Franklin International Aggregate Bond ETF (FLIA) price, chart and fund profile
Price chart
Fund profile
FLIA is an actively managed fund that invests in government, agency, and corporate debt outside of the United States.
- Issuer
- Franklin Templeton Investment Management Limited
- Industry
- —
- Inception
- May 30, 2018
- Assets under management
- $761.7M
- Expense ratio
- 0.25%
- Net asset value
- $20.28
- NAV as of
- Aug 28, 2026
- Leverage
- 1×
- Fund page
- www.franklintempleton.com↗
Frequently asked questions
What is Franklin International Aggregate Bond ETF (FLIA)?
FLIA is an actively managed fund that invests in government, agency, and corporate debt outside of the United States.
What is FLIA's expense ratio?
Franklin International Aggregate Bond ETF charges an annual expense ratio of 0.25%. The fund is issued by Franklin Templeton Investment Management Limited.
How large is FLIA?
Franklin International Aggregate Bond ETF manages $761.7M in assets and has traded since May 30, 2018.
How do I buy shares of Franklin International Aggregate Bond ETF (FLIA)?
FLIA trades commission-free with a Light Horse Securities brokerage account — from the mobile app, the web dashboard at portal.lighthorse.io, the trading API, or an AI agent connected over MCP. The trade panel on this page places the order once you are signed in.
Quotes and charts are not real-time and must not be relied on for trade decisions or valuation.
This page is for informational purposes only. Nothing on it is a recommendation, solicitation or offer to buy or sell any security, nor investment, legal or tax advice. Light Horse Securities Inc does not verify third-party data and is not responsible for its accuracy, completeness or timeliness.
