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Franklin Intl Low Vol High Div ETF (LVHI)

Franklin Intl Low Vol High Div ETF (LVHI)
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Realtime quote and/or trades are not sourced from all markets.

Fund Basics

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  • Fund Family Legg Mason
  • Assets Under Management 5,447,976,400
  • Shares Outstanding, K 127,200
  • 60-Month Beta 0.33
  • Price/Earnings ttm 14.27
  • Annual Dividend & Yield 1.93 (4.50%)
  • Most Recent Dividend 0.626 on 06/04/26
  • Net Expense Ratio 0.40%
  • INDUSTRY GROUPING:

    ETFs - International

Price Performance

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Period Period Low Period High Performance
1-Month
40.25 +6.76%
on 07/01/26
43.13 -0.37%
on 07/29/26
+2.39 (+5.88%)
since 06/30/26
3-Month
40.01 +7.40%
on 06/05/26
43.13 -0.37%
on 07/29/26
+2.00 (+4.88%)
since 04/30/26
52-Week
32.86 +30.77%
on 08/01/25
43.13 -0.37%
on 07/29/26
+9.31 (+27.66%)
since 07/30/25

Most Recent Stories

More News
3 ETFs to Beat Back the Bears

The best time to know your options for a bear market is well before one happens. Here are three great ways to fend off a market downturn.

SPLV : 76.32 (-1.57%)
KO : 88.31 (-0.86%)
SH : 33.39 (-1.59%)
BNS : 87.74 (+1.98%)
JNJ : 255.66 (-3.72%)
PNW : 101.40 (-0.86%)
LVHI : 42.99 (+0.37%)
SHEL : 90.73 (+2.71%)
BHP : 85.87 (+3.32%)
FE : 48.75 (-0.77%)
3 Best ETFs to Kick Volatility to the Curb

Low- and minimum-volatility ETFs can help investors fade turbulence in the markets while still participating in upside.

SPLV : 76.32 (-1.57%)
VFMV : 143.21 (-0.93%)
KO : 88.31 (-0.86%)
JNJ : 255.66 (-3.72%)
CNQ : 47.13 (+1.46%)
LVHI : 42.99 (+0.37%)
RIO : 97.26 (+3.84%)
SHEL : 90.73 (+2.71%)
DUK : 126.52 (-1.98%)
FE : 48.75 (-0.77%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 100% Buy with a Strongest short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

Relative Strength is above 70%. The market is in overbought territory. Watch for a potential trend reversal.

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Fund Summary

The Legg Mason International Low Volatility High Dividend ETF seeks to track the investment results of an underlying index composed of equity securities of developed markets outside the United States with relatively high yield and low price and earnings volatility.

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Top 10 Holdings

Name % Holdings
CURRENCY CONTRACT - BOUGHT USD 35.37%
NESTLE SA-REG 3.15%
VOYA Group N.V. 2.97%
Novan Inc 2.80%
Autoliv Inc 2.78%
Rogers Corp 2.61%
Shell Plc ADR 2.61%
Canadian Natural Resources 2.60%
Totalenergies Se ADR 2.58%
TC Energy Corp 2.51%

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Key Turning Points

3rd Resistance Point 43.40
2nd Resistance Point 43.26
1st Resistance Point 43.05
Last Price 42.99
1st Support Level 42.70
2nd Support Level 42.56
3rd Support Level 42.35

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52-Week High 43.13
Last Price 42.99
Fibonacci 61.8% 39.21
Fibonacci 50% 38.00
Fibonacci 38.2% 36.78
52-Week Low 32.86

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