INCM — Franklin Income Focus ETF price, holdings and performance

Franklin Income Focus ETF

Franklin Income Focus ETF (AMEX: INCM) is an exchange-traded fund. QuoTrend tracks its price, holdings, performance, fund flows and news.

Latest market price
29.47
+0.01+0.02%
INCMFranklin Income Focus ETF·AMEX
29.47+0.02%
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Fund Snapshot
Category-Asset TypeMulti-AssetTagsdividendReturn% 1Y13.48%Total Holdings383Perf Week1.13%
SponsorFranklin TempletonETF TypeTagsincomeReturn% 3Y10.95%AUM$1.77BPerf Month1.24%
Fund FamilyBond TypeTags-Return% 5Y-NAV/shPerf Quarter0.89%
Index-Average MaturityTags-Return% 10Y52W High29.57 -0.34%Perf Half Y1.24%
Index WeightingCommodity TypeTags-Return% SI52W Low27.10 8.75%Perf YTD5.10%
Active/PassiveQuant TypeTags-Flows% 1M4.33%Volatility0.57% 0.52%Perf Year8.67%
Dividend TTM1.52 (5.15%)ESG TypeTags-Flows% 3M11.95%ATR (14)0.18Perf 3Y17.36%
Dividend Ex-DateJul 31, 2026Dividend TypeSector/ThemeFlows% YTD12.41%RSI (14)61.17Perf 5Y-
Dividend Gr. 3/5Y-Structure TypeRegionFlows% 1YBeta0.26Perf 10Y-
Expense0.38%Growth/ValueSMA201.08%Flows% 3YRel Volume1.00Prev Close29.46
Inverse/LeveragedMarket CapSMA501.03%Flows% 5YAvg Volume400.25KPrice29.47
IPO DateJun 06, 2023Option/ShortYes / YesSMA2002.36%52W Range %96%Volume399,206Change0.02%
Holdings Breakdown
View Holdings as
Stocks
23.1%Consumer Defensive
6.9%Healthcare
20.2%Utilities
5.7%Industrials
12.6%Energy
5.2%Communication Services
10.1%Financial Services
4.9%Basic Materials
7.9%Technology
3.5%Consumer Cyclical
Bonds, Cash & Other
0.0%Cash & Others
Assets Under Management
00.50B1.00B1.50B2.00B'24AprJunAugOct'25MarMayJulSepNov'26MarMayJul
Assets Under Management
Latest News
Fund

INCM seeks high current income by investing in a broad, multi-asset portfolio using a dynamic allocation approach that adapts to changing market conditions. The portfolio includes dividend-yielding stocks, convertible preferred securities, secured and unsecured bonds, senior floating rate loans, mortgage-backed securities, debentures, and shorter-term instruments. The fund may hold up to 30% of its assets in equity index-linked notes and up to 25% in junk bonds. It may invest up to 25% in foreign issuers. Investments in bonds may include both US and foreign corporate and government debt. In selecting investments, the fund adviser utilizes a bottom-up, value-oriented, long-term approach focusing on price relative to long-term earnings, asset value, and cash flow potential. The adviser has full discretion to buy, hold, or sell securities at any time. The fund may utilize a variety of derivatives to enhance returns, increase liquidity, gain exposure, and hedge risks.

Ownership

Per-holder 13F data isn't yet ingested for ETFs — coming with the next data layer expansion. Aggregate ownership shown above.