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IE000E02WFD5

Franklin US Treasury 0-1 Year UCITS ETF

As of 30/10/2025

NAV 12

$20.28

 
 

NAV Change 12

$0.01

(0.05%)

Overview

Summary of Fund Objective

To provide exposure to short term US Treasury securities denominated in USD. The Fund invests in US Treasury notes and bonds as well as US Treasury bills that are included in the benchmark. The Index, tracks the market for treasury bills, notes and bonds issued by the US government with at least one month and less than 12 months to maturity.

What Are The Key Risks?

The Fund does not offer any capital guarantee or protection and you may not get back the amount invested.

  • The Fund is subject to the following risks which are materially relevant:
    Counterparty risk: the risk of failure of financial institutions or agents (when serving as a counterparty to financial contracts) to perform their obligations, whether due to insolvency, bankruptcy or other causes.
    Credit risk: the risk of loss arising from default that may occur if an issuer fails to make principal or interest payments when due. This risk is higher if the Fund holds low-rated, sub-investment-grade securities. 
    Derivative Instruments risk: the risk of loss in an instrument where a small change in the value of the underlying investment may have a larger impact on the value of such instrument. Derivatives may involve additional liquidity, credit and counterparty risks. 
    Secondary market trading risk: the risk that the shares purchased on the secondary market cannot usually be sold directly back to the Fund and that investors may therefore pay more than the NAV per share when buying shares or may receive less than the current NAV per Share when selling shares.

Complete information on the risks of investing in the Fund are set out in the Fund's prospectus.

Fund Information
Base Currency for Fund 
USD
Total Net Assets  As of 30/10/2025 (Updated Daily)
$89.62 Million
Fund Inception Date 
01/07/2025
Share Class Inception Date 
01/07/2025
ETF Type 
Indexed
Asset Class 
Fixed Income
Benchmark 
Bloomberg US Short Treasury Index
Domicile 
Ireland
UCITS 
Yes
Methodology3 
Optimised
Product Structure4 
Physical
Frequency of Index Reconstitution 
Monthly
Use of Income 
Accumulating
Fiscal Year End 
30 June
Administrator 
BNY Mellon Fund Services (Ireland) DAC
Depositary 
The Bank Of New York Mellon SA/NV, Dublin Branch
Charges 7
Total Expense Ratio56 
0.05%
Identifiers
ISIN Code 
IE000E02WFD5
Trading Characteristics
As of 30/10/2025 (Updated Monthly)
Shares Outstanding 
150,000

Trading Information

Exchange Name 
Euronext Paris Exchange
Ticker 
FLUSA
Currency 
EUR
Bloomberg 
FLUSA FP
Reuters Number 
FLUSA.PA
SEDOL 
BNBXG88
Exchange Name 
Cboe Europe (NL)
Ticker 
TBILLx
Currency 
USD
Bloomberg 
TBILLx I2
Reuters Number 
TBILLx.DXE
SEDOL 
BNBXG77
Exchange Name 
Deutsche Börse Xetra
Ticker 
SHOR
Currency 
EUR
Bloomberg 
SHOR GR
Reuters Number 
SHOR.DE
SEDOL 
BP7M036
Exchange Name 
SIX Swiss Exchange
Ticker 
FUST1
Currency 
USD
Bloomberg 
FUST1 SW
Reuters Number 
FUST1.S
SEDOL 
BS9F1Y2
Exchange Name 
London Stock Exchange
Ticker 
SHOR
Currency 
USD
Bloomberg 
SHOR LN
Reuters Number 
SHOR.L
SEDOL 
BS4BHG9
Exchange Name 
Borsa Italiana
Ticker 
FLUSA
Currency 
EUR
Bloomberg 
FLUSA IM
Reuters Number 
FLUSA.MI
SEDOL 
BNBXG99

Fund Managers

Albert W Chan, CFA®

Massachusetts, United States

Managed Fund Since 2025

William Chong, CFA®

California, United States

Managed Fund Since 2025

Performance

Portfolio

Portfolio Holdings

Holdings

As of 30/10/2025 Updated Daily
Security Name 
Net Current Assets
Weight (%) 
100.55
Market Value 
-342,785.60
Notional Exposure 
Quantity 
Security Name 
US TSY 0% 06/11/25
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
8,540,000.00
Security Name 
US TSY 0% 22/01/26
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
4,240,000.00
Security Name 
US TSY 0% 11/06/26
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
230,000.00
Security Name 
US TSY 0% 18/12/25
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
2,600,000.00
Security Name 
US TSY 0% 03/09/26
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
1,220,000.00
Security Name 
US TSY 0% 23/12/25
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
700,000.00
Security Name 
US TSY 0% 27/01/26
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
670,000.00
Security Name 
US TSY 0% 02/01/26
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
2,580,000.00
Security Name 
US TSY 0% 20/11/25
Weight (%) 
0.00
Market Value 
0.00
Notional Exposure 
0.00
Quantity 
260,000.00

These securities do not represent all of the securities purchased, sold or recommended for clients, and the reader should not assume that investment in the securities listed was or will be profitable. 

Pricing

Pricing History Chart

As of 30/10/2025 Updated Daily

Share Prices

As of 30/10/2025
NAV12 (Net Asset Value)
$20.28
NAV Change12 
$0.01
NAV Change (%)12 
0.05%
Highest / Lowest NAV
As of 30/10/2025 Updated Daily
Year 
Highest NAV
2025  
$20.28 As on 30/10/2025
Year 
Lowest NAV
2025  
$19.99 As on 03/07/2025

Documents

Product Literature

PDF Format

Fact Sheet - Franklin US Treasury 0-1 Year UCITS ETF (USD (Acc))

Regulatory Documents

PDF Format

Key Investor Information Document - Franklin US Treasury 0-1 Year UCITS ETF USD (Acc)

PDF Format

Prospectus - Franklin Templeton ICAV (ETF)

PDF Format

Semi Annual Report - Exchange Traded Funds (ETF)

PDF Format

Annual Report (full) - Franklin Templeton ICAV (ETF)

PDF Format

Interim Report - Franklin Templeton ICAV (ETF)

PDF Format

Global Supplement - Franklin Templeton ICAV (ETFs)

PDF Format

Articles of Incorporation - Exchange Traded Funds (ETFs)

Additional Resources

PDF Format

Re: Change of Administrator and Depositary as well as amendments to the Prospectus and to certain Sub-Fund supplements