FLLA ETF ANALYSIS

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FLLA ETF FUNDAMENTALS
FLLA ETF PERFORMANCE

FLLA ISSUER

The issuer of the FLLA ETF, whose full name is not provided, focuses on sustainable investing strategies. This issuer seeks to track an index comprised of equity securities issued by large-capitalization companies listed on U.S. exchanges that meet specific environmental, social, and governance (ESG) criteria. The ESG criteria encompass various aspects, including climate change mitigation, ethical business practices, and adherence to national and international laws. This approach reflects a commitment to responsible investing and aligns with the growing interest in ESG-conscious investment options within the financial industry.

FLLA DIVIDEND

The Fidelity Latin America ETF (FLLA) offers exposure to Latin American large- and mid-capitalization stocks. This exchange-traded fund (ETF) follows the FTSE Latin America Capped Index and aims to closely replicate its performance before fees and expenses. The index's methodology includes a capping strategy to prevent any single dividend of a component from exceeding 25% of the index's weight, enhancing diversification among its holdings.

FLLA TRACKING

The FLLA ETF, or the Positive Dynamic Change ETF, is primarily focused on tracking companies experiencing Positive Dynamic Change in various industries. This exchange-traded fund is actively managed and seeks to invest in approximately 35 equity securities of companies that the fund manager believes are undergoing significant positive changes. These changes can include high unit volume growth or positive lifecycle changes driven by factors such as new regulations, product innovations, or management improvements. The ETF has a strong emphasis on technology companies that extensively utilize technology to enhance their business operations and growth prospects. While the fund does not seek to replicate a specific index, it aims to provide investors with exposure to companies poised for growth due to transformative developments within their sectors.

FLLA CORRELATION

The correlation characteristics of the Fidelity Autonomous & Electric Vehicles ETF (FLLA) are closely tied to the performance of companies involved in the autonomous driving and electric vehicle industries. Given its focus on tracking the NYSE® FactSet® Global Autonomous Driving and Electric Vehicle Index, FLLA tends to exhibit a strong correlation with the movements in these specific sectors. Investors often look to FLLA as a means to gain exposure to this niche market, making its correlation behavior a crucial aspect of portfolio strategy. To explore and analyze the correlations of FLLA with various assets and sectors in-depth, ETF Insider's web app offers a valuable tool, providing comprehensive data and visualizations to help investors make informed decisions while identifying potential overlaps within the ETF's holdings.

FLLA SECTOR

The Franklin Liberty U.S. Low Volatility ETF (FLLA) primarily focuses on the low volatility sector, aiming to provide investors with a less risky investment option. This sector allocation typically includes stocks from industries such as utilities, consumer staples, and healthcare, which are known for their relative stability. By emphasizing low volatility holdings, FLLA offers a strategy that appeals to risk-averse investors looking for a smoother ride in the stock market.

FLLA EXPOSURE

The Fidelity Latin America ETF (FLLA) provides exposure to the Latin American equity market through tracking the FTSE Latin America Capped Index. Comprising large- and mid-capitalization stocks, the index employs a capping methodology to ensure diversification, with no single component exceeding 25% of the index weight and no cumulative exposure above 50%. FLLA offers investors a passive investment approach to gain access to the performance of this specific region, with strategies including replication and representative sampling techniques.

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FREQUENTLY ASKED QUESTIONS

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