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IE000H0TSO96

Franklin Euro IG Corporate UCITS ETF

As of 04.11.2025

NAV 12

€26,92

 
 

NAV Change 12

€-0,01

(-0,04%)

Overview

Summary of Fund Objective

To provide income from the European corporate bond market while seeking to preserve capital. The Fund invests primarily in Euro-denominated investment grade corporate debt securities. The Fund will invest a minimum of 80% of assets in fixed and floating rate investment grade corporate debt securities. Such debt securities may be of any maturity or duration.

Sustainability-related Disclosures

The Fund promotes environmental and social characteristics in accordance with Article 8 of the Sustainable Finance Disclosure Regulation (the “SFDR”) but does not have a sustainable investment objective. 

In its implementation of the Fund’s Environmental, Social and Governance (ESG) strategy, the Investment Manager avoids investment in issuers that are lagging in the transition to support a low-carbon economy. 

The Fund’s environmental or social characteristics are assessed both quantitatively and qualitatively, by means of sustainability indicators as well as of the Investment Manager’s proprietary ESG ratings system and its research and engagement process further described in the website disclosure’s dedicated sections. As part of its investment decision making process, the Fund’s ESG strategy also uses binding criteria for the selection of underlying assets and applies specific ESG exclusions. 

Finally, the Fund has a minimum allocation of 21% of its portfolio to sustainable investments. The Fund ensures that its sustainable investments do not cause significant harm to any environmental or social sustainable investment objective. 

Please click here for more information. 

Registered Countries

Registered Countries

Austria 
Denmark
Finland
France
Germany
Ireland
Italy
Luxembourg
Netherlands
Spain
Sweden
Switzerland
United Kingdom 

What Are The Key Risks?

The Fund does not offer any capital guarantee or protection and you may not get back the amount invested. The Fund is subject to the following risks which are materially relevant:

  • Liquidity risk: the risk that arises when adverse market conditions affect the ability to sell assets when necessary. Such risk may be triggered by (but not limited to) unexpected events such as environmental disasters or pandemics. Reduced liquidity may have a negative impact on the price of the assets.
  • Counterparty risk: the risk of failure of financial institutions or agents (when serving as a counterparty to financial contracts) to perform their obligations, whether due to insolvency, bankruptcy or other causes.
  • Sustainability risk: The fund's integration of sustainability risks in the investment decision process may have the effect of excluding profitable investments from the investment universe of the fund and may also cause the fund to sell investments that will continue to perform well. A sustainability risk could materialise due to an environmental, social or governance event or condition which may impact the fund's investments and negatively affect the returns of the fund.

For full details of all the risks applicable to this Fund, please refer to the “Risk Considerations” section of the current prospectus of Franklin Templeton ICAV.

Fund Information
Base Currency for Fund 
EUR
Total Net Assets  As of 04.11.2025 (Updated Daily)
€7,81 Million
Fund Inception Date 
31.10.2023
Share Class Inception Date 
31.10.2023
ETF Type 
Active
Fiscal Year End 
30 June
Asset Class 
Fixed Income
Benchmark 
Bloomberg Euro-Aggregate: Corporates Index
UCITS 
Yes
Administrator 
BNY Mellon Fund Services (Ireland) DAC
Depositary 
The Bank Of New York Mellon SA/NV, Dublin Branch
Use of Income 
Distributing
EU SFDR Category 
Article 8
Dividends & Yields
Distribution Frequency 
Semi-Annual
Distribution Amount  As of 11.06.2025
€0,4542
Payable Date  As of 11.06.2025
23.06.2025
Distribution Yield3 
N/A
Charges 6
Total Expense Ratio45 
0,15%
Identifiers
ISIN Code 
IE000H0TSO96
Valor Number 
129759053
Trading Characteristics
As of 04.11.2025 (Updated Monthly)
Shares Outstanding 
290'000

Trading Information

Exchange Name 
London Stock Exchange
Ticker 
EURO
Currency 
EUR
Bloomberg 
EURO LN
Reuters Number 
FREURO.L
SEDOL 
BR88VM3
Exchange Name 
Deutsche Börse Xetra
Ticker 
EIGC
Currency 
EUR
Bloomberg 
EIGC GY
Reuters Number 
FVSH.DE
SEDOL 
BR88V89
Exchange Name 
SIX Swiss Exchange
Ticker 
SCOR
Currency 
EUR
Bloomberg 
SCOR SW
Reuters Number 
SCORF.S
SEDOL 
BR88VP6
Exchange Name 
Borsa Italiana
Ticker 
SCOR
Currency 
EUR
Bloomberg 
SCOR IM
Reuters Number 
SCORF.MI
SEDOL 
BR88VN4

Fund Managers

David Zahn, CFA®

London, United Kingdom

Managed Fund Since 2023

Emmanuel Teissier

London, United Kingdom

Managed Fund Since 2023

Performance

Portfolio

Portfolio Holdings

Holdings

As of 04.11.2025 Updated Daily
Security Name 
CASH
Weight (%) 
3,62
Market Value 
282'869,60
Notional Exposure 
282'869,60
Quantity 
282'869,60
Security Name 
UniCredit VAR 16/01/33
Weight (%) 
1,97
Market Value 
153'450,93
Notional Exposure 
153'450,93
Quantity 
150'000,00
Security Name 
Banco San 4.875% 18/10/31
Weight (%) 
1,40
Market Value 
109'140,10
Notional Exposure 
109'140,10
Quantity 
100'000,00
Security Name 
Swedbank 4.375% 05/09/30
Weight (%) 
1,37
Market Value 
106'750,73
Notional Exposure 
106'750,73
Quantity 
100'000,00
Security Name 
Commerzba VAR 18/01/30
Weight (%) 
1,37
Market Value 
106'778,30
Notional Exposure 
106'778,30
Quantity 
100'000,00
Security Name 
KBC Group 4.375% 06/12/31
Weight (%) 
1,37
Market Value 
107'318,50
Notional Exposure 
107'318,50
Quantity 
100'000,00
Security Name 
AIB Group VAR 23/07/29
Weight (%) 
1,35
Market Value 
105'091,22
Notional Exposure 
105'091,22
Quantity 
100'000,00
Security Name 
Belfius B VAR 11/06/35
Weight (%) 
1,35
Market Value 
105'729,17
Notional Exposure 
105'729,17
Quantity 
100'000,00
Security Name 
Banco de VAR 10/11/28
Weight (%) 
1,35
Market Value 
105'039,13
Notional Exposure 
105'039,13
Quantity 
100'000,00
Security Name 
Assa Ablo 3.875% 13/09/30
Weight (%) 
1,34
Market Value 
104'374,75
Notional Exposure 
104'374,75
Quantity 
100'000,00

These securities do not represent all of the securities purchased, sold or recommended for clients, and the reader should not assume that investment in the securities listed was or will be profitable. 

Dividends

Dividends Per Share

Share Class  
(Dis)
Currency  
EUR
Record Date  
12.06.2025
Ex-Distribution Date  
11.06.2025
Payable Date  
23.06.2025
NAV  
€26,51
Distribution Amount  
€0,4542

Pricing

Pricing History Chart

As of 04.11.2025 Updated Daily

Share Prices

As of 04.11.2025
NAV12 (Net Asset Value)
€26,92
NAV Change12 
€-0,01
NAV Change (%)12 
-0,04%
Highest / Lowest NAV
As of 04.11.2025 Updated Daily
Year 
Highest NAV
2025  
€26,98 As on 29.10.2025
2024  
€27,15 As on 10.12.2024
2023  
€26,31 As on 27.12.2023
Year 
Lowest NAV
2025  
€26,20 As on 14.01.2025
2024  
€25,82 As on 12.06.2024
2023  
€25,00 As on 31.10.2023

Documents

Product Literature

PDF Format

Fact Sheet - Franklin Euro IG Corporate UCITS ETF ((Dis))

Regulatory Documents

PDF Format

Key Information Document - Franklin Euro IG Corporate UCITS ETF (Dis)

PDF Format

Prospectus (English) - Franklin Templeton ICAV (ETFs)

PDF Format

Annual Report - Franklin Templeton ICAV

PDF Format

Semi Annual Report - Franklin Templeton ICAV

PDF Format

Global Supplement - Franklin Templeton ICAV (ETFs)

PDF Format

Instrument of Incorporation - Franklin LibertyShares ICAV (ETFs)

PDF Format

Re: Change of Administrator and Depositary as well as amendments to the Prospectus and to certain Sub-Fund supplements