[FTSD] Franklin Short Duration U.S. Go

Overview

Type of security: Fund

Tags: Actively Managed, Bond, ETF, Government debt, Government dept, Not Inversed, Short Duration, U.S., Unleveraged

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Price: 97.3 Change: -0.04 (-0.04%)
Ext. hours: Change: 0 (0%)

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Strongest Trends Summary For FTSD

FTSD is in the long-term up 3% in 7 years.

Horizon: 3 hours | 2 days | 5 days | 10 days | 1 month | 6 months | 1 year | 2 years | 5 years | max

Chart type: absolute | relative to S&P

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Description: The investment seeks a high level of current income as is consistent with prudent investing, while seeking preservation of capital. Under normal market conditions, the fund invests at least 80% of its net assets in securities issued or guaranteed by the U.S. government, its agencies, or instrumentalities. It is an actively managed exchange-traded fund ("ETF") that does not seek to replicate the performance of a specified index. To pursue its investment goal, it may invest in certain interest rate-related derivative transactions, principally interest rate, bond, U.S. Treasury and fixed income index futures contracts.

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Technical Data
High 52 week95.17 Low 52 week93.93 Last close94.52 Last change0.03%
RSI74.93 Average true range0.28 Beta-0.01 Volume4.3 K
Simple moving average 20 days0.17% Simple moving average 50 days0.22% Simple moving average 200 days0.09%
Performance Data
Performance Week0.09% Performance Month0.11% Performance Quart0.27% Performance Half-0.1%
Performance Year-0.1% Performance Year-to-date-0.11% Volatility daily0.08% Volatility weekly0.18%
Volatility monthly0.37% Volatility yearly1.3% Relative Volume65.8% Average Volume12.97 K
New High New Low
Funds Characteristics
30-day SEC yield Average market capitalization Average weighted market capitalization Forward P/E
Gross expense ratio Index dividend yield Median market cap Number of holdings80
Price to Book Value Price to Earnings Total expense ratio0.43% Total net assets27.67 M
Weighted market capitalization

Info

Characteristics:
NAME VALUE
Total Expense Ratio0,43
Number Of Holdings80
Total Net Assets27.67 million
Asset Class Breakdown:
NAME VALUE
Agency Adjustable Rate Mortgages Arms51,5
U.s. Agency26,69
U.s. Treasuries12,74
Mortgage-backed Securities Mbs6,88
Treasury Inflation-protected Securities Tips1,73
Cash Cash Equivalents0,46