3/01/27

   United States        10,000          9,602  

Walmart, Inc.,

            

1.80%, 9/22/31

   United States        10,000          8,242  

1.50%, 9/22/28

   United States        20,000          17,673  
            

 

 

 
               216,879  
            

 

 

 

Semiconductors 0.5%

            

a Broadcom, Inc., 4.926%, 5/15/37

   United States        90,000          84,690  

Intel Corp.,

            

4.75%, 3/25/50

   United States        30,000          25,843  

5.125%, 2/10/30

   United States        20,000          20,091  

1.60%, 8/12/28

   United States        20,000          17,511  

Micron Technology, Inc.,

            

5.875%, 2/09/33

   United States        10,000          10,221  

5.30%, 1/15/31

   United States        20,000          19,960  

NXP BV/NXP Funding LLC/NXP USA, Inc.,

            

2.70%, 5/01/25

   China        20,000          19,531  

Texas Instruments, Inc., 1.75%, 5/04/30

   United States        20,000          16,902  
            

 

 

 
               214,749  
            

 

 

 

Software 0.3%

            

Microsoft Corp., 2.921%, 3/17/52

   United States        10,000          6,794  

Oracle Corp.,

            

3.60%, 4/01/50

   United States        10,000          7,005  

2.875%, 3/25/31

   United States        50,000          43,192  

1.65%, 3/25/26

   United States        50,000          46,892  
            

 

 

 
                103,883  
            

 

 

 

Telecommunications 1.5%

            

AT&T, Inc.,

            

4.30%, 2/15/30

   United States        20,000          19,166  

1.70%, 3/25/26

   United States        10,000          9,391  

3.50%, 9/15/53

   United States        30,000          20,381  

2.55%, 12/01/33

   United States        40,000          31,819  

3.55%, 9/15/55

   United States        20,000          13,495  

5.55%, 8/15/41

   United States        30,000          29,244  

Rogers Communications, Inc., 5.30%, 2/15/34

   Canada        20,000          19,632  

Telefonica Emisiones SA, 5.213%, 3/08/47

   Spain        150,000          132,581  

T-Mobile USA, Inc.,

            

3.50%, 4/15/25

   United States        20,000          19,667  

3.00%, 2/15/41

   United States        10,000          7,160  

3.375%, 4/15/29

   United States        50,000          46,213  

5.15%, 4/15/34

   United States        20,000          19,665  

Verizon Communications, Inc.,

            

4.329%, 9/21/28

   United States        100,000          97,253  

4.862%, 8/21/46

   United States        40,000          36,306  

2.355%, 3/15/32

   United States        120,000          98,138  
            

 

 

 
               600,111  
            

 

 

 

Transportation 0.2%

            

Burlington Northern Santa Fe LLC, 2.875%, 6/15/52

   United States        10,000          6,324  

Canadian Pacific Railway Co., 3.10%, 12/02/51

   Canada        20,000          13,295  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Union Pacific Corp.,

            

3.75%, 2/05/70

   United States        20,000          13,974  

3.839%, 3/20/60

   United States        40,000          29,418  

2.891%, 4/06/36

   United States        20,000          16,126  
            

 

 

 
               79,137  
            

 

 

 

Wireless Telecommunication Services 0.4%

            

T-Mobile USA, Inc., 3.875%, 4/15/30

   United States        170,000          158,961  
            

 

 

 

Total Corporate Bonds & Notes

            

(Cost $15,928,172)

               16,256,565  
            

 

 

 

U.S. Government & Agency

            

Securities 50.2%

            

Federal Home Loan Mortgage Corp.,

            

2.00%, 3/01/41

   United States        72,146          60,977  

2.00%, 8/01/41

   United States        399,862          337,952  

2.00%, 12/01/41

   United States        82,374          68,974  

2.00%, 5/01/42

   United States        190,519          159,346  

2.00%, 7/01/50

   United States        56,553          44,692  

2.50%, 11/01/51

   United States        81,025          67,825  

3.00%, 9/01/40

   United States        241,951          216,203  

5.00%, 4/01/53

   United States        92,542          90,422  

6.00%, 8/01/53

   United States        847,620          854,125  

Federal National Mortgage Association,

            

1.50%, 11/01/41

   United States        82,682          66,688  

1.50%, 3/01/42

   United States        96,597          77,911  

2.00%, 6/01/42

   United States        94,728          79,247  

2.00%, 8/01/42

   United States        187,192          156,234  

2.00%, 6/01/50

   United States        174,446          138,016  

2.00%, 7/01/51

   United States        95,300          75,100  

2.00%, 3/01/52

   United States        380,253          303,079  

2.50%, 11/01/41

   United States        233,344          201,564  

2.50%, 12/01/51

   United States        81,872          68,613  

2.50%, 2/01/52

   United States        2,112,029          1,753,830  

3.00%, 7/01/50

   United States        42,729          36,822  

3.00%, 9/01/51

   United States        73,163          62,782  

3.00%, 12/01/51

   United States        93,760          80,528  

3.00%, 9/01/61

   United States        257,129          213,888  

3.50%, 3/01/52

   United States        252,276          224,485  

5.00%, 7/01/53

   United States        91,047          89,486  

5.50%, 11/01/52

   United States        180,719          178,802  

5.50%, 4/01/53

   United States        359,688          355,741  

5.50%, 7/01/53

   United States        93,837          93,362  

6.50%, 10/01/53

   United States        93,404          95,522  

6.50%, 4/01/54

   United States        94,973          97,190  

Government National Mortgage Association,

            

2.00%, 8/20/50

   United States        58,870          47,676  

2.00%, 10/20/50

   United States        126,579          102,578  

2.00%, 11/20/50

   United States        64,673          52,449  

2.00%, 1/20/51

   United States        134,361          108,907  

2.00%, 2/20/51

   United States        74,120          58,228  

2.00%, 4/20/51

   United States        76,257          59,907  

2.00%, 7/20/51

   United States        76,221          61,735  

2.50%, 8/20/51

   United States        612,181          514,991  

2.50%, 9/20/51

   United States        77,873          65,509  

5.00%, 8/20/52

   United States        175,839          171,590  

5.00%, 8/20/53

   United States        93,895          91,903  

5.50%, 3/20/53

   United States        93,030          92,998  

5.50%, 4/20/53

   United States        91,717          91,072  

5.50%, 5/20/53

   United States        93,814          93,175  

5.50%, 5/20/53

   United States        94,917          94,922  

5.50%, 8/20/53

   United States        96,441          96,687  

6.00%, 7/20/53

   United States        95,606          96,417  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

6.00%, 9/20/53

   United States        98,447          99,095  

6.50%, 1/20/54

   United States        98,891          101,027  

Government National Mortgage Association, TBA,

            

2.50%, 7/20/54

   United States        100,000          84,074  

3.00%, 7/20/54

   United States        400,000          348,562  

3.50%, 7/20/54

   United States        400,000          359,187  

4.00%, 7/20/54

   United States        300,000          277,254  

4.50%, 7/20/54

   United States        200,000          190,155  

6.00%, 7/20/54

   United States        200,000          200,862  

U.S. Treasury Bills,

            

5.374%, 9/26/24

   United States        660,000          651,674  

5.39%, 8/08/24

   United States        210,000          208,840  

U.S. Treasury Bonds,

            

3.625%, 5/15/53

   United States        1,090,000          927,735  

4.125%, 8/15/53

   United States        80,000          74,516  

4.25%, 2/15/54

   United States        100,000          95,242  

4.375%, 8/15/43

   United States        2,250,000          2,172,480  

4.625%, 5/15/44

   United States        10,000          9,983  

4.75%, 11/15/43

   United States        280,000          283,806  

4.75%, 11/15/53

   United States        1,370,000          1,416,559  

U.S. Treasury Notes,

            

4.00%, 2/15/34

   United States        30,000          29,126  

4.125%, 3/31/29

   United States        360,000          356,393  

4.125%, 3/31/31

   United States        370,000          365,202  

4.25%, 2/28/29

   United States        20,000          19,914  

4.375%, 11/30/30

   United States        130,000          130,132  

4.625%, 9/15/26

   United States        70,000          69,918  

4.625%, 9/30/28

   United States        100,000          100,861  

4.625%, 4/30/29

   United States        10,000          10,116  

4.625%, 5/31/31

   United States        340,000          345,578  

4.875%, 10/31/28

   United States        10,000          10,188  

5.00%, 9/30/25

   United States        60,000          59,981  

Uniform Mortgage-Backed Security, TBA,

            

2.00%, 7/01/54

   United States        300,000          234,680  

3.00%, 7/01/54

   United States        1,300,000          1,106,016  

3.50%, 7/01/54

   United States        400,000          354,062  

4.00%, 7/01/54

   United States        500,000          457,559  

4.50%, 7/01/54

   United States        500,000          471,426  

5.00%, 7/01/54

   United States        300,000          289,969  

6.50%, 7/01/54

   United States        200,000          203,578  
            

 

 

 

Total U.S. Government & Agency Securities (Cost $20,315,633)

               20,365,900  
            

 

 

 

Foreign Government and Agency Securities 0.9%

            

b Dominican Republic International Bonds, 6.000%, 2/22/33

   Dominican Republic        200,000          194,039  

Mexico Government International Bonds, 4.875%, 5/19/33

   Mexico        200,000          184,705  
            

 

 

 

Total Foreign Government and Agency Securities (Cost $366,958)

               378,744  
            

 

 

 

Senior Floating Rate Interest 0.1%

            

Health Care Services 0.1%

            

Sotera Health Holdings LLC, 2024 Term Loan B, 1 mo. USD Term SOFR + 3.25%, 8.594%, 5/30/31

   United States        30,000          29,988  
            

 

 

 

Total Floating Rate Loans (Cost $29,851)

               29,988  
            

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

Asset-Backed Securities 8.4%

            

c Accredited Mortgage Loan Trust, Series 2004-4, Class A2D, 1 mo. USD Term SOFR + 0.81%, 5.204%, 1/25/35

   United States        97,399          93,858  

Ally Auto Receivables Trust, Series 2022-3, Class A3, ABS, 5.07%, 4/15/27

   United States        95,883          95,594  

a,c ARES XLIV CLO Ltd., Series 2017-44A, Class A1R, 3 mo. USD Term SOFR + 1.34%,
6.67%, 4/15/34

   Cayman Islands        100,000          100,215  

a Avis Budget Rental Car Funding AESOP LLC, Series 2023-8A, Class A, 6.02%, 2/20/30

   United States        150,000          154,001  

a,c Bain Capital Credit CLO Ltd., Series 2023-1A, Class AN, 3 mo. USD Term SOFR + 1.83%, 7.158%, 4/16/36

   Jersey        200,000          201,344  

Bayview Opportunity Master Fund VII LLC,

            

a,c Series 2024-EDU1, Class C, 30 day USD SOFR Average + 1.80%, 7.135%, 6/25/47

   United States        94,956          95,418  

a,c Series 2024-EDU1, Class A, 30 day USD SOFR Average + 1.45%, 6.785%, 6/25/47

   United States        94,956          95,411  

Capital One Multi-Asset Execution Trust, Series 2022-A1, Class A1, ABS, 2.80%, 3/15/27

   United States        100,000          98,130  

Capital One Prime Auto Receivables Trust, Series 2022-2, Class A3, ABS, 3.66%, 5/17/27

   United States        100,000          98,454  

CarMax Auto Owner Trust, Series 2023-4, Class A2A, ABS, 6.08%, 12/15/26

   United States        84,755          85,026  

a College Avenue Student Loans LLC, Series 2021-C, Class C, 3.06%, 7/26/55

   United States        189,113          168,531  

a,c Dryden 87 CLO Ltd., Series 2021-87A, Class A1, 3 mo. USD Term SOFR + 1.36%,
6.687%, 5/20/34

   Cayman Islands        350,000          350,660  

a Ent Auto Receivables Trust, Series 2023-1A, Class A4, 6.26%, 11/15/29

   United States        100,000          101,683  

a Enterprise Fleet Financing LLC, Series 2023-1, Class A2, 5.51%, 1/22/29

   United States        88,988          88,857  

Ford Credit Auto Lease Trust, Series 2023-A, Class A4, ABS, 4.83%, 5/15/26

   United States        100,000          99,426  

GM Financial Automobile Leasing Trust, Series 2023-1, Class A3, ABS, 5.16%, 4/20/26

   United States        100,000          99,798  

a,c GoldentTree Loan Management U.S. CLO 1 Ltd., Series 2021-11A, Class A, 3 mo. USD Term SOFR + 1.39%, 6.716%, 10/20/34

   Cayman Islands        300,000          300,666  

a,c Nelnet Student Loan Trust, Series 2021-CA, Class AFL, 1 mo. USD Term SOFR + 0.85%, 6.193%, 4/20/62

   United States        118,932          118,040  

c New Century Home Equity Loan Trust, Series 2004-2, Class M2, 1 mo. USD Term SOFR + 1.04%, 6.39%, 8/25/34

   United States        119,279          125,269  

a,c Point Au Roche Park CLO Ltd., Series 2021-1A, Class A, 3 mo. USD Term SOFR + 1.34%, 6.666%, 7/20/34

   Cayman Islands        100,000          100,159  

Santander Drive Auto Receivables Trust,

            

Series 2022-3, Class B, ABS, 4.13%, 8/16/27

   United States        100,000          99,032  

Series 2023-5, Class A2, ABS, 6.31%, 7/15/27

   United States        76,391          76,581  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

a Sapphire Aviation Finance II Ltd., Series 2020-1A, Class A, 3.228%, 3/15/40

   Cayman Islands        153,327          140,887  

a,c Symphony CLO 40 Ltd., Series 2023-40A, Class A1, 3 mo. USD Term SOFR + 1.64%, 6.969%, 1/14/34

   Bermuda        160,000          160,357  

Volkswagen Auto Loan Enhanced Trust, Series 2023-2, Class A2A, ABS, 5.72%, 3/22/27

   United States        92,286          92,388  

a,c Voya CLO Ltd., Series 2018-2A, Class A1, 3 mo. USD Term SOFR + 1.26%, 6.59%, 7/15/31

   Cayman Islands        180,060          180,315  
            

 

 

 

Total Asset-Backed Securities (Cost $3,374,436)

               3,420,100  
            

 

 

 

Agency Commercial Mortgage- Backed Securities 1.5%

            

Federal Home Loan Mortgage Corp. REMICS, Series 5274, Class IO, CMO, IO,
2.50%, 1/25/51

   United States        633,845          104,693  

Federal Home Loan Mortgage Corp. STACR REMICS Trust,

            

a,c Series 2022-DNA2, Class M2, 30 day USD SOFR Average + 3.75%, 9.085%, 2/25/42

   United States        100,000          105,157  

a,c Series 2022-DNA2, Class M1B, 30 day USD SOFR Average + 2.40%, 7.735%, 2/25/42

   United States        170,000          174,427  

a,c Series 2022-DNA4, Class M1B, 30 day USD SOFR Average + 3.35%, 8.685%, 5/25/42

   United States        100,000          105,117  

a,c Series 2022-DNA1, Class M1B, 30 day USD SOFR Average + 1.85%, 7.185%, 1/25/42

   United States        100,000          101,242  
            

 

 

 

Total Agency Commercial Mortgage- Backed Securities
(Cost $577,261)

               590,636  
            

 

 

 

Commercial Mortgage- Backed Securities 7.0%

            

a,c 2023-MIC Trust, Series 2023-MIC, Class A, 8.732%, 12/05/38

   United States        100,000          107,607  

Angel Oak Mortgage Trust,

            

a,c Series 2022-3, Class A3, 4.139%, 1/25/67

   United States        99,441          90,265  

a Series 2023-1, Class A1, 4.75%, 9/26/67

   United States        142,488          139,314  

Bank, Series 2017-BNK7, Class A5, 3.435%, 9/15/60

   United States        100,000          94,225  

Benchmark Mortgage Trust, Series 2023-B39, Class A5, 5.754%, 7/15/56

   United States        150,000          154,938  

a,c BPR Trust, Series 2022-OANA, Class A, 1 mo. USD Term SOFR + 1.90%, 7.227%, 4/15/37

   United States        100,000          100,158  

BX Commercial Mortgage Trust,

            

a,c Series 2021-VOLT, Class A, 1 mo. USD Term SOFR + 0.81%, 6.143%, 9/15/36

   United States        110,000          108,705  

a,c Series 2024-XL5, Class A, 1 mo. USD Term SOFR + 1.39%, 6.721%, 3/15/41

   United States        95,898          95,508  

BX Trust,

            

a Series 2019-OC11, Class A, 3.202%, 12/09/41

   United States        130,000          115,772  

a,c Series 2021-BXMF, Class A, 1 mo. USD Term SOFR + 0.75%, 6.079%, 10/15/26

   United States        102,588          101,316  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

                                       

CGMS Commercial Mortgage Trust, Series 2017-B1, Class A3, 3.197%, 8/15/50

   United States        164,500          155,103  

a,c Extended Stay America Trust, Series 2021-ESH, Class C, 1 mo. USD Term SOFR + 1.81%, 7.144%, 7/15/38

   United States        127,091          126,891  

a,c FS Commercial Mortgage Trust, Series 2023-4AZN, Class B, 7.795%, 11/10/39

   United States        100,000          103,753  

a,c GCAT Trust, Series 2024-INV1, Class 1A2, 5.50%, 1/25/54

   United States        96,298          94,092  

c GS Mortgage Securities Trust, Series 2018-GS10, Class A5, 4.155%, 7/10/51

   United States        110,000          103,818  

a,c LAQ Mortgage Trust, Series 2023-LAQ, Class A, 1 mo. USD Term SOFR + 2.09%,
7.42%, 3/15/36

   United States        59,291          59,371  

a,c Morgan Stanley Residential Mortgage Loan Trust, Series 2024-INV2, Class A1,
6.50%, 2/25/54

   United States        95,650          96,266  

c MSWF Commercial Mortgage Trust, Series 2023-2, Class A5, 6.014%, 12/15/56

   United States        100,000          105,285  

a,c NJ Trust, Series 2023-GSP, Class A, 6.697%, 1/06/29

   United States        100,000          103,226  

a,c NRTH Mortgage Trust, Series 2024-PARK, Class A, 1 mo. USD Term SOFR + 1.64%,
6.97%, 3/15/41

   United States        100,000          99,923  

a,c RCKT Mortgage Trust, Series 2024-INV1, Class A1, 6.50%, 6/25/54

   United States        100,000          101,647  

a SG Residential Mortgage Trust, Series 2022-2, Class A1, 5.353%, 8/25/62

   United States        106,718          105,309  

UBS Commercial Mortgage Trust, Series 2017-C4, Class A3, 3.301%, 10/15/50

   United States        118,434          110,578  

Verus Securitization Trust,

            

a Series 2023-4, Class A1, 5.811%, 5/25/68

   United States        85,085          84,661  

a,c Series 2022-7, Class A3, 5.35%, 7/25/67

   United States        99,048          97,593  

a Series 2024-4, Class A3, 6.674%, 6/25/69

   United States        98,480          98,984  

a Series 2024-3, Class A3, 6.845%, 4/25/69

   United States        98,122          99,031  
            

 

 

 

Total Commercial Mortgage- Backed Securities (Cost $2,805,355)

               2,853,339  
            

 

 

 

 

     Counterparty    Expiration    Contracts     

Notional

Amount*

          

Purchased Options 0.0%†

                  

OTC Purchased Option 0.0%

                  

Interest rate swaption, U.S. Dollar/Euro, Put @ $4.250

   JP Morgan Chase Bank NA    11/29/24    270,000      $ 270,000          3,922  
                  

 

 

 

Total OTC Purchased Option (Cost $5,976)

                     3,922  
                  

 

 

 

Total Investments before Short-Term Investments (Cost $43,403,642)

                     43,899,194  
                  

 

 

 


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

     Country      Principal Amount*           

Short-Term Investments 1.4%

            

Money Market Funds 1.4%

            

d Invesco Government & Agency Portfolio, 4.68%

   United States        593,749        $ 593,749  
            

 

 

 

Total Short-Term Investments (Cost $593,749)

               593,749  
            

 

 

 

Total Investments (Cost $43,997,391) 109.6%

               44,492,943  

Other Assets, less Liabilities (9.6)%

               (3,915,334
            

 

 

 

Net Assets 100.0%

             $ 40,577,609  
            

 

 

 

*The principal amount is stated in U.S. dollars unless otherwise indicated.

Rounds to less than 0.1% of net assets.

aSecurity was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. At June 30, 2024, the value of was $7,306,302, representing 18.0% of net assets.

bSecurity was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. At June 30, 2024, the value of was $1,583,554, representing 3.9% of net assets.

cVariable rate security. The rate shown represents the yield at period end.

dThe rate shown is the annualized seven-day effective yield at period end.

At June 30, 2024, the Fund had the following centrally cleared credit default swap contracts outstanding.

Centrally Cleared Credit Default Swap Contracts

 

Description   

Periodic

Payment

Rate

Received

(Paid)

    

Payment

Frequency

    

Maturity

Date

    

Notional

Amount

     Value     

Unamortized

Upfront

Payments

(Receipts)

    

Unrealized

Appreciation

(Depreciation)

 

Credit rate contracts

                              

Intercontinental Exchange, Inc.

     1.00%        Quarterly        6/20/29        $954,000        $19,628        $21,058           $(1,430
                       

 

 

 
                          $(1,430
                       

 

 

 

At June 30, 2024, the Fund had the following interest rate swap contracts outstanding.

Interest Rate Swap Contracts

 

Description   

Periodic

Payment

Rate

Received

(Paid)

    

Payment

Frequency

     Maturity
Date
    

Notional

Amount

     Value    

Unamortized

Upfront

Payments

(Receipts)

   

Unrealized

Appreciation

(Depreciation)

 

Interest rate contracts

                     

Chicago Mercantile Exchange

     (3.15)%        Annually        5/15/48      $ 1,113,000      $ 114,867       $126,166              $(11,300

Chicago Mercantile Exchange

     (3.87)%        Annually        2/28/31      $ 1,307,000      $ 7,923       $  (4,375        $ 12,299  

Chicago Mercantile Exchange

     (4.2)%        Annually        4/30/31      $ 2,207,000      $ (35,343     $ (18,801        $(16,542
                     

 

 

 
                        $(15,543
                     

 

 

 

At June 30, 2024, the Fund had the following futures contracts outstanding.

Futures Contracts

 

Description    Type      Number of
Contracts
    

Notional

Amount*

    

Expiration

Date

    

Value/Unrealized

Appreciation

(Depreciation)

 

Interest rate contracts

                        

3-Month CME Term SOFR

     Long        8        $1,902,900        3/18/25           $(4,504

3-Month CME Term SOFR

     Long        21        5,041,575        3/17/26           (608

U.S. Treasury 10 Yr. Note

     Long        28        3,079,562        9/19/24           18,342  


FRANKLIN TEMPLETON ETF TRUST

SCHEDULE OF INVESTMENTS, June 30, 2024 (unaudited) (continued)

 

Futures Contracts (continued)

 

Interest rate contracts (continued)

                 

U.S. Treasury 2 Yr. Note

     Long        14        $2,859,063        9/30/24           $ 2,707  

U.S. Treasury 5 Yr. Note

     Long        37        3,943,391        9/30/24           15,829  

U.S. Treasury Bond Long

     Long        14        1,656,375        9/19/24           18,991  

U.S. Treasury Bond Ultra

     Short        1        125,344        9/19/24           1,404  

U.S. Treasury Ultra 10 Yr. (CBT)

     Short        11        1,248,844        9/19/24           (8,901
                 

 

 

 

Total Futures Contracts

                    $43,260  
                 

 

 

 

*As of period end.

At June 30, 2024, the Fund had the following written options contracts.

Written Options

 

Description    Counterparty     

Expiration

Date

    

Strike

Price

     Contracts     

Notional

Amount*

     Value  

OTC Written Options

                 

Interest rate swaption, Put

     JP Morgan Chase Bank NA        11/29/24        445.00bps        830,000        $830,000        $3,464  
                 

 

 

 

(Premiums received—$2,332)

                 

Call Options Written

                 

U.S. Treasury 5 Yr. Note 107.50 Call

        7/26/24        107.50        4        $426,312        $  719  

U.S. Treasury Bond 122.00 Call

        7/26/24        122.00        1        118,313        451  

(Premiums received—$1,444)

                 
                 

 

 

 

Total

                    $1,170  
                 

 

 

 

*Notional amount denominated in U.S. dollars, unless otherwise noted.

Abbreviations

Selected Portfolio

 

bps   –  basis point spread (100 basis points = 1.00%)
CLO   –  Collateralized Loan Obligation
FRN   –  Floating Rate Note
SOFR   –  Secured Overnight Financing Rate


Franklin Templeton ETF Trust

Notes to Schedules of Investments (unaudited)

1.  ORGANIZATION

Franklin Templeton ETF Trust (Trust) is registered under the Investment Company Act of 1940 (1940 Act) as an open-end management investment company, consisting of forty-nine separate funds (Funds). The Funds follow the accounting and reporting guidance in Financial Accounting Standards Board (FASB) Accounting Standard Codification Topic 946, Financial Services – Investment Companies (ASC 946) and apply the specialized accounting and reporting guidance in U.S. Generally Accepted Accounting Principles (U.S. GAAP), including, but not limited to, ASC 946. Franklin Systematic Style Premia ETF’s Schedule of Investments have been consolidated and include the accounts of the Fund, Franklin Systematic Style Premia ETF, and the FLSP Holdings Corporation (Cayman Blocker). All intercompany transactions and Franklin Systematic Style Premia ETF’s investments in their FLSP Holdings Corporation (Cayman Blocker) are limited to 25% of consolidated assets. Each of the Funds are an exchange traded fund (ETF). The Funds seek to provide the investment results that closely correspond, before fees and expenses, to the performance of each Fund’s corresponding underlying index, with the exception of BrandywineGLOBAL - Dynamic US Large Cap Value ETF, BrandywineGLOBAL - U.S. Fixed Income ETF, ClearBridge Sustainable Infrastructure ETF, Martin Currie Sustainable International Equity ETF, Western Asset Bond ETF, Franklin High Yield Corporate ETF, Franklin Dynamic Municipal Bond ETF, Franklin International Aggregate Bond ETF, Franklin Investment Grade Corporate ETF, Franklin Municipal Green Bond ETF, Franklin Senior Loan ETF, Franklin Systematic Style Premia ETF, Franklin U.S. Core Bond ETF, Franklin Income Equity Focus ETF, Franklin U.S. Treasury Bond ETF, Franklin Disruptive Commerce ETF, Franklin Exponential Data ETF, Franklin Focused Growth ETF, Franklin Genomic Advancements ETF, Franklin Intelligent Machines ETF, Franklin Ultra Short Bond ETF and Franklin Income Focus ETF which are actively managed, thus they are not designed to track an index.

On February 29, 2024, the Board approved changes to Franklin U.S. Low Volatility ETF’s (i) name and ticker symbol, (ii) investment goal, strategies and policies (including the Fund’s 80% investment policy), (iii) primary benchmark index, and (iv) other related changes. Effective on or about May 31, 2024, the Fund was renamed the Franklin Income Equity Focus ETF (Ticker: INCE). The Fund’s investment goal has changed to seek income and capital appreciation with an emphasis on lower volatility.

2.  FINANCIAL INSTRUMENT VALUATION

The Funds’ investments in financial instruments are carried at fair value daily. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants on the measurement date. The Funds calculate the net asset value (NAV) per share as of 4 p.m. Eastern time each day the New York Stock Exchange (NYSE) is open for trading. Under compliance policies and procedures approved by the Trust’s Board of Trustees (the Board), the Funds’ administrator has responsibility for oversight of valuation, including leading the cross-functional Valuation Committee (VC).

The Funds may utilize independent pricing services, quotations from securities and financial instrument dealers, and other market sources to determine fair value.

Equity securities, exchange traded funds and derivative financial instruments listed on an exchange or on the NASDAQ National Market System are valued at the last quoted sale price or the official closing price of the day, respectively. Foreign equity securities are valued as of the close of trading on the foreign stock exchange on which the security is primarily traded or as of 4 p.m. Eastern time. The value is then converted into its U.S. dollar equivalent at the foreign exchange rate in effect at 4 p.m. London time on the day that the value of the security is determined. Over-the-counter (OTC) securities are valued within the range of the most recent quoted bid and ask prices. Securities that trade in multiple markets or on multiple exchanges are valued according to the broadest and most representative market. Certain equity securities are valued based upon fundamental characteristics or relationships to similar securities.

Debt securities generally trade in the OTC market rather than on a securities exchange. The Funds’ pricing services use multiple valuation techniques to determine fair value. In instances where sufficient market


activity exists, the pricing services may utilize a market-based approach through which quotes from market makers are used to determine fair value. In instances where sufficient market activity may not exist or is limited, the pricing services also utilize proprietary valuation models which may consider market characteristics such as benchmark yield curves, credit spreads, estimated default rates, anticipated market interest rate volatility, coupon rates, anticipated timing of principal repayments, underlying collateral, and other unique security features in order to estimate the relevant cash flows, which are then discounted to calculate the fair value. Securities denominated in a foreign currency are converted into their U.S. dollar equivalent at the foreign exchange rate in effect at 4 p.m. London time on the date that the values of the foreign debt securities are determined, for all funds except the Franklin High Yield Corporate ETF, Franklin International Aggregate Bond ETF, Franklin Investment Grade Corporate ETF, Franklin Senior Loan ETF and Franklin U.S. Treasury Bond ETF which uses the foreign exchange rate in effect at 4 p.m. Eastern time.

Investments in open-end mutual funds are valued at the closing NAV.

Certain derivative financial instruments are centrally cleared or trade in the OTC market. The Funds’ pricing services use various techniques including industry standard option pricing models and proprietary discounted cash flow models to determine the fair value of those instruments. The Funds’ net benefit or obligation under the derivative contract, as measured by the fair value of the contract, is included in net assets.

The Funds have procedures to determine the fair value of financial instruments for which market prices are not reliable or readily available. Under these procedures, the Funds primarily employ a market-based approach which may use related or comparable assets or liabilities, recent transactions, market multiples, book values and other relevant information for the investment to determine the fair value of the investment. An income-based valuation approach may also be used in which the anticipated future cash flows of the investment are discounted to calculate fair value. Discounts may also be applied due to the nature or duration of any restrictions on the disposition of the investments. Due to the inherent uncertainty of valuations of such investments, the fair values may differ significantly from the values that would have been used had an active market existed.

Trading in securities on foreign securities stock exchanges and OTC markets may be completed before 4 p.m. Eastern time. In addition, trading in certain foreign markets may not take place on every Funds’ business day. Occasionally, events occur between the time at which trading in a foreign security is completed and 4 p.m. Eastern time that might call into question the reliability of the value of a portfolio security held by the Fund. As a result, differences may arise between the value of the Funds’ portfolio securities as determined at the foreign market close and the latest indications of value at 4 p.m. Eastern time. The VC monitors price movements for significant events following the close of trading in foreign stock markets through a series of country specific market proxies (such as baskets of American Depositary Receipts, futures contracts and exchange traded funds). These price movements are measured against established trigger thresholds for each specific market proxy to assist in determining if an event has occurred that may call into question the reliability of the values of the foreign securities held by the Funds. If such an event occurs, the securities may be valued using fair value procedures, which may include the use of independent pricing services.

When the last day of the reporting period is a non-business day, certain foreign markets may be open on those days that the Funds’ NAV is not calculated, which could result in differences between the value of the Funds’ portfolio securities on the last business day and the last calendar day of the reporting period. Any significant security valuation changes due to an open foreign market are adjusted and reflected by the Funds for financial reporting purposes.

3.  INVESTMENTS IN AFFILIATED MANAGEMENT INVESTMENT COMPANIES

Certain or all Funds invest in one or more affiliated management investment companies. As defined in the 1940 Act, an investment is deemed to be a “Controlled Affiliate” of a fund when a fund owns, either directly or indirectly, 25% or more of the affiliated fund’s outstanding shares or has the power to exercise control over management or policies of such fund. The Funds do not invest for purposes of exercising a controlling influence over the management or policies. During the period ended June 30, 2024, investments in affiliated management investment companies were as follows:


    

Value at

Beginning

of Period

     Purchases      Sales    

Realized

Gain (Loss)

    

Net Change in

Unrealized

Appreciation

(Depreciation)

    

Value at

End of

Period

    

Number

of Shares

Held at

End of
Period

    

Investment

Income

 

 

 

Franklin Emerging

Market Core

Dividend Tilt Index ETF

Non-Controlled Affiliates

                        

Dividend

Income

 

 

                      

 

 

 

Institutional Fiduciary

Trust - Money Market

Portfolio, 5.09%

   $      $ 236,793      $ (236,793     $—        $—      $               $   127  
                

 

 

 

Franklin Exponential

Data ETF

Non-Controlled Affiliates

                        

Dividend

Income

 

 

                      

 

 

 

Institutional Fiduciary

Trust - Money Market

Portfolio, 5.09%

   $ 112,222      $ 24,589      $ (80,546     $—        $—      $ 56,265        56,265        $ 1,326  
                

 

 

 

Franklin Focused

Growth ETF

Non-Controlled Affiliates

                        

Dividend

Income

 

 

                      

 

 

 

Institutional Fiduciary

Trust - Money Market

Portfolio, 5.09%

   $ 223,033      $  1,602,545      $ (181,386     $—        $—      $  1,644,192        1,644,192        $ 5,345  
                

 

 

 

Franklin FTSE Asia ex

Japan ETF

Non-Controlled Affiliates

                        

Dividend

Income

 

 

                      

 

 

 

Institutional Fiduciary

Trust - Money Market

Portfolio, 5.09%

   $      $ 3,579,123      $ (3,579,123     $—        $—      $               $   756  
                

 

 

 

Franklin FTSE

Australia ETF

Non-Controlled Affiliates

                        

Dividend

Income

 

 

                      

 

 

 

Institutional Fiduciary

Trust - Money Market

Portfolio, 5.09%

   $      $ 630,694      $ (630,589     $—        $—      $ 105        105        $   535  
                

 

 

 

Franklin FTSE

Brazil ETF

Non-Controlled Affiliates

                        

Dividend

Income

 

 

                      

 

 

 

Institutional Fiduciary

Trust - Money Market

Portfolio, 5.09%

   $      $ 5,628,913      $  (5,567,721     $—        $—      $ 61,192        61,192        $ 4,376  
                

 

 

 

Franklin FTSE

Canada ETF

Non-Controlled Affiliates

                        

Dividend

Income

 

 

                      

 

 

 

Institutional Fiduciary

Trust - Money Market

Portfolio, 5.09%

   $      $ 4,370,679      $ (4,350,780     $—        $—      $ 19,899        19,899        $ 3,805  
                

 

 

 

Franklin FTSE

China ETF

Non-Controlled Affiliates

                        

Dividend

Income

 

 

                      

 

 

 

Institutional Fiduciary

Trust - Money Market

Portfolio, 5.09%

   $      $ 1,779,290      $ (1,728,822     $—        $—      $ 50,468        50,468        $   954  
                

 

 

 


    

Value at
Beginning

of Period

     Purchases      Sales    

Realized

Gain (Loss)

    

Net Change in
Unrealized
Appreciation

(Depreciation)

     Value at
End of
Period
    

Number

of Shares
Held at

End of
Period

    

Investment

Income

 

 

 

Franklin FTSE

Europe ETF
Non-Controlled Affiliates

                        
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $          —      $ 2,005,400      $ (2,001,864     $—        $—      $ 3,536        3,536        $   1,494  
                

 

 

 

Franklin FTSE

Eurozone ETF

Non-Controlled Affiliates

                        
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 2      $ 339,159      $ (339,161     $—        $—      $          —                 —        $    236  
                

 

 

 
Franklin FTSE Germany ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $      $ 571,461      $ (571,461)       $—        $—      $               $    392  
                

 

 

 

Franklin FTSE

Hong Kong ETF

Non-Controlled Affiliates

                        
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $      $ 208,582      $ (208,582     $—        $—      $               $    152  
                

 

 

 
Franklin FTSE India ETF
Non-Controlled Affiliates
                                                   Dividend
Income
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $      $  46,100,325      $  (42,027,816     $—        $—      $ 4,072,509        4,072,509        $ 21,667  
                

 

 

 
Franklin FTSE Japan ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 512,091      $  78,981,357      $  (79,001,765     $—        $—      $ 491,683        491,683        $ 68,405  
                

 

 

 
                        


Income
from
Securities
loaned
 
 
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

     $8,014,193      $ 2,035,287      $ (9,441,782     $—        $—      $ 607,698        607,698        $  7,954  
  

 

 

 

Total Affiliated Securities

     $8,526,284      $  81,016,644      $  (88,443,547     $—        $—      $ 1,099,381        1,099,381        $ 76,359  
  

 

 

 

Franklin FTSE

Japan Hedged ETF

Non-Controlled Affiliates

                        
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 14,836      $ 3,081,655      $ (3,035,372     $—        $—      $ 61,119        61,119        $  4,175  
                

 

 

 


     Value at
Beginning
of Period
     Purchases      Sales    

Realized

Gain (Loss)

    

Net Change in

Unrealized
Appreciation

(Depreciation)

    

Value at

End of
Period

     Number
of Shares
Held at
End of
Period
    

Investment

Income

 

 

 
Franklin FTSE Latin America ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $          —        $  1,574,393      $ (1,555,195)       $—        $—      $ 19,198        19,198        $      —  
                

 

 

 
                        



Income

from
Securities
loaned

 

 
 
 

                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $        $  1,257,590      $ (1,238,150     $—        $—      $ 19,440        19,440        $    103  
  

 

 

 

Total Affiliated
Securities

   $        $  2,831,983      $ (2,793,345     $—        $—      $ 38,638        38,638        $    103  
  

 

 

 
Franklin FTSE Mexico ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $        $   516,830      $ (516,733     $—        $—      $ 97        97        $    623  
                

 

 

 
                        


Income
from
Securities
loaned
 
 
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 46,800        $   252,585      $ (120,265     $—        $—      $   179,120        179,120     

 

$    271

 

  

 

 

 

Total Affiliated
Securities

   $ 46,800        $   769,415      $ (636,998     $—        $—      $   179,217        179,217        $    894  
  

 

 

 
Franklin FTSE Saudi Arabia ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $        $   263,400      $ (263,400     $—        $—      $               $      —  
                

 

 

 
Franklin FTSE South Korea ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $        $ 19,075,249      $  (19,044,153     $—        $—      $   31,096        31,096        $ 10,335  
                

 

 

 
Franklin FTSE Switzerland ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $        $  1,092,468      $ (1,092,468     $—        $—      $               $  1,042  
                

 

 

 


    

Value at
Beginning

of Period

     Purchases      Sales     Realized
Gain (Loss)
    

Net Change in
Unrealized
Appreciation

(Depreciation)

     Value at
End of
Period
    

Number

of Shares
Held at

End of
Period

    

Investment

Income

 

 

 
Franklin FTSE Taiwan ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $      $ 2,502,530      $ (2,198,520     $—        $—      $ 304,010        304,010        $  1,942  
                

 

 

 
Franklin FTSE United Kingdom ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $      $ 16,918,939      $ (16,903,671     $—        $—      $ 15,268        15,268        $ 11,473  
                

 

 

 
                        


Income
from
Securities
loaned
 
 
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $      $ 3,108,680      $ (3,108,680)       $—        $—      $               $     98  
  

 

 

 

Total Affiliated Securities

   $      $ 20,027,619      $ (20,012,351     $—        $—      $ 15,268        15,268        $ 11,571  
  

 

 

 
Franklin International Core Dividend Tilt Index ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $      $ 26,230,096      $ (25,957,568)       $—        $—      $ 272,528        272,528        $ 22,613  
                

 

 

 
                        


Income
from
Securities
loaned
 
 
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 4,095,900      $ 5,917,150      $ (9,969,850)       $—        $—      $ 43,200        43,200        $    926  
  

 

 

 

Total Affiliated Securities

   $ 4,095,900      $ 32,147,246      $ (35,927,418     $—        $—      $ 315,728        315,728        $ 23,539  
  

 

 

 
Franklin U.S. Core Bond ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 9,292,075      $ 168,755,949      $ (124,438,444)       $—        $—      $ 53,609,580        53,609,580        $629,586  
                

 

 

 
Franklin U.S. Core Dividend Tilt Index ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 164,064      $ 513,472      $ (654,465)       $—        $—      $ 23,071        23,071        $  1,226  
                

 

 

 


    

Value at
Beginning

of Period

     Purchases      Sales     Realized
Gain (Loss)
    

Net Change in
Unrealized
Appreciation

(Depreciation)

    

Value at

End of
Period

    

Number

of Shares
Held at

End of
Period

    

Investment

Income

 

 

 
Franklin U.S. Equity Index ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 1,132,943      $ 6,545,071      $ (7,118,678     $—        $—      $ 559,336        559,336        $ 23,584  
                

 

 

 
                        


Income
from
Securities
loaned
 
 
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 93,105      $ 1,230,265      $ (1,287,820     $—        $—      $ 35,550        35,550        $  1,778  
  

 

 

 

Total Affiliated Securities

   $ 1,226,048      $ 7,775,336      $ (8,406,498     $—        $—      $ 594,886        594,886        $ 25,362  
  

 

 

 
Franklin U.S. Large Cap Multifactor Index ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 2,867,178      $ 4,037,972      $ (6,743,121     $—        $—      $ 162,029        162,029        $ 20,508  
                

 

 

 
Franklin U.S. Mid Cap Multifactor Index ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 1,346,815      $ 4,793,311      $ (4,527,528     $—        $—      $ 1,612,598        1,612,598        $ 19,995  
                

 

 

 
                        


Income
from
Securities
loaned
 
 
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 717,750      $ 114,885,610      $ (114,771,985     $—        $—      $ 831,375        831,375        $    774  
  

 

 

 

Total Affiliated Securities

   $ 2,064,565      $ 119,678,921      $ (119,299,513     $—        $—      $ 2,443,973        2,443,973        $ 20,769  
  

 

 

 
Franklin U.S. Small Cap Multifactor Index ETF Non-Controlled Affiliates                         
Dividend
Income
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 78,668      $ 367,823      $ (446,278     $—        $—      $ 213        213        $    464  
                

 

 

 
                        


Income
from
Securities
loaned
 
 
 
 
                      

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 167,840      $ 850,419      $ (719,449     $—        $—      $ 298,810        298,810        $    470  
  

 

 

 

Total Affiliated Securities

   $ 246,508      $ 1,218,242      $ (1,165,727     $—        $—      $ 299,023        299,023        $    934  
  

 

 

 


     

Value at

Beginning

of Period

     Purchases      Sales     

Realized

Gain (Loss)

    

Net Change in

Unrealized

Appreciation

(Depreciation)

    

Value at

End of

Period

    

Number

of Shares

Held at

End of

Period

     Investment
Income
 
Franklin U.S. Treasury Bond ETF Non-Controlled Affiliates                          
Dividend
Income
 
 
                       

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 4,216,490      $  26,820,895        $ (23,951,186)        $—        $—      $  7,086,199         7,086,199        $ 98,368  
                 

 

 

 
Franklin Ultra Short Bond ETF Non-Controlled Affiliates                          

Dividend

Income

 

 

                       

 

 

 

Institutional Fiduciary Trust - Money Market Portfolio, 5.09%

   $ 1,574,767      $ 2,488,137        $   (1,486,998)        $—        $—      $ 2,575,906        2,575,906        $ 23,574  
                 

 

 

 

4. FAIR VALUE MEASUREMENTS

The Funds follow a fair value hierarchy that distinguishes between market data obtained from independent sources (observable inputs) and the Funds’ own market assumptions (unobservable inputs). These inputs are used in determining the value of the Funds’ financial instruments and are summarized in the following fair value hierarchy:

• Level 1 – quoted prices in active markets for identical financial instruments

• Level 2 – other significant observable inputs (including quoted prices for similar financial instruments, interest rates, prepayment speed, credit risk, etc.)

• Level 3 – significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of financial instruments)

The input levels are not necessarily an indication of the risk or liquidity associated with financial instruments at that level.

A summary of inputs used as of June 30, 2024, in valuing the Funds’ assets and liabilities carried at fair value, is as follows:

 

                                                                                       
         Level 1          Level 2       Level 3          Total  

 

 

BrandywineGLOBAL - Dynamic US Large Cap
Value ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $  153,083,531      $      $      $   153,083,531  

Short-Term Investments

     2,063,610                      2,063,610  
  

 

 

 

Total Investments in Securities

    $ 155,147,141      $      $      $ 155,147,141  
  

 

 

 

BrandywineGLOBAL - U.S. Fixed Income ETF

           

Assets:

           

Investments in Securities:a

           

Corporate Bonds & Notes

    $      $ 135,134      $      $ 135,134  

U.S. Government & Agency Securities

            11,367,577               11,367,577  

Short-Term Investments

     165,537                      165,537  
  

 

 

 

Total Investments in Securities

    $ 165,537      $   11,502,711      $      $ 11,668,248  
  

 

 

 

Other Financial Instruments:

           

Futures Contracts

    $ 79,805      $      $    —      $ 79,805  
  

 

 

 


                                                                                       
          Level 1          Level 2       Level 3          Total  

 

 

ClearBridge Sustainable Infrastructure ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 7,785,752      $      $     $ 7,785,752  

Short-Term Investments

     211,670                     211,670  
  

 

 

 

Total Investments in Securities

    $ 7,997,422      $      $     $ 7,997,422  
  

 

 

 

Franklin Disruptive Commerce ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 9,319,271      $      $     $ 9,319,271  
  

 

 

 

Franklin Dynamic Municipal Bond ETF

          

Assets:

          

Investments in Securities:a

          

Corporate Bonds & Notes

    $      $ 1,808,620      $ 653,904     $ 2,462,524  

Senior Floating Rate Interests

            873,067              873,067  

Municipal Bonds

            227,923,497              227,923,497  
  

 

 

 

Total Investments in Securities

    $      $  230,605,184      $ 653,904     $   231,259,088  
  

 

 

 

Franklin Emerging Market Core Dividend Tilt Index ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $   13,308,836      $ 25,527      $ c    $ 13,334,363  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 77      $      $     $ 77  
  

 

 

 

Franklin Exponential Data ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 5,654,316      $      $     $ 5,654,316  

Short-Term Investments

     56,265                     56,265  
  

 

 

 

Total Investments in Securities

    $ 5,710,581      $      $     $ 5,710,581  
  

 

 

 

Franklin Focused Growth ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 80,980,142      $      $     $ 80,980,142  

Short-Term Investments

     1,644,192                     1,644,192  
  

 

 

 

Total Investments in Securities

    $ 82,624,334      $      $    —     $ 82,624,334  
  

 

 

 

Franklin FTSE Asia ex Japan ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 27,647,606      $ 18,879      $ 4,473 c    $ 27,670,958  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 2,969      $      $     $ 2,969  
  

 

 

 

Franklin FTSE Australia ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 46,189,458      $      $     $ 46,189,458  

Short-Term Investments

     105                     105  
  

 

 

 

Total Investments in Securities

    $ 46,189,563      $      $     $ 46,189,563  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 132      $      $     $ 132  
  

 

 

 


          Level 1          Level 2       Level 3          Total  

 

 

Franklin FTSE Brazil ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 155,022,939      $      $     $ 155,022,939  

Short-Term Investments

     61,192                     61,192  
  

 

 

 

Total Investments in Securities

    $ 155,084,131      $      $     $ 155,084,131  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 69,130      $      $     $ 69,130  
  

 

 

 

Franklin FTSE Canada ETF

          

Assets:

          

Investments in Securities:a

          

Time Deposits

    $      $ 1,256,988      $     $ 1,256,988  

Equity Investmentsb

     385,026,553               c      385,026,553  

Short-Term Investments

     19,899                     19,899  
  

 

 

 

Total Investments in Securities

    $ 385,046,452      $   1,256,988      $     $ 386,303,440  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 16,706      $      $     $ 16,706  
  

 

 

 

Franklin FTSE China ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $   108,413,850      $      $  47,833 c    $ 108,461,683  

Short-Term Investments

     50,468                     50,468  
  

 

 

 

Total Investments in Securities

    $ 108,464,318      $      $ 47,833     $   108,512,151  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 26,944      $      $     $ 26,944  
  

 

 

 

Franklin FTSE Europe ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 68,362,987      $      $ c    $ 68,362,987  

Short-Term Investments

     3,536                     3,536  
  

 

 

 

Total Investments in Securities

    $ 68,366,523      $      $     $ 68,366,523  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 887      $      $     $ 887  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 112      $      $     $ 112  
  

 

 

 

Franklin FTSE Eurozone ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 19,921,534      $      $ c    $ 19,921,534  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 248      $      $     $ 248  
  

 

 

 

Franklin FTSE Germany ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 22,677,008      $      $     $ 22,677,008  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 566      $      $     $ 566  
  

 

 

 

Franklin FTSE Hong Kong ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 9,740,262      $      $     $ 9,740,262  
  

 

 

 


                                                                                       
          Level 1          Level 2       Level 3          Total  

 

 

Franklin FTSE Hong Kong ETF

          

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 524      $      $     $ 524  
  

 

 

 

Franklin FTSE India ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 1,479,628,168      $ 4,169,431      $     $ 1,483,797,599  

Short-Term Investments

     4,072,509                     4,072,509  
  

 

 

 

Total Investments in Securities

    $ 1,483,700,677      $ 4,169,431      $     $ 1,487,870,108  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 231,579      $      $     $ 231,579  
  

 

 

 

Franklin FTSE Japan ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 2,024,951,505      $      $     $  2,024,951,505  

Short-Term Investments

     1,099,381                     1,099,381  
  

 

 

 

Total Investments in Securities

    $   2,026,050,886      $      $     $ 2,026,050,886  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 122,275      $      $     $ 122,275  
  

 

 

 

Franklin FTSE Japan Hedged ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 65,593,469      $      $     $ 65,593,469  

Short-Term Investments

     61,119                     61,119  
  

 

 

 

Total Investments in Securities

    $ 65,654,588      $      $     $ 65,654,588  
  

 

 

 

Other Financial Instruments:

          

Forward Exchange Contracts

    $      $    1,787,280      $     $ 1,787,280  

Futures Contracts

     4,771                     4,771  
  

 

 

 

Total Other Financial Instruments

    $ 4,771      $ 1,787,280      $     $ 1,792,051  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Forward Exchange Contracts

    $      $ 15,127      $     $ 15,127  
  

 

 

 

Franklin FTSE Latin America ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 53,386,724      $ 67      $     $ 53,386,791  

Short-Term Investments

     38,638                     38,638  
  

 

 

 

Total Investments in Securities

    $ 53,425,362      $ 67      $    —     $ 53,425,429  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 10,923      $      $     $ 10,923  
  

 

 

 

Franklin FTSE Mexico ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 76,760,560      $      $     $ 76,760,560  

Short-Term Investments

     179,217                     179,217  
  

 

 

 

Total Investments in Securities

    $ 76,939,777      $      $     $ 76,939,777  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 909      $      $     $ 909  
  

 

 

 

Franklin FTSE Russia ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $      $      $ c    $  
  

 

 

 


                                                                                       
          Level 1          Level 2       Level 3          Total  

 

 

Franklin FTSE Saudi Arabia ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 17,372,596      $      $     $ 17,372,596  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Forward Exchange Contracts

    $      $ 11      $     $ 11  
  

 

 

 

Franklin FTSE South Korea ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 189,148,981      $      $     $ 189,148,981  

Short-Term Investments

     31,096                     31,096  
  

 

 

 

Total Investments in Securities

    $ 189,180,077      $      $     $ 189,180,077  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 578      $      $     $ 578  
  

 

 

 

Franklin FTSE Switzerland ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 55,400,391      $      $     $ 55,400,391  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 2,772      $      $     $ 2,772  
  

 

 

 

Franklin FTSE Taiwan ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 237,140,435      $      $     $ 237,140,435  

Short-Term Investments

     304,010                     304,010  
  

 

 

 

Total Investments in Securities

    $ 237,444,445      $      $     $ 237,444,445  
  

 

 

 

Other Financial Instruments:

          

Futures Contracts

    $ 5,681      $      $     $ 5,681  
  

 

 

 

Franklin FTSE United Kingdom ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 682,227,679      $      $ c    $ 682,227,679  

Short-Term Investments

     15,268                     15,268  
  

 

 

 

Total Investments in Securities

    $   682,242,947      $      $     $ 682,242,947  
  

 

 

 

Liabilities:

          

Other Financial Instruments:

          

Futures Contracts

    $ 923      $      $     $ 923  
  

 

 

 

Franklin Genomic Advancements ETF

          

Assets:

          

Investments in Securities:a

          

Equity Investmentsb

    $ 9,472,368      $      $ c    $ 9,472,368  
  

 

 

 

Franklin High Yield Corporate ETF

          

Assets:

          

Investments in Securities:a

          

Corporate Bonds & Notesb

    $      $   279,872,627      $ c    $   279,872,627  

Senior Floating Rate Interests

            8,553,843              8,553,843  

Equity Investments

     618,874        40,050              658,924  

U.S. Government & Agency Securities

            8,866,130              8,866,130  
  

 

 

 

Total Investments in Securities

    $ 618,874      $ 297,332,650      $    —     $ 297,951,524  
  

 

 

 


                                                                                       
          Level 1          Level 2       Level 3           Total  

 

 

Franklin Income Equity Focus ETF

           

Assets:

           

Investments in Securities:a

           

Equity-Linked Securities

    $      $ 10,145,616      $      $ 10,145,616  

Equity Investmentsb

     95,420,362        1,742,282               97,162,644  

U.S. Government & Agency Securities

            12,374,599               12,374,599  
  

 

 

 

Total Investments in Securities

    $ 95,420,362      $ 24,262,497      $      $ 119,682,859  
  

 

 

 

Franklin Income Focus ETF

           

Assets:

           

Investments in Securities:a

           

Corporate Bonds & Notes

    $      $ 109,898,779      $      $ 109,898,779  

Equity-Linked Securities

            33,324,056               33,324,056  

Equity Investmentsb

     70,068,293                      70,068,293  

U.S. Government & Agency Securities

            29,497,805               29,497,805  
  

 

 

 

Total Investments in Securities

    $ 70,068,293      $ 172,720,640      $      $ 242,788,933  
  

 

 

 

Other Financial Instruments:

           

Put Option Written

    $ 14,700      $      $      $ 14,700  
  

 

 

 

Franklin Intelligent Machines ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $ 25,272,315      $      $ c     $ 25,272,315  
  

 

 

 

Franklin International Aggregate Bond ETF

           

Assets:

           

Investments in Securities:a

           

Foreign Government and Agency Securities

    $      $ 502,033,912      $      $ 502,033,912  

Corporate Bonds & Notes

            15,384,300               15,384,300  

U.S. Government & Agency Securities

            6,367,221               6,367,221  
  

 

 

 

Total Investments in Securities

    $      $ 523,785,433      $      $ 523,785,433  
  

 

 

 

Other Financial Instruments:

           

Forward Exchange Contracts

    $      $ 7,853,031      $      $ 7,853,031  
  

 

 

 

Liabilities:

           

Other Financial Instruments:

           

Forward Exchange Contracts

    $      $ 2,243,698      $      $ 2,243,698  
  

 

 

 

Franklin International Core Dividend Tilt Index ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $   841,533,995      $      $      $ 841,533,995  

Short-Term Investments

     315,728                      315,728  
  

 

 

 

Total Investments in Securities

    $ 841,849,723      $      $      $ 841,849,723  
  

 

 

 

Other Financial Instruments:

           

Futures Contracts

    $ 28,076      $      $      $ 28,076  
  

 

 

 

Franklin Investment Grade Corporate ETF

           

Assets:

           

Investments in Securities:a

           

Corporate Bonds & Notes

    $      $   370,356,850      $      $ 370,356,850  

U.S. Government & Agency Securities

            12,659,685               12,659,685  
  

 

 

 

Total Investments in Securities

    $      $ 383,016,535      $      $ 383,016,535  
  

 

 

 

Franklin Municipal Green Bond ETF

           

Assets:

           

Investments in Securities:a

           

Municipal Bonds

    $      $ 102,938,550      $    —      $   102,938,550  
  

 

 

 


                                                           
          Level 1          Level 2       Level 3           Total  

 

 

Franklin Senior Loan ETF

           

Assets:

           

Investments in Securities:a

           

Corporate Bonds & Notes

    $      $ 23,182,868      $      $ 23,182,868  

Senior Floating Rate Interests

            428,173,157               428,173,157  

Asset-Backed Securities

            1,994,737               1,994,737  

Equity Investmentsb

     280,014        120,178        c       400,192  

U.S. Government & Agency Securities

            94,743,650               94,743,650  
  

 

 

 

Total Investments in Securities

    $ 280,014      $ 548,214,590      $      $ 548,494,604  
  

 

 

 

Franklin Systematic Style Premia ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $ 128,345,995      $      $ c     $ 128,345,995  

Short-Term Investments

     47,049,012                      47,049,012  
  

 

 

 

Total Investments in Securities

    $ 175,395,007      $      $      $ 175,395,007  
  

 

 

 

Other Financial Instruments:

           

Forward Exchange Contracts

    $      $ 170,862      $      $ 170,862  

Futures Contracts

     2,059,755                      2,059,755  

Swap Contracts

            180,277               180,277  
  

 

 

 

Total Other Financial Instruments

    $ 2,059,755      $ 351,139      $      $ 2,410,894  
  

 

 

 

Liabilities:

           

Other Financial Instruments:

           

Forward Exchange Contracts

    $      $ 396,693      $      $ 396,693  

Futures Contracts

     2,757,888                      2,757,888  
  

 

 

 

Total Other Financial Instruments

    $ 2,757,888      $ 396,693      $      $ 3,154,581  
  

 

 

 

Franklin U.S. Core Bond ETF

           

Assets:

           

Investments in Securities:a

           

Corporate Bonds & Notes

    $      $ 559,905,895      $      $ 559,905,895  

Municipal Bonds

            18,810,782               18,810,782  

Foreign Government and Agency Securities

            14,951,665               14,951,665  

Asset-Backed Security

            5,938,106               5,938,106  

Commercial Mortgage- Backed Securities

            31,831,304               31,831,304  

U.S. Government & Agency Securities

            1,224,223,983               1,224,223,983  

Short-Term Investments

     53,609,580                      53,609,580  
  

 

 

 

Total Investments in Securities

    $ 53,609,580      $  1,855,661,735      $      $  1,909,271,315  
  

 

 

 

Other Financial Instruments:

           

Futures Contracts

    $ 878,754      $      $      $ 878,754  
  

 

 

 

Franklin U.S. Core Dividend Tilt Index ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $ 54,616,187      $      $    — c     $ 54,616,187  

Short-Term Investments

     23,071                      23,071  
  

 

 

 

Total Investments in Securities

    $ 54,639,258      $      $      $ 54,639,258  
  

 

 

 

Liabilities:

           

Other Financial Instruments:

           

Futures Contracts

    $ 520      $      $      $ 520  
  

 

 

 

Franklin U.S. Equity Index ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $  1,116,122,232      $      $ c     $ 1,116,122,232  

Short-Term Investments

     594,886                      594,886  
  

 

 

 

Total Investments in Securities

    $ 1,116,717,118      $      $      $ 1,116,717,118  
  

 

 

 

Other Financial Instruments:

           

Futures Contracts

    $ 1,841      $      $      $ 1,841  
  

 

 

 


          Level 1          Level 2       Level 3           Total  

 

 

Franklin U.S. Large Cap Multifactor Index ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $  1,300,090,815      $      $      $ 1,300,090,815  

Short-Term Investments

     162,029                      162,029  
  

 

 

 

Total Investments in Securities

    $ 1,300,252,844      $      $      $  1,300,252,844  
  

 

 

 

Franklin U.S. Mid Cap Multifactor Index ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $ 696,591,358      $      $      $ 696,591,358  

Short-Term Investments

     2,443,973                      2,443,973  
  

 

 

 

Total Investments in Securities

    $ 699,035,331      $      $    —      $ 699,035,331  
  

 

 

 

Franklin U.S. Small Cap Multifactor Index ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $ 37,126,339      $      $      $ 37,126,339  

Short-Term Investments

     299,023                      299,023  
  

 

 

 

Total Investments in Securities

    $ 37,425,362      $      $      $ 37,425,362  
  

 

 

 

Franklin U.S. Treasury Bond ETF

           

Assets:

           

Investments in Securities:a

           

U.S. Government & Agency Securities

    $      $ 759,379,827      $      $ 759,379,827  

Short-Term Investments

     7,086,199                      7,086,199  
  

 

 

 

Total Investments in Securities

    $ 7,086,199      $   759,379,827      $      $ 766,466,026  
  

 

 

 

Franklin Ultra Short Bond ETF

           

Assets:

           

Investments in Securities:a

           

Corporate Bonds & Notes

    $      $ 1,991,357      $      $ 1,991,357  

Short-Term Investments

     2,575,906        397,401               2,973,307  
  

 

 

 

Total Investments in Securities

    $ 2,575,906      $ 2,388,758      $      $ 4,964,664  
  

 

 

 

Martin Currie Sustainable International Equity ETF

           

Assets:

           

Investments in Securities:a

           

Equity Investmentsb

    $ 31,710,825      $      $      $ 31,710,825  
  

 

 

 

Western Asset Bond ETF

           

Assets:

           

Investments in Securities:a

           

Corporate Bonds & Notes

    $      $ 16,256,565      $      $ 16,256,565  

Senior Floating Rate Interest

            29,988               29,988  

Foreign Government and Agency Securities

            378,744               378,744  

Asset-Backed Securities

            3,420,100               3,420,100  

Agency Commercial Mortgage- Backed Securities

            590,636               590,636  

Commercial Mortgage- Backed Securities

            2,853,339               2,853,339  

OTC Purchased Option

            3,922               3,922  

U.S. Government & Agency Securities

            20,365,900               20,365,900  

Short-Term Investments

     593,749                      593,749  
  

 

 

 

Total Investments in Securities

    $ 593,749      $ 43,899,194      $      $ 44,492,943  
  

 

 

 

Other Financial Instruments:

           

Futures Contracts

    $ 57,273      $      $      $ 57,273  

Interest Rate Swaps

            12,299               12,299  
  

 

 

 

Total Other Financial Instruments

    $ 57,273      $ 12,299      $      $ 69,572  
  

 

 

 


          Level 1          Level 2       Level 3           Total  

 

 

Western Asset Bond ETF

           

Liabilities:

           

Other Financial Instruments:

           

Futures Contracts

    $ 14,013      $      $      $ 14,013  

Interest Rate Swaps - CCP

            27,842               27,842  

Call Options Written

     1,170                      1,170  

Credit Default Swap Contracts

            1,430               1,430  

OTC Written Options

            3,464               3,464  
  

 

 

 

Total Other Financial Instruments

    $       15,183      $       32,736      $      —      $       47,919  
  

 

 

 

aFor detailed categories, see the accompanying Schedules of Investments.

bIncludes common and preferred stocks, warrants, as well as other equity investments.

cIncludes securities determined to have no value at June 30, 2024.

5. SECURITIES LENDING

Certain or all Funds participate in an agency based securities lending program to earn additional income. The Fund receives cash collateral against the loaned securities in an amount equal to at least 102% of the fair value of the loaned securities. Collateral is maintained over the life of the loan in an amount not less than 100% of the fair value of loaned securities, as determined at the close of Fund business each day; any additional collateral required due to changes in security values is delivered to the Fund on the next business day. The collateral is deposited into a joint cash account with other funds and is used to invest in a money market fund managed by Franklin Advisers, Inc., an affiliate of the Funds. The Fund may receive income from the investment of cash collateral, in addition to lending fees and rebates paid by the borrower.

6. TOTAL RETURN SWAPS

Franklin Systematic Style Premia ETF entered into OTC MSFTLSSP total return swap contracts primarily to gain exposure to the credit and other market risk of an underlying instrument such as a stock, bond, index or basket of securities or indices. A total return swap is an agreement between the Fund and a counterparty to exchange a return linked to an underlying instrument for a floating or fixed rate payment, both based upon a notional amount. Over the term of the contract, contractually required payments to be paid or received are accrued daily and recorded as unrealized appreciation or depreciation until the payments are made, at which time they are recognized as realized gain or loss.

7. SWAPTIONS

A purchased swaption contract grants the Fund, in return for payment of the purchase price, the right, but not the obligation, to enter into a new swap agreement or to shorten, extend, cancel or otherwise modify an existing swap agreement, at some designated future time on specified terms. When the Fund purchases a swaption, the premium paid to the writer is recorded as an investment and subsequently marked-to-market to reflect the current value of the swaption. A written swaption gives the Fund the obligation, if exercised by the purchaser, to enter into a swap contract according to the terms of the underlying agreement. When the Fund writes a swaption, the premium received by the Fund is recorded as a liability and subsequently marked-to-market to reflect the current value of the swaption. When a swaption is exercised, the cost of the swap is adjusted by the amount of the premium paid or received. When a swaption expires or an unexercised swaption is closed, a gain or loss is recognized in the amount of the premium paid or received, plus the cost to close. The Fund’s risk for purchased swaptions is limited to the premium paid. The writer of a swaption bears the risk of unfavorable changes in the preset terms of the underlying swap contract. Purchased swaptions traded over-the-counter involve risk that the issuer or counterparty will fail to perform its contractual obligations.

8. INVESTMENTS IN FLSP HOLDINGS CORPORATION

Franklin Systematic Style Premia ETF, (the “Fund”), invests in certain financial instruments and commodities/or commodity-linked derivative investments. The FLSP Holdings Corporation is a Cayman Islands exempted company with limited liability, is a wholly-owned subsidiary of the Fund, and is able to invest in certain financial instruments and/or commodity-linked derivative investments consistent with the investment objective of the Fund. At June 30, 2024, the Franklin Systematic Style Premia ETF investment(s) FLSP Holdings Corporation is reflected in the Fund’s Consolidated Statement of Investments. At June 30,


2024, the net assets of the FLSP Holdings Corporation were $ 4,080,606 representing 2.61% of the Fund’s consolidated net assets. The Fund’s investment(s) in the FLSP Holdings Corporation is limited to 25% of consolidated assets.