Schedules of Investments (unaudited)
June 30, 2026
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 Franklin Disruptive Commerce ETF

(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 98.4%
Communication Services — 16.6%
Entertainment — 7.5%
Netflix Inc.
1,921
 $137,159
*
Nintendo Co. Ltd., ADR
2,908
30,476
ROBLOX Corp., Class A Shares
741
40,296
*
Roku Inc.
658
90,896
*
Spotify Technology SA
183
84,021
*
Total Entertainment
382,848
Interactive Media & Services — 9.1%
Alphabet Inc., Class A Shares
574
205,130
Meta Platforms Inc., Class A Shares
352
198,278
Scout24 SE
226
18,694
(a)
Tencent Holdings Ltd.
768
42,092
Total Interactive Media & Services
464,194
 
Total Communication Services
847,042
Consumer Discretionary — 38.5%
Broadline Retail — 21.7%
Alibaba Group Holding Ltd.
2,782
32,939
Amazon.com Inc.
2,356
561,529
*
Coupang Inc.
1,037
18,013
*
eBay Inc.
1,491
166,619
Etsy Inc.
436
32,844
*
Global-e Online Ltd.
727
25,249
*
MercadoLibre Inc.
98
166,344
*
Naspers Ltd., Class N Shares
457
22,881
PDD Holdings Inc., ADR
323
24,638
*
Prosus NV
495
21,500
Sea Ltd., ADR
376
36,032
*
Total Broadline Retail
1,108,588
Distributors — 1.4%
GigaCloud Technology Inc., Class A Shares
2,233
70,563
*
Hotels, Restaurants & Leisure — 9.1%
Airbnb Inc., Class A Shares
376
53,806
*
Booking Holdings Inc.
860
153,286
DoorDash Inc., Class A Shares
911
168,107
*
Expedia Group Inc.
354
90,581
Total Hotels, Restaurants & Leisure
465,780
Specialty Retail — 5.6%
Carvana Co.
2,825
185,941
*
Chewy Inc., Class A Shares
1,650
32,423
*
Revolve Group Inc.
1,232
28,200
*
Wayfair Inc., Class A Shares
437
40,388
*
Total Specialty Retail
286,952
Textiles, Apparel & Luxury Goods — 0.7%
Figs Inc., Class A Shares
3,289
33,647
*
 
Total Consumer Discretionary
1,965,530
See Notes to Schedules of Investments.

1
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Disruptive Commerce ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Consumer Staples — 6.7%
Consumer Staples Distribution & Retail — 6.7%
Costco Wholesale Corp.
141
 $131,901
Maplebear Inc.
1,117
52,890
*
Walmart Inc.
1,390
157,432
 
Total Consumer Staples
342,223
Financials — 10.1%
Capital Markets — 1.2%
Coinbase Global Inc., Class A Shares
67
9,795
*
Robinhood Markets Inc., Class A Shares
403
40,413
*
StoneX Group Inc.
96
11,376
*
Total Capital Markets
61,584
Consumer Finance — 0.5%
Dave Inc.
65
24,218
*
Figure Technology Solutions Inc., Class A Shares
117
3,593
*
Total Consumer Finance
27,811
Financial Services — 8.4%
Adyen NV, ADR
3,994
37,184
*
Affirm Holdings Inc.
1,352
110,256
*
Flywire Corp.
316
5,552
*
Mastercard Inc., Class A Shares
295
151,512
Visa Inc., Class A Shares
355
121,797
Total Financial Services
426,301
 
Total Financials
515,696
Industrials — 9.0%
Air Freight & Logistics — 0.6%
CH Robinson Worldwide Inc.
167
31,453
Commercial Services & Supplies — 1.5%
Liquidity Services Inc.
1,533
59,971
*
RB Global Inc.
126
14,673
Total Commercial Services & Supplies
74,644
Electrical Equipment — 1.5%
Bloom Energy Corp., Class A Shares
258
78,096
*
Ground Transportation — 4.3%
Lyft Inc., Class A Shares
782
11,425
*
Uber Technologies Inc.
1,684
121,518
*
XPO Inc.
411
84,374
*
Total Ground Transportation
217,317
Trading Companies & Distributors — 1.1%
Fastenal Co.
1,153
55,378
 
Total Industrials
456,888
Information Technology — 15.0%
IT Services — 8.4%
Shopify Inc., Class A Shares
3,772
430,687
*
Software — 6.6%
AppLovin Corp., Class A Shares
526
271,011
*
Circle Internet Group Inc.
47
2,943
*
Descartes Systems Group Inc.
338
23,403
*
See Notes to Schedules of Investments.

2
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Disruptive Commerce ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Software — continued
Figma Inc., Class A Shares
865
 $15,648
*
Manhattan Associates Inc.
175
24,369
*
Total Software
337,374
 
Total Information Technology
768,061
Real Estate — 2.5%
Industrial REITs — 2.5%
Prologis Inc.
942
127,613
Total Investments — 98.4% (Cost — $4,791,357)
5,023,053
Other Assets in Excess of Liabilities — 1.6%
84,179
Total Net Assets — 100.0%
$5,107,232
*
Non-income producing security.
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
Abbreviation(s) used in this schedule:
ADR
American Depositary Receipts
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

3
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Dividend Growth ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 97.1%
Consumer Discretionary — 6.3%
Hotels, Restaurants & Leisure — 3.4%
Marriott International Inc., Class A Shares
242
 $89,683
McDonald’s Corp.
323
87,310
Total Hotels, Restaurants & Leisure
176,993
Household Durables — 1.5%
DR Horton Inc.
485
78,997
Specialty Retail — 1.4%
Lowe’s Cos. Inc.
346
76,289
 
Total Consumer Discretionary
332,279
Consumer Staples — 10.1%
Beverages — 2.3%
Coca-Cola Co.
1,478
120,117
Consumer Staples Distribution & Retail — 4.2%
Casey’s General Stores Inc.
71
56,430
Walmart Inc.
1,433
162,302
Total Consumer Staples Distribution & Retail
218,732
Household Products — 2.1%
Procter & Gamble Co.
758
111,153
Tobacco — 1.5%
Philip Morris International Inc.
439
79,419
 
Total Consumer Staples
529,421
Energy — 3.5%
Oil, Gas & Consumable Fuels — 3.5%
Chevron Corp.
670
111,059
EOG Resources Inc.
545
70,703
 
Total Energy
181,762
Financials — 17.8%
Banks — 4.3%
JPMorgan Chase & Co.
691
226,185
Capital Markets — 6.2%
Charles Schwab Corp.
985
90,886
Morgan Stanley
680
142,147
Nasdaq Inc.
1,153
90,879
Total Capital Markets
323,912
Financial Services — 5.8%
Apollo Global Management Inc.
820
97,014
Visa Inc., Class A Shares
605
207,570
Total Financial Services
304,584
Insurance — 1.5%
Marsh & McLennan Cos. Inc.
485
80,835
 
Total Financials
935,516
Health Care — 16.5%
Health Care Equipment & Supplies — 3.8%
Abbott Laboratories
1,207
109,523
Stryker Corp.
284
89,415
Total Health Care Equipment & Supplies
198,938
See Notes to Schedules of Investments.

4
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dividend Growth ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Health Care Providers & Services — 1.9%
UnitedHealth Group Inc.
238
 $98,920
Life Sciences Tools & Services — 1.0%
Thermo Fisher Scientific Inc.
111
55,651
Pharmaceuticals — 9.8%
Eli Lilly & Co.
204
244,684
Johnson & Johnson
621
157,715
Merck & Co. Inc.
868
111,538
Total Pharmaceuticals
513,937
 
Total Health Care
867,446
Industrials — 11.6%
Aerospace & Defense — 2.6%
RTX Corp.
725
137,554
Building Products — 2.0%
Carrier Global Corp.
1,443
105,844
Commercial Services & Supplies — 1.2%
Cintas Corp.
381
64,801
Ground Transportation — 1.3%
Canadian Pacific Kansas City Ltd.
770
66,721
Machinery — 2.5%
Parker-Hannifin Corp.
135
132,046
Trading Companies & Distributors — 2.0%
W.W. Grainger Inc.
75
102,030
 
Total Industrials
608,996
Information Technology — 23.6%
Electronic Equipment, Instruments & Components — 2.4%
Amphenol Corp., Class A Shares
726
128,008
Semiconductors & Semiconductor Equipment — 9.2%
Analog Devices Inc.
346
137,421
Broadcom Inc.
669
252,715
Lam Research Corp.
207
89,699
Total Semiconductors & Semiconductor Equipment
479,835
Software — 7.7%
Microsoft Corp.
727
271,185
Oracle Corp.
885
129,697
Total Software
400,882
Technology Hardware, Storage & Peripherals — 4.3%
Apple Inc.
785
227,148
 
Total Information Technology
1,235,873
Materials — 4.2%
Chemicals — 4.2%
Linde PLC
293
152,050
Sherwin-Williams Co.
194
66,798
 
Total Materials
218,848
Utilities — 3.5%
Electric Utilities — 3.5%
Evergy Inc.
1,118
96,629
See Notes to Schedules of Investments.

5
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dividend Growth ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Electric Utilities — continued
NextEra Energy Inc.
981
 $86,102
 
Total Utilities
182,731
Total Investments before Short-Term Investments (Cost — $4,845,143)
5,092,872
 
 
Rate
 
 
 
Short-Term Investments — 2.8%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares (Cost — $145,746)
3.545%
145,746
145,746
(a)(b)
Total Investments — 99.9% (Cost — $4,990,889)
5,238,618
Other Assets in Excess of Liabilities — 0.1%
6,990
Total Net Assets — 100.0%
$5,245,608
(a)
Rate shown is one-day yield as of the end of the reporting period.
(b)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $145,746 and the cost was $145,746 (Note 3).
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

6
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Municipal Bonds — 92.9%
Alabama — 10.2%
Black Belt Energy Gas District, AL, Gas Project Revenue:
Series A
5.250%
9/1/32
 $10,345,000
 $10,711,309
(a)(b)
Series A, Refunding
4.000%
12/1/31
200,000
204,484
(a)(b)
Series C
5.250%
8/1/27
1,000,000
1,015,227
(c)
Series C
5.250%
8/1/33
1,015,000
1,064,027
(c)
Series C
5.500%
8/1/34
28,250,000
30,418,956
(a)(b)(c)
Series G
5.000%
10/1/35
27,745,000
29,270,523
Energy Southeast, AL, A Cooperative District, Energy Supply Revenue:
Series A
5.000%
11/1/35
19,645,000
20,754,567
Series A-1
5.500%
1/1/31
2,185,000
2,355,042
(a)(b)
Series B
5.250%
6/1/32
6,480,000
6,981,179
(a)(b)
Series B
5.000%
11/1/33
2,040,000
2,175,321
Series B-1
5.750%
11/1/31
935,000
1,028,585
(a)(b)
Homewood Educational Building Authority, AL, Horizons II LLC, Student
Housing & Parking Project, Series C
5.500%
10/1/44
1,070,000
1,135,252
Huntsville, AL, Health Care Authority Revenue, Series B
4.000%
6/1/45
1,000,000
960,498
Infirmary Health System, AL, Special Care Facilities Financing
Authority of Mobile Revenue:
Series A, Refunding
4.000%
2/1/37
1,340,000
1,322,323
Series A, Refunding
4.000%
2/1/39
2,465,000
2,385,877
Series A, Refunding
4.000%
2/1/40
2,680,000
2,568,570
MidCity Improvement District, AL, Special Assessment Revenue:
Series 2022
4.250%
11/1/32
600,000
585,951
Series 2024
6.500%
11/1/44
250,000
253,359
(c)
Mobile County, AL, Revenue, Gomesa Project, Series 2020
4.000%
11/1/45
100,000
93,663
(c)
Selma, AL, Industrial Development Board Revenue, International Paper
Company Project, Refunding
4.200%
5/1/34
2,640,000
2,763,407
Southeast Alabama Gas Supply, Gas Supply Revenue, Series A,
Refunding
5.000%
4/1/32
2,940,000
3,132,155
(a)(b)
Southeast Energy Authority, AL, Cooperative District Energy Supply
Revenue:
Series A
5.000%
6/1/35
30,150,000
30,790,618
(a)(b)
Series H
5.000%
11/1/35
18,475,000
19,664,945
Southeast Energy Authority, AL, Cooperative District, Commodity
Supply Revenue, Series A
5.500%
12/1/29
845,000
900,144
(a)(b)
Southeast Energy Authority, AL, Cooperative District, Energy Supply
Revenue:
Series A
5.000%
11/1/35
39,185,000
40,918,752
Series B
5.250%
1/1/33
16,850,000
17,465,977
(a)(b)
Series C
5.000%
11/1/32
2,665,000
2,830,569
(a)(b)
Total Alabama
233,751,280
Alaska — 0.3%
Alaska State Housing Finance Corp. Revenue:
General Mortgage II, Series A
4.000%
12/1/39
1,015,000
1,006,180
General Mortgage II, Series A
4.250%
12/1/42
2,000,000
2,003,153
See Notes to Schedules of Investments.

7
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Alaska — continued
Alaska State Railroad Corp., Cruise Port Revenue:
Series 2025, AG
5.500%
10/1/43
 $500,000
 $549,566
(d)
Series 2025, AG
5.500%
10/1/44
1,000,000
1,092,632
(d)
Series 2025, AG
5.500%
10/1/45
1,000,000
1,084,018
(d)
Northern Tobacco Securitization Corp., AK, Tobacco Settlement
Revenue, Asset Backed Senior Bonds, Class 1, Series A, Refunding
4.000%
6/1/39
1,000,000
1,006,891
Total Alaska
6,742,440
Arizona — 0.6%
Arizona State, IDA Education Revenue, Copper World LLC Project,
Series A
4.500%
7/2/36
3,000,000
3,049,263
(a)(b)(c)(d)
Chandler, AZ, IDA Revenue, Intel Corp. Project
5.000%
9/1/27
3,180,000
3,217,268
(a)(b)(d)
Glendale, AZ, IDA Revenue, People of Faith Inc., Obligated Group,
Series 2020
4.000%
5/15/31
135,000
133,646
Maricopa County, AZ, IDA Education Revenue, Grand Canyon
University Project
7.375%
10/1/29
2,925,000
3,055,468
(c)
Sierra Vista, AZ, IDA Revenue:
American Leadership Academy Project
5.000%
6/15/44
1,750,000
1,665,849
(c)
Georgetown CDA Project
9.000%
10/1/37
250,000
245,129
(c)
Tempe, AZ, IDA Revenue:
Friendship Village of Tempe Project, Refunding
4.000%
12/1/31
225,000
228,323
Series A
5.375%
12/1/46
1,500,000
1,567,285
Total Arizona
13,162,231
Arkansas — 0.7%
Arkansas State Development Finance Authority Health Care Revenue:
Baptist Memorial Health Care Corp., Series B-1, Refunding
5.000%
9/1/39
140,000
145,112
Baptist Memorial Health Care Corp., Series B-1, Refunding
5.000%
9/1/44
2,500,000
2,556,771
Arkansas State Development Finance Authority Hospital Revenue:
Washington Regional Medical Center, Series 2024
5.000%
2/1/35
1,475,000
1,511,971
Washington Regional Medical Center, Series 2024
5.000%
2/1/36
160,000
163,932
Arkansas State Development Finance Authority, Environmental
Improvement Revenue, United States Steel Corp. Project, Series B
4.250%
3/3/36
5,500,000
5,591,835
(a)(b)(c)(d)
Fayetteville, AR, Public Facilities Board Revenue, Butterfield Trail
Village Project, Series 2026
5.250%
12/1/46
860,000
897,323
Jonesboro, AR, City Water & Light Plant, Public Utility System
Revenue, Series 2025
4.000%
6/1/43
2,500,000
2,515,173
Osceola, AR, Solid Waste Disposal Revenue, Plum Point Energy
Associates LLC Project, Refunding
4.875%
4/1/40
3,400,000
3,452,673
(d)
Total Arkansas
16,834,790
California — 6.3%
California State Community Choice Financing Authority Revenue:
Clean Energy Project, Green Bonds, Series A
5.000%
5/1/35
2,650,000
2,734,825
(a)(b)
Clean Energy Project, Green Bonds, Series A-1
5.000%
2/1/36
5,000,000
5,380,046
(a)(b)
Clean Energy Project, Green Bonds, Series B
5.000%
12/1/32
9,185,000
9,457,197
(a)(b)
Clean Energy Project, Green Bonds, Series B
5.000%
11/1/35
1,830,000
1,961,910
(a)(b)
Clean Energy Project, Green Bonds, Series B
5.000%
3/1/36
32,490,000
33,909,517
Clean Energy Project, Green Bonds, Series C
5.250%
10/1/31
8,905,000
9,433,764
(a)(b)
Clean Energy Project, Green Bonds, Series E
4.108%
3/1/31
4,595,000
4,682,808
(a)(b)
See Notes to Schedules of Investments.

8
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
California — continued
Clean Energy Project, Green Bonds, Series F
5.500%
11/1/30
 $990,000
 $1,081,014
(a)(b)
California State Community College Financing Authority Revenue,
Napa Valley Properties LLC, College Project, Series A
4.250%
7/1/32
500,000
422,512
(c)
California State Community Housing Agency Essential Housing
Revenue:
Junior Bonds Aster, Series A
4.000%
2/1/43
4,218,000
4,015,908
(c)
Junior Bonds Fountains, Series A
4.000%
8/1/46
3,855,000
3,418,863
(c)
Junior Bonds Glendale Properties, Series A
4.000%
8/1/47
2,320,000
1,857,100
(c)
Junior Bonds, Series A
4.000%
8/1/50
1,125,000
913,366
(c)
The Arbors, Series A
5.000%
8/1/50
6,985,000
6,705,333
(c)
Verdant Green Valley, Series A
5.000%
8/1/49
2,270,000
2,152,624
(c)
California State Health Facilities Financing Authority Revenue,
Episcopal Communities & Services, Initial Entrance Fees, Series A
3.850%
11/15/27
1,000,000
1,000,396
California State MFA Revenue:
Mobile Home Park, Subordinate Revenue, Caritas Projects, Series B,
Refunding
3.000%
8/15/31
125,000
121,867
Senior Lien, LINXS APM Project, Series A
5.000%
6/30/27
125,000
126,935
(d)
Senior Lien, LINXS APM Project, Series A
5.000%
12/31/27
100,000
102,222
(d)
Senior Lien, LINXS APM Project, Series A
5.000%
6/30/29
490,000
507,593
(d)
Senior Lien, LINXS APM Project, Series A
5.000%
12/31/29
500,000
517,730
(d)
Senior Lien, LINXS APM Project, Series A
5.000%
6/30/31
215,000
222,174
(d)
Senior Lien, LINXS APM Project, Series A
5.000%
12/31/31
630,000
650,621
(d)
Senior Lien, LINXS APM Project, Series A
5.000%
12/31/36
1,145,000
1,173,286
(d)
Senior Lien, LINXS APM Project, Series A
5.000%
12/31/43
1,630,000
1,655,201
(d)
Senior Lien, LINXS APM Project, Series A, AG
3.500%
12/31/35
150,000
146,511
(d)
California State MFA, Community Facilities District No 11, Special Tax
Revenue:
Series 2026
5.000%
9/1/36
250,000
261,169
Series 2026
5.000%
9/1/41
425,000
440,781
California State MFA, Special Finance Agency Essential Housing
Revenue:
Junior Bonds Solana at Grand, Series 2021
4.000%
8/1/45
5,835,000
5,348,460
(c)
Junior Bonds Solana at Grand, Series 2021
4.000%
8/1/47
7,745,000
7,375,354
(c)
Junior Bonds Solana at Grand, Series 2021
4.000%
8/1/47
4,395,000
4,185,240
(c)
Junior Bonds Solana at Grand, Series 2022
4.375%
8/1/49
2,315,000
1,946,325
(c)
California State MFA, Special Tax Revenue:
Improvement Area One, Series B
5.000%
9/1/35
300,000
319,144
Improvement Area One, Series B
5.000%
9/1/40
275,000
287,609
Improvement Area Two
5.000%
9/1/40
700,000
732,095
Series A
5.000%
9/1/36
220,000
230,642
Series A
5.000%
9/1/41
1,000,000
1,040,439
Series C
5.500%
9/1/34
60,000
64,576
Series C
5.750%
9/1/37
400,000
430,497
Series C
6.000%
9/1/42
730,000
784,900
Series D
5.000%
9/1/35
350,000
369,727
Series D
5.000%
9/1/40
550,000
574,373
Series D
6.000%
9/1/42
265,000
284,930
See Notes to Schedules of Investments.

9
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
California — continued
California State PCFA Solid Waste Disposal Revenue, Calplant I
Project, Green Bonds, Series 2017
7.500%
7/1/32
 $250,000
 $2,812
*(c)(d)(e)(f)(g)
California State School Finance Authority Revenue:
Aspire Public School, Unrefunded
5.000%
8/1/36
1,450,000
1,450,335
(c)
Classical Academy, Series A
3.000%
10/1/30
135,000
130,625
(c)
Community High School Foundation Inc., Series 2017
5.000%
6/1/27
50,000
51,009
(c)(h)
Community High School Foundation Inc., Series 2017, Unrefunded
5.000%
6/1/27
50,000
50,488
(c)
Community High School Foundation Inc., Series 2017, Unrefunded
5.000%
6/1/37
125,000
125,334
(c)
John Adams Academies, Series A
4.500%
7/1/32
245,000
248,663
(c)
Orange Springs Obligated Group, Series A
5.000%
7/1/36
2,250,000
2,326,202
(c)
Orange Springs Obligated Group, Series A
5.375%
7/1/46
1,000,000
994,370
(c)
River Springs Charter School, Series A
5.000%
7/1/42
2,215,000
2,219,366
(c)
California Statewide CDA Community Improvement Authority Essential
Housing Revenue:
Jefferson-Anaheim, Social Bonds
2.875%
8/1/41
155,000
145,008
(c)
Mezzanine Lien, Waterscape Apartments, Social Bonds
4.000%
9/1/46
1,980,000
1,718,828
(c)
Mezzanine Lien,Towne-Glendale, Social Bonds
5.000%
9/1/37
800,000
817,520
(c)
Parallel-Anaheim, Social Bonds, Series A
4.000%
8/1/56
100,000
90,957
(c)
Renaissance at City Center, Series A
5.000%
7/1/51
7,295,000
7,091,116
(c)
Elsinore Valley, CA, Municipal Water Special Tax Revenue, Community
Facilities District No 2020, Series A
4.000%
9/1/27
100,000
100,597
(c)
Lammersville Joint USD, CA, Community Facilities District No 1,
Special Tax Revenue, Mountain House School Facilities, Series 2026
5.000%
9/1/41
600,000
629,259
Long Beach, CA, Bond Finance Authority Revenue, Natural Gas
Purchase, Series B (3 mo. Term SOFR x 0.670 + 0.262%)
4.071%
11/15/27
3,000,000
3,034,966
(b)
Rancho Cordova, CA, Special Tax Revenue:
Improvement Area Two, Series 2026
5.000%
9/1/36
200,000
212,080
Improvement Area Two, Series 2026
5.000%
9/1/41
500,000
524,355
River Islands, CA, Public Financing Authority, Special Tax Revenue:
Improvement Area One, Community Facilities District No 2023-1
5.000%
9/1/38
465,000
489,602
Improvement Area Three, Community Facilities District No 2003-1,
Refunding
5.000%
9/1/35
410,000
443,825
Improvement Area Three, Community Facilities District No 2003-1,
Refunding
4.500%
9/1/40
600,000
605,521
Improvement Area Two, Community Facilities District No 2003-1
5.000%
9/1/32
500,000
525,647
San Francisco, CA, City & County Development Special Tax Revenue,
Mission Rock Facilities & Services, Series A
4.000%
9/1/36
100,000
100,397
(c)
Southern California Public Power Authority, Natural Gas Project
Revenue, Project Number 1, Series A
4.099%
11/1/38
1,405,000
1,374,764
(b)
Total California
144,531,230
Colorado — 1.3%
Bradburn, CO, Metropolitan District No 2, Colorado Limited Tax, GO,
Improvement Bonds, Series A, Refunding
5.000%
12/1/38
600,000
629,785
(i)
Colorado Educational & Cultural Facilities Authority, Charter School,
Golden View Classical Academy Project, Refunding
4.000%
1/1/32
200,000
201,081
Colorado State Health Facilities Authority Revenue:
Christian Living Neighborhoods, Series 2019, Refunding
4.000%
1/1/29
100,000
102,050
See Notes to Schedules of Investments.

10
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Colorado — continued
Christian Living Neighborhoods, Series 2021, Refunding
4.000%
1/1/42
 $2,105,000
 $2,060,382
Commonspirit Health Initiatives, Series A-1, Refunding
4.000%
8/1/37
1,560,000
1,563,545
Commonspirit Health Initiatives, Series A-1, Refunding
4.000%
8/1/38
1,685,000
1,685,756
Commonspirit Health Initiatives, Series A-1, Refunding
4.000%
8/1/39
1,790,000
1,777,115
Commonspirit Health Initiatives, Series A-2, Refunding
5.000%
8/1/39
2,000,000
2,068,921
Improvement Second Tier Bonds, Bethesda Project
5.250%
9/15/45
3,575,000
3,715,163
Denver, CO, Health & Hospital Authority Revenue:
Series 2017, Refunding
4.000%
12/1/36
205,000
199,248
(c)
Series 2019
5.000%
12/1/45
990,000
1,017,039
Series 2019, Refunding
4.000%
12/1/37
1,210,000
1,164,386
Series 2019, Refunding
4.000%
12/1/38
2,290,000
2,168,154
Series 2019, Refunding
4.000%
12/1/39
2,820,000
2,658,798
E-470 Public Highway Authority Revenue, CO, Senior Bonds, Series B,
Refunding (SOFR x 0.670 + 0.750%)
3.175%
9/1/26
1,000,000
999,577
(a)(b)
Jefferson County, CO, Center Metropolitan District No 2 Revenue:
Series A, Refunding
5.000%
12/1/36
500,000
504,433
(c)
Series A, Refunding
5.750%
12/1/46
1,375,000
1,394,343
(c)
Kinston Metropolitan District, CO, GO, Series A, Refunding
5.500%
12/1/45
560,000
580,542
(c)
Maiker Housing Partners, CO, MFH Revenue, Verrbena Project, Series
A
5.000%
4/1/44
1,150,000
1,194,805
Raindance, CO, Metropolitan District No 1, Non-Potable Water System
Revenue, Water Activity Enterprise, Series 2020
5.000%
12/1/40
1,247,000
1,253,439
Southern Ute Indian Tribe Reservation, CO, GO, Series A
5.000%
4/1/35
1,300,000
1,411,161
(c)
Southlands Metropolitan District No 1, CO, GO:
Refunding
5.000%
12/1/30
100,000
100,026
Series A
3.500%
12/1/27
135,000
134,547
Series A, Refunding
3.500%
12/1/27
100,000
99,664
Series A, Refunding
5.000%
12/1/37
810,000
815,600
Sterling Ranch, CO, Community Authority Board, Sterling Ranch
Metropolitan District No 1, Special Assessment Revenue
5.625%
12/1/43
773,000
808,417
Total Colorado
30,307,977
Connecticut — 0.8%
Connecticut State HEFA Revenue:
Hartford Healthcare Issue, Series A, Refunding
5.500%
7/1/51
9,480,000
10,235,929
Masonicare Issue, Series F, Refunding
5.000%
7/1/37
1,365,000
1,365,631
Masonicare Issue, Series F, Refunding
5.000%
7/1/43
5,500,000
5,500,956
McLean Affiliates Obligated Group, Series A
5.000%
1/1/30
100,000
100,711
(c)
Sacred Heart University, Series I-1, Refunding
5.000%
7/1/29
5,000
5,103
Connecticut State Higher Education Supplement Loan Authority
Revenue, Chesla Loan Program, Series B
4.250%
11/15/43
1,215,000
1,218,663
(d)
Total Connecticut
18,426,993
Delaware — 0.1%
Delaware State EDA Revenue:
Aspira of Delaware Charter Operations Inc. Project, Series A
5.000%
2/1/36
875,000
898,231
Aspira of Delaware Charter Operations Inc. Project, Series A
5.250%
2/1/46
585,000
574,945
Charter Schools, Series 2021, Refunding
4.000%
9/1/41
1,000,000
929,857
See Notes to Schedules of Investments.

11
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Delaware — continued
Delaware State Housing Authority, Senior Single-Family Mortgage
Revenue, Series B, GNMA/FNMA/FHLMC
4.650%
7/1/40
 $990,000
 $1,020,795
Kent County, DE, Student Housing & Dining Facility Revenue,
University Project, Series A
5.000%
7/1/29
100,000
101,250
Total Delaware
3,525,078
District of Columbia — 0.2%
District of Columbia Revenue:
Smart Street Lighting Project, Series A
5.500%
8/31/33
250,000
275,875
(d)
Smart Street Lighting Project, Series A
5.500%
8/31/36
25,000
28,187
(d)
Smart Street Lighting Project, Series A
5.500%
2/28/37
120,000
135,475
(d)
Metropolitan Washington, DC, Transit Authority, Dedicated Tax
Revenue, Second Lien, Series A
5.250%
7/15/50
3,365,000
3,601,622
Total District of Columbia
4,041,159
Florida — 9.9%
Angeline, FL, Community Development District, Special Assessment
Revenue, Capital Improvement Bonds, Series 2025
5.500%
5/1/45
300,000
310,266
Antillia, FL, Community Development District Miami-Dade County
Special Assessment Revenue, Series 2024
5.000%
5/1/31
215,000
220,080
Astonia, FL, Community Development District Polk County, Special
Assessment Revenue, Assessment Area One, Series 2020
3.375%
5/1/30
120,000
119,466
(c)
Avalon, FL, Park West Community Development District, Special
Assessment Revenue, Series 2020, Refunding
3.250%
5/1/30
80,000
78,640
(c)
Aventura, FL, Isles Community Development District Miami-Dade
County Special Assessment Revenue, Series 2024, Refunding
5.000%
5/1/43
1,210,000
1,252,849
Babcock Ranch, FL, Community Independent Special District, Special
Assessment Revenue:
Assessment Area Three
3.000%
5/1/30
120,000
117,611
Assessment Area Two
3.000%
5/1/30
40,000
39,204
Charlotte And Lee Counties, Series 2024
5.000%
5/1/44
30,000
30,928
(c)
Series 2022
4.125%
5/1/27
295,000
296,260
Series 2022
4.250%
5/1/32
55,000
55,510
Series 2022
5.000%
5/1/42
1,825,000
1,873,839
Bella Tara, FL, Community Development District, Special Assessment
Revenue, Assessment Area One, Series 2025
5.875%
5/1/45
805,000
852,346
Belmond Reserve, FL, Community Development District, Special
Assessment Revenue, Series 2020
3.250%
5/1/30
80,000
78,836
Benton Hills, FL, Community Development District, Special Assessment
Revenue, Assessment Area One Project, Series 2026
5.250%
5/1/46
605,000
609,169
(j)
Berry Bay, FL, Community Development District, Special Assessment
Revenue, Assessment Area One, Series 2021
3.125%
5/1/31
100,000
95,527
Black Creek, FL, Community Development District, Special Assessment
Revenue, Expansion Area Project
5.125%
6/15/32
100,000
105,356
Brevard County, FL, Health Facilities Authority Hospital Revenue,
Series A, Refunding
5.000%
4/1/47
3,690,000
3,777,331
Brightshore, FL, Community Development District, Capital Improvement
Revenue, Series 2026
5.300%
5/1/46
850,000
854,334
Brightwater, FL, Community Development District, Capital Improvement
Revenue, Assessment Area Two
5.350%
5/1/44
250,000
261,793
(c)
See Notes to Schedules of Investments.

12
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Broward County, FL, North Springs Improvement District, Special
Assessment Revenue:
Parkland Royale II Assessment Area, Series 2026
4.375%
5/1/36
 $980,000
 $977,264
(j)
Parkland Royale II Assessment Area, Series 2026
5.250%
5/1/46
1,350,000
1,359,992
(j)
Buena Lago, FL, Community Development District, Capital Improvement
Revenue, Series 2022
5.250%
5/1/42
665,000
705,447
Cape Coral, FL, Water & Sewer Revenue:
Series 2026, AG
4.250%
3/1/42
2,500,000
2,518,309
(j)
Series 2026, AG
4.350%
3/1/43
2,850,000
2,878,592
(j)
Capital Projects, FL, Finance Authority Revenue:
Student Housing, Loan Program, Series A
5.250%
6/1/44
1,000,000
899,243
(c)
Student Housing, Loan Program, Series A, Refunding
5.000%
10/1/30
1,000,000
1,054,552
Student Housing, Loan Program, Series A, Refunding
5.000%
10/1/32
1,555,000
1,629,270
Student Housing, Loan Program, Series A, Refunding
5.000%
10/1/34
1,090,000
1,134,116
Student Housing, Loan Program, Series A, Refunding
5.000%
10/1/35
1,300,000
1,347,579
Capital Trust Agency Inc., FL, Educational Facilities Revenue:
Academir Charter Schools Inc., Series A
3.000%
7/1/31
125,000
118,077
(c)
Liza Jackson Preparatory School Inc., Series A
4.000%
8/1/30
285,000
285,502
Liza Jackson Preparatory School Inc., Series A
5.000%
8/1/40
1,120,000
1,131,063
South Tech Schools Project, Series A
5.000%
6/15/40
2,130,000
2,177,249
(c)(i)
Capital Trust Agency Inc., FL, Senior Revenue:
Educational Growth Fund LLC, Charter School Portfolio Projects,
Series A-1
3.375%
7/1/31
80,000
77,399
(c)
Wonderful Foundations Charter School Portfolio Project, Series A-1
3.300%
1/1/31
250,000
238,452
(c)
Wonderful Foundations Charter School Portfolio Project, Series A-1
4.500%
1/1/35
470,000
462,887
(c)
Capital Trust Agency Inc., FL, Student Housing Revenue:
University Bridge LLC, Student Housing Project, Series A
4.000%
12/1/28
300,000
299,722
(c)
University Bridge LLC, Student Housing Project, Series A
5.250%
12/1/43
4,475,000
4,498,219
(c)
Capital Trust Authority, FL, Educational Facilities Revenue:
Academir Charter Schools Inc., Series A
5.000%
7/1/35
2,265,000
2,303,740
(c)
Academir Charter Schools Inc., Series A
5.625%
7/1/40
1,785,000
1,837,223
(c)
Academir Charter Schools Inc., Series A
6.250%
7/1/45
1,000,000
1,044,425
(c)
Madron Tech Student Housing I LLC, Florida Institute of Technology
Project, Series A
4.750%
7/1/40
1,150,000
1,158,063
(c)
Madron Tech Student Housing I LLC, Florida Institute of Technology
Project, Series A
5.000%
7/1/45
1,800,000
1,807,168
(c)
Capital Trust Authority, FL, MFH Revenue, Gulf Coast Portfolio,
Refunding
0.000%
3/1/29
855,000
729,606
(c)
Caymas, FL, Community Development District Revenue:
Collier County Capital Improvement Bond, Assessment Area One
4.450%
5/1/31
200,000
202,645
Collier County Capital Improvement Bond, Assessment Area Two
5.375%
5/1/46
700,000
715,123
Cedar Crossings, FL, Community Development District, Special
Assessment Revenue, Series 2025
5.300%
5/1/45
600,000
613,332
(c)
Celebration, FL, Community Development District, Special Assessment
Revenue, Assessment Area One
3.125%
5/1/41
50,000
43,081
Center Lake Ranch West, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two Project
5.300%
5/1/45
1,200,000
1,236,551
(c)
See Notes to Schedules of Investments.

13
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Central Parc, FL, Community Development District, Special Assessment
Revenue, City of North Port Florida, Series 2024
5.700%
5/1/44
 $1,000,000
 $1,034,392
Chaparral of Palm Bay, FL, Community Development District, Capital
Improvement Revenue, Assessment Area Two
4.500%
5/1/31
285,000
287,990
Charlotte County, FL, IDA Revenue:
Town & Country Utilities Project
5.125%
10/1/35
500,000
513,333
(d)
Town & Country Utilities Project, Series 2021
4.000%
10/1/41
1,500,000
1,421,241
(c)(d)
Coddington, FL, Community Development District, Special Assessment
Revenue:
Capital Improvement, Series 2022
5.000%
5/1/32
270,000
284,896
Capital Improvement, Series 2022
5.750%
5/1/42
70,000
74,395
Connerton East, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One
4.250%
6/15/30
135,000
137,468
Assessment Area Three
5.250%
6/15/45
670,000
692,185
Assessment Area Two
5.450%
6/15/45
500,000
525,660
Copes Landing, FL, Community Development District, Special
Assessment Revenue, Assessment Area Three, Series 2026
5.350%
5/1/46
685,000
697,359
Coral Bay, FL, Community Development District, Special Assessment
Revenue, Series 2022
5.500%
5/1/42
280,000
293,731
Coral Keys, FL, Community Development District, Special Assessment
Revenue, Series 2020
3.125%
5/1/30
135,000
133,103
Cordoba Ranch, FL, Community Development District, Special
Assessment Revenue, Series 2021, Refunding
3.000%
5/1/31
100,000
97,856
Cordova Palms, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One, Series 2022
4.800%
5/1/27
25,000
25,180
Series 2021
2.800%
5/1/31
100,000
94,748
Creekside, FL, Community Development District, Special Assessment
Revenue, Assessment Area Two
5.300%
5/1/46
300,000
305,688
Creekview, FL, Community Development District, Special Assessment
Revenue, Series 2024
5.375%
5/1/44
1,145,000
1,176,287
Cresswind DeLand, FL, Community Development District, Special
Assessment Revenue, Assessment Area One, Series 2024
5.375%
5/1/44
745,000
765,327
Cross Creek North, FL, Community Development District, Special
Assessment Revenue, Series 2022
4.250%
5/1/42
2,340,000
2,331,202
Crosswinds East, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project, Series 2024
5.500%
5/1/44
2,000,000
2,079,852
Curiosity Creek, FL, Community Development District, Special
Assessment Revenue, Assessment Area One, Series 2024
4.650%
5/1/31
195,000
197,037
(c)
Cypress Bluff, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One, Series 2025
5.300%
5/1/45
660,000
678,941
Series 2020
3.125%
5/1/30
55,000
54,285
(c)
Cypress Park Estates, FL, Community Development District, Special
Assessment Revenue:
Series 2022
4.375%
5/1/27
30,000
30,157
Series 2022
5.000%
5/1/42
160,000
162,720
See Notes to Schedules of Investments.

14
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Cypress Ridge, FL, Community Development District, Special
Assessment Revenue, Series 2023
4.875%
5/1/30
 $220,000
 $224,309
Darby, FL, Community Development District, Special Assessment
Revenue, Series A-2
5.875%
5/1/35
200,000
209,500
Del Webb Oak Creek, FL, Community Development District, Special
Assessment Revenue:
Series 2023
4.125%
5/1/30
85,000
86,187
Series 2023
5.000%
5/1/43
115,000
119,198
Series 2025
5.375%
5/1/45
375,000
387,480
(c)
Del Webb River Reserve, FL, Community Development District, Special
Assessment Revenue, Series 2025
5.625%
5/1/45
465,000
491,227
Downtown Doral South, FL, Community Development District, Special
Assessment Revenue, Series 2018
4.250%
12/15/28
165,000
166,311
(c)
DW Bayview, FL, Community Development District, Special
Assessment Revenue, Series 2021
3.000%
5/1/32
100,000
97,734
(c)
EA McKinnon Groves, FL, Community Development District, Special
Assessment Revenue, Series 2025
5.250%
5/1/45
855,000
877,068
East 547, FL, Community Development District, Special Assessment
Revenue, Series 2024
5.500%
5/1/30
85,000
87,761
East Bonita Beach Road, FL, Community Development District, Special
Assessment Revenue, Assessment Area One, Series 2021
3.000%
5/1/32
100,000
97,012
East Nassau County, FL, Stewardship District, Special Assessment
Revenue, Series 2025
6.000%
5/1/45
1,000,000
1,059,277
East Palm Drive, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2026
5.350%
6/15/46
500,000
508,221
Eden Hills, FL, Community Development District, Special Assessment
Revenue, Series 2020
4.000%
5/1/40
600,000
587,425
Edgewater East, FL, Community Development District, Special
Assessment Revenue:
Series 2021
3.100%
5/1/31
100,000
96,310
Series 2022
3.000%
5/1/27
60,000
59,614
Edgewater West, FL, Community Development District, Special
Assessment Revenue, Series 2026
6.000%
5/1/41
1,850,000
1,850,376
Enbrook, FL, Community Development District, Special Assessment
Revenue:
Series 2020
3.000%
5/1/30
80,000
77,100
(c)
Series 2020
4.000%
5/1/40
300,000
278,198
(c)
Entrada, FL, Community Development District, Special Assessment
Revenue, Series 2024
5.000%
5/1/44
300,000
306,820
Epperson North, FL, Community Development District, Special
Assessment Revenue:
Series 2021
3.000%
5/1/31
80,000
76,597
Series 2024
4.500%
5/1/31
110,000
111,362
Escambia, FL, County Health Facilities Authority Revenue:
Baptist Health Care Corp. Obligated Group, Series A, Refunding
5.000%
8/15/38
1,070,000
1,099,689
Baptist Hospital Inc. Project, Series A, Refunding
5.000%
8/15/34
2,240,000
2,331,219
Baptist Hospital Inc. Project, Series A, Refunding
5.000%
8/15/40
460,000
470,624
See Notes to Schedules of Investments.

15
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Esplanade at Wellen Park, FL, Community Development District,
Capital Improvement Revenue, Series 2026
5.350%
5/1/46
 $1,250,000
 $1,270,742
Everlands II, FL, Community Development District, Special Assessment
Revenue, Series 2024
5.200%
6/15/44
125,000
129,917
Everlands, FL, Community Development District, Special Assessment
Revenue:
Series 2024
5.200%
6/15/44
750,000
774,732
(c)
Series 2024
5.250%
6/15/44
290,000
301,022
Feed Mill, FL, Community Development District, Special Assessment
Revenue, Assessment Area One, Series 2026
5.375%
5/1/46
450,000
457,979
Firethorn, FL, Community Development District, Special Assessment
Revenue, Series 2025
5.300%
5/1/45
370,000
378,487
Florida State Development Finance Corp. Revenue:
Brightline Passenger Rail Project, Refunding, AG
5.000%
7/1/44
320,000
317,152
(d)
Brightline Passenger Rail Project, Series B
12.000%
9/11/26
350,000
227,500
(a)(b)(c)(d)
Florida State Development Finance Corp., Health Care Facilities
Revenue:
UF Health Jacksonville Project, Series A, Refunding
5.000%
2/1/37
1,240,000
1,294,313
UF Health Jacksonville Project, Series A, Refunding
5.000%
2/1/39
2,640,000
2,739,070
UF Health Jacksonville Project, Series A, Refunding
5.000%
2/1/40
70,000
72,002
UF Health Jacksonville Project, Series, Series A, Refunding
5.000%
2/1/38
310,000
322,593
Florida State Development Finance Corp., Senior Living Revenue:
Glenridge on Palmer Ranch Obligated Group, Series 2021, Refunding
5.000%
6/1/31
200,000
209,807
(c)
Mayflower Retirement Community Project, Series A, Refunding
4.000%
6/1/31
100,000
99,939
(c)
Florida State Housing Finance Corp., Homeowner Mortgage Revenue:
Series 3, GNMA/FNMA/FHLMC
5.000%
7/1/45
430,000
444,493
Series 5, GNMA/FNMA/FHLMC
4.900%
7/1/45
875,000
911,506
Florida State Local Government Finance Commission, Educational
Facilities Revenue:
Bridgeprep Academy Projects, Series A
5.500%
6/15/40
540,000
562,545
(c)
Bridgeprep Academy Projects, Series A
6.000%
6/15/45
1,000,000
1,047,591
(c)
Florida State Municipal Loan Council, Capital Improvement Revenue,
Shingle Creek Transit and Utility Community Development District
5.150%
5/1/44
220,000
229,347
(d)
Flow Way, FL, Community Development District, Special Assessment
Revenue, Series 2024, Refunding
5.000%
5/1/44
1,000,000
1,034,012
Forest Lake, FL, Community Development District, Special Assessment
Revenue, Series 2020
3.250%
5/1/30
120,000
117,875
(c)
Fox Branch Ranch, FL, Community Development District, Special
Assessment Revenue, Assessment Area One, Series 2025
5.200%
5/1/45
530,000
544,124
Gardens at Hammock Beach, FL, Community Development District,
Special Assessment Revenue, Assessment Area One, Series 2024
5.375%
5/1/44
610,000
633,464
Grace Groves, FL, Community Development District, Special
Assessment Revenue, Assessment Area One, Series 2026
5.400%
5/1/46
1,215,000
1,237,842
Grand Oaks, FL, Community Development District, Special Assessment
Revenue, Series 2020
4.000%
5/1/30
125,000
125,506
Grande Pines, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2024
4.650%
5/1/34
430,000
440,459
See Notes to Schedules of Investments.

16
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Groves at Lake Marion, FL, Community Development District, Special
Assessment Revenue, Series 2026
5.300%
12/15/46
 $455,000
 $462,671
(c)
Hacienda North, FL, Community Development District, Special
Assessment Revenue, Series 2023
5.500%
5/1/33
135,000
142,096
Hamilton Bluff, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project, Series 2024
5.500%
5/1/44
1,000,000
1,035,318
Hammock Oaks, FL, Community Development District, Special
Assessment Revenue, Series 2020
5.000%
5/1/31
120,000
121,938
Hammock Reserve, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One, Series 2020
3.250%
5/1/30
80,000
79,005
Assessment Area One, Series 2020
4.000%
5/1/40
540,000
527,021
Harmony on Lake Eloise, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2025
5.450%
11/1/45
825,000
854,550
Harmony West, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two Project, Series 2023
5.000%
5/1/43
30,000
30,934
Harvest Hills South, FL, Community Development District, Capital
Improvement Revenue, Assessment Area One
5.450%
5/1/45
1,375,000
1,410,152
Harvest Ridge, FL, Community Development District, Special
Assessment Revenue, Series 2024
5.125%
5/1/44
500,000
520,447
Hawkstone, FL, Community Development District, Special Assessment
Revenue, Series 2023
4.375%
5/1/30
130,000
131,927
Herons Glen, FL, Recreation District, Special Assessment Revenue,
Series 2020, Refunding, BAM
3.000%
5/1/32
100,000
99,170
Hickory Tree, FL, Community Development District, Special Assessment
Revenue:
Assessment Area One, Series 2024
4.500%
5/1/31
400,000
404,083
Assessment Area One, Series 2024
5.150%
5/1/44
930,000
946,996
Highland Park, FL, Community Development District, Special
Assessment Revenue, Series 2026
5.625%
5/1/46
1,275,000
1,304,177
Highland Trails, FL, Community Development District, Special
Assessment Revenue, Series 2024
4.700%
5/1/31
60,000
61,120
Hillcrest Preserve, FL, Community Development District, Special
Assessment Revenue, Series 2024
5.000%
5/1/44
1,000,000
1,013,517
(c)
Hills of Minneola, FL, Community Development District, Special
Assessment Revenue, North Parcel Assessment Area Two
5.300%
5/1/46
680,000
696,601
Horseshoe Creek, FL, Community Development District, Special
Assessment Revenue, Assessment Area, Series 2026
5.375%
5/1/46
1,575,000
1,589,609
Hunt Club Grove, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One, Series 2024
4.850%
6/15/31
190,000
193,762
Assessment Area One, Series 2024
5.375%
6/15/44
730,000
756,389
Assessment Area Two, Series 2026
5.300%
12/15/46
680,000
695,198
Hyde Park No 1, FL, Community Development District, Special
Assessment Revenue, Series 2026
5.650%
5/1/46
365,000
373,763
Ibis Landing, FL, Community Development District, Special Assessment
Revenue, Series 2025
5.700%
6/15/45
620,000
659,588
See Notes to Schedules of Investments.

17
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Indigo, FL, Community Development District, Special Assessment
Revenue, Series 2021
2.700%
5/1/31
 $100,000
 $95,458
Jacksonville, FL, Health Care Facilities Revenue, Brooks Rehabilitation,
Series 2020, Refunding
4.000%
11/1/40
1,565,000
1,496,389
Juniper Cove, FL, Community Development District, Capital
Improvement Revenue
5.450%
5/1/45
500,000
518,585
Kelly Park, FL, Community Development District, Special Assessment
Revenue:
Assessment Area One Project, Series 2023
5.125%
11/1/30
155,000
158,449
Assessment Area One Project, Series 2025
5.300%
5/1/45
650,000
668,654
Keys Edge, FL, Community Development District, Special Assessment
Revenue, Assessment Area One Project
5.100%
5/1/44
1,450,000
1,489,389
Kindred, FL, Community Development District, Special Assessment
Revenue:
Series 2020
3.000%
5/1/30
100,000
98,397
Series 2023
5.650%
5/1/43
400,000
425,684
Kingman Gate, FL, Community Development District, Special
Assessment Revenue, Series 2020
3.125%
6/15/30
90,000
89,346
Kingston One, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project, Series 2025
5.750%
5/1/45
85,000
89,605
Kissimmee Park, FL, Community Development District, Capital
Improvement Revenue, Assessment Area One Project
5.875%
5/1/45
430,000
455,290
Lake Mattie Preserve, FL, Community Development District, Special
Assessment Revenue:
Phase One Project
5.500%
5/1/44
1,000,000
1,031,388
Phase Two Project, Series 2025
5.450%
5/1/45
975,000
994,440
Lakes at Bella Lago, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two Project
5.750%
5/1/43
165,000
173,683
Lakes by the Bay South, FL, Community Development District, Special
Assessment Revenue, Refunding
5.000%
5/1/34
440,000
474,174
Lakes of Sarasota, FL, Community Development District, Capital
Improvement Revenue:
Assessment Area One Project
3.400%
5/1/31
135,000
132,075
Series 2024
5.300%
5/1/44
525,000
536,793
Series 2025
5.500%
5/1/45
630,000
649,732
Lakeside at Satilla, FL, Community Development District, Capital
Improvement Revenue
5.375%
5/1/45
600,000
620,422
(c)
Lakewood Ranch Stewardship District, FL, Special Assessment
Revenue:
Azario Project
3.200%
5/1/30
175,000
172,083
Lakewood Ranch Southeast Project
5.500%
5/1/40
825,000
902,727
Lorraine Lakes Project
3.125%
5/1/30
25,000
24,517
(c)
Northeast Sector Project - Phase 2, Refunding
3.200%
5/1/30
100,000
98,509
(c)
Palm Grove Project
5.250%
5/1/44
580,000
606,876
Star Farms At Lakewood Ranch Project – Phase 1/2
2.700%
5/1/31
100,000
95,972
Taylor Ranch Project
6.125%
5/1/43
500,000
549,924
Langley South, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project
5.125%
5/1/44
175,000
179,812
See Notes to Schedules of Investments.

18
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Lawson Dunes, FL, Community Development District, Special
Assessment Revenue
4.375%
5/1/27
 $30,000
 $30,086
Lecanto Preserve, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project, Series 2026
5.350%
5/1/46
830,000
840,322
Lee County, FL, Airport Revenue, Series A
5.250%
10/1/43
1,500,000
1,654,320
(d)
Lee County, FL, IDA, Health Care Facilities Revenue:
Shell Point Obligated Group
4.375%
11/15/29
1,000,000
1,003,028
Shell Point Obligated Group Project, Series C
5.000%
11/15/44
5,180,000
5,443,322
Longleaf, FL, Community Development District, Capital Improvement
Revenue:
Neighborhood 4, Assessment Area One Project, Series 2024
4.500%
5/1/31
100,000
100,743
(c)
Neighborhood 4, Assessment Area Two Project, Series 2024
4.375%
5/1/31
200,000
200,265
Neighborhood 4, Assessment Area Two Project, Series 2024
5.200%
5/1/44
1,415,000
1,433,085
Los Cayos, FL, Community Development District, Special Assessment
Revenue
4.400%
6/15/31
225,000
229,170
LT Ranch South, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2026
5.600%
5/1/46
460,000
471,071
LT Ranch, FL, Community Development District, Capital Improvement
Revenue:
Phase IIA Assessment Area, Series 2022-2
5.000%
5/1/27
115,000
116,319
Phase IIA Assessment Area, Series 2022-2
5.500%
5/1/42
190,000
200,413
LTC Ranch West Residential, FL, Community Development District,
Special Assessment Revenue, Assessment Area Four Project,
Refunding
5.375%
5/1/44
970,000
989,210
Madeira, FL, Community Development District, Capital Improvement
Revenue, Assessment Area Two Project
5.500%
5/1/45
500,000
514,225
Magnolia Island, FL, Community Development District, Capital
Improvement Revenue, Assessment Area One Project
5.550%
5/1/45
250,000
257,455
Magnolia Park, FL, Community Development District, Special
Assessment Revenue, Refunding
4.000%
5/1/31
39,000
39,951
(c)
Marion Ranch, FL, Community Development District, Special
Assessment Revenue:
Series 2024
5.100%
5/1/31
150,000
152,836
Series 2024
5.700%
5/1/44
875,000
911,960
Meadow View at Twin Creeks, FL, Community Development District,
Special Assessment Revenue
3.000%
5/1/31
65,000
61,822
Metropica, FL, Community Development District, Special Assessment
Revenue, Assessment Area One Project, Series 2026
5.350%
5/1/46
250,000
253,955
Miami, FL, HFA Revenue, Miami Jewish Health Systems Inc. Project,
Refunding
5.000%
7/1/28
150,000
149,915
Miami-Dade County, FL, IDA, Educational Facilities Revenue:
Mater Academy Project, Series 2026
5.000%
6/15/41
575,000
602,161
Mater Academy Project, Series 2026
5.000%
6/15/46
770,000
782,587
Miami-Dade County, FL, Seaport Revenue, Series A, Refunding, AG
4.000%
10/1/40
1,420,000
1,399,414
(d)
Miami-Dade County, FL, Transit System Sales Surtax Revenue,
Series 2022
5.000%
7/1/52
6,665,000
6,892,418
Middleton A, FL, Community Development District, Special
Assessment Revenue
5.450%
5/1/32
200,000
212,269
See Notes to Schedules of Investments.

19
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Mirada II, FL, Community Development District, Special Assessment
Revenue
3.125%
5/1/31
 $100,000
 $93,978
Newport Isles, FL, Community Development District, Special
Assessment Revenue
5.000%
5/1/44
440,000
450,081
Newton Road, FL, Community Development District, Special
Assessment Revenue
5.500%
6/15/45
835,000
871,264
(c)
Normandy, FL, Community Development District, Capital Improvement
Revenue:
Assessment Area One Project, Series 2024
4.625%
5/1/31
375,000
378,148
(c)
Assessment Area One Project, Series 2024
5.300%
5/1/44
2,170,000
2,203,503
(c)
North Powerline Road, FL, Community Development District, Special
Assessment Revenue
4.750%
5/1/27
45,000
45,307
(c)
North River Ranch Improvement Stewardship District, FL, Special
Assessment Revenue, Manatee County
5.700%
5/1/29
145,000
148,170
Northlake, FL, Stewardship District, Special Assessment Revenue, Pod
A – Assessment Area Two
5.300%
5/1/46
750,000
755,165
Okaloosa County, FL, IDR, Air Force Enlisted Village Inc. Project
5.500%
5/15/45
400,000
419,138
(c)
Old Hickory, FL, Community Development District, Special Assessment
Revenue
3.000%
6/15/30
80,000
77,863
Orlando, FL, Contract Tourist Development Tax Revenue, Series 2025,
AG
5.500%
11/1/50
2,560,000
2,742,603
Pacific Ace, FL, Community Development District, Special Assessment
Revenue, Assessment Area Two Project
5.200%
5/1/44
500,000
516,430
Palermo, FL, Community Development District, Special Assessment
Revenue:
Assessment Area Two Project, Series 2025
5.350%
6/15/45
745,000
777,849
Series 2023
4.125%
6/15/30
50,000
50,707
Palm Beach County, FL, Health Facilities Authority Hospital Revenue:
Jupiter Medical Center Project, Series A
5.000%
11/1/32
300,000
324,693
Jupiter Medical Center Project, Series A
5.000%
11/1/36
965,000
1,024,049
Jupiter Medical Center Project, Series A
5.000%
11/1/37
655,000
691,755
Jupiter Medical Center Project, Series A
5.000%
11/1/38
85,000
89,418
Jupiter Medical Center Project, Series A
5.000%
11/1/39
215,000
225,332
Jupiter Medical Center Project, Series A
5.000%
11/1/40
700,000
730,860
Jupiter Medical Center Project, Series A
5.000%
11/1/41
90,000
93,712
Jupiter Medical Center Project, Series A
5.000%
11/1/42
145,000
150,445
Palm Beach County, FL, Health Facilities Authority Revenue:
Lifespace Communities Inc., Series B
5.000%
5/15/37
2,015,000
2,027,881
Lifespace Communities Inc., Series B
5.000%
5/15/41
725,000
725,153
Lifespace Communities Inc., Series B
5.125%
5/15/46
500,000
509,547
Lifespace Communities Inc., Series C, Refunding
5.000%
5/15/27
307,000
307,219
Lifespace Communities Inc., Series C, Refunding
5.000%
5/15/30
30,000
30,019
Lifespace Communities Inc., Series C, Refunding
4.000%
5/15/35
1,080,000
1,079,964
Palm Coast Park, FL, Community Development District, Special
Assessment Revenue:
Series 2022
4.150%
5/1/27
100,000
100,341
Series 2024
5.000%
5/1/44
270,000
274,718
See Notes to Schedules of Investments.

20
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Palm Gate, FL, Community Development District, Special Assessment
Revenue
5.300%
6/15/45
 $945,000
 $979,760
Palm Glades, FL, Community Development District, Senior Special
Assessment Revenue, Series A-1
4.000%
11/1/38
810,000
796,023
Parker Pointe, FL, Community Development District, Special
Assessment Revenue, Series 2024
5.500%
5/1/44
700,000
721,057
Parkside Trails, FL, Community Development District, Special
Assessment Revenue, Series 2025
5.300%
5/1/45
350,000
359,012
Parkview at Long Lake Ranch, FL, Community Development District,
Special Assessment Revenue
3.125%
5/1/30
100,000
96,642
Parrish Lakes II, FL, Community Development District, Capital
Improvement Revenue
5.125%
5/1/44
1,500,000
1,520,768
Parrish Lakes, FL, Community Development District, Capital
Improvement Revenue:
Assessment Area Three Project
5.000%
5/1/31
185,000
187,841
Series 2023
4.000%
5/1/30
95,000
95,598
Series 2024
5.500%
5/1/44
835,000
864,290
Parrish Plantation, FL, Community Development District, Special
Assessment Revenue:
Assessment Area Four, Series 2024
4.750%
5/1/31
70,000
71,399
Assessment Area One, Series 2021
3.125%
5/1/31
100,000
96,719
Assessment Area Three Project
5.800%
5/1/44
200,000
210,787
Assessment Area Two
5.375%
5/1/42
55,000
57,348
Pasadena Ridge, FL, Community Development District, Capital
Improvement Revenue
5.050%
5/1/44
250,000
254,992
Pasco County, FL, Solid Waste Disposal & Resource Recovery System
Revenue, Series A
5.000%
10/1/45
1,485,000
1,574,961
(d)
PBR, FL, Community Development District Revenue, Series A-1,
Refunding
5.000%
3/1/48
700,000
709,009
Peace Creek Village, FL, Community Development District, Special
Assessment Revenue:
Series 2024
5.500%
5/1/44
825,000
859,029
Series 2025
4.625%
5/1/31
275,000
279,483
Peace Crossing, FL, Community Development District, Special
Assessment Revenue
5.000%
5/1/31
275,000
277,265
Pine Ridge Plantation, FL, Community Development District, Special
Assessment Revenue, Refunding
3.300%
5/1/30
150,000
149,091
Pioneer Ranch, FL, Community Development District, Special
Assessment Revenue
5.000%
5/1/44
1,265,000
1,260,560
Poitras East, FL, Community Development District, Special Assessment
Revenue, Series 2023
4.000%
5/1/28
100,000
100,688
Preserve at Legends Pointe, FL, Community Development District,
Capital Improvement Revenue
5.625%
5/1/45
620,000
649,755
(c)
Preserve at South Branch, FL, Community Development District,
Special Assessment Revenue
3.000%
5/1/31
100,000
98,380
Reflection Bay, FL, Community Development District, Special
Assessment Revenue
5.625%
5/1/45
250,000
261,428
See Notes to Schedules of Investments.

21
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Regal Village, FL, Community Development District, Capital
Improvement Revenue
5.200%
5/1/44
 $355,000
 $366,040
Reserve at Van Oaks, FL, Community Development District, Special
Assessment Revenue
5.125%
5/1/43
180,000
187,672
Reunion East, FL, Community Development District, Special
Assessment Revenue
2.850%
5/1/31
100,000
96,693
Reunion West, FL, Community Development District, Special
Assessment Revenue, Assessment Area Four Project
4.750%
11/1/38
740,000
740,680
(c)
River Hall, FL, Community Development District, Capital Improvement
Revenue:
Assessment Area Five Project
5.350%
5/1/44
790,000
812,424
(c)
Assessment Area Four Project
6.250%
5/1/43
170,000
184,593
River Landing, FL, Community Development District, Capital
Improvement Revenue
5.200%
5/1/45
1,275,000
1,315,457
Rivers Edge II, FL, Community Development District, Special
Assessment Revenue
3.000%
5/1/31
100,000
97,489
Riverwalk, FL, Community Development District, Special Assessment
Revenue, Series A
5.300%
5/1/45
255,000
262,767
(c)
Rolling Oaks, FL, Community Development District, Special
Assessment Revenue
6.250%
5/1/42
220,000
235,702
(c)
Rye Ranch, FL, Community Development District, Special Assessment
Revenue, Assessment Area One Project
5.000%
11/1/30
55,000
56,109
(c)
Saddle Creek Preserve of Polk County, FL, Community Development
District, Special Assessment Revenue
3.000%
6/15/30
65,000
63,732
Saltleaf, FL, Community Development District, Special Assessment
Revenue:
Series 2024
5.625%
5/1/44
2,000,000
2,067,028
Series 2026
5.700%
5/1/46
425,000
438,126
Saltmeadows, FL, Community Development District, Special
Assessment Revenue:
Series 2022
5.250%
5/1/42
370,000
384,326
Series 2025
5.750%
5/1/45
230,000
242,988
(c)
Sandmine Road, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One Project, Series 2020
3.125%
5/1/30
85,000
84,438
(c)
Assessment Area Two Project, Series 2021
2.300%
11/1/26
15,000
14,936
Sarasota National, FL, Community Development District, Special
Assessment Revenue, Series 2020, Refunding
4.000%
5/1/39
125,000
124,210
Sawgrass Village, FL, Community Development District, Special
Assessment Revenue:
Assessment Area Three, Series 2024
5.550%
5/1/44
700,000
725,133
(c)
Assessment Area Two Project
6.125%
11/1/43
155,000
166,380
Sawyers Landing, FL, Community Development District, Special
Assessment Revenue
3.750%
5/1/31
150,000
149,763
Scenic Terrace North, FL, Community Development District, Special
Assessment Revenue
5.125%
5/1/30
235,000
240,010
Seaton Creek Reserve, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project
4.625%
6/15/30
15,000
15,289
(c)
See Notes to Schedules of Investments.

22
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Sebastian Isles, FL, Community Development District, Capital
Improvement Revenue
5.000%
5/1/44
 $175,000
 $179,309
Sherwood Manor, FL, Community Development District, Special
Assessment Revenue
4.625%
5/1/30
80,000
81,562
Shingle Creek at Bronson, FL, Community Development District,
Special Assessment Revenue
3.100%
6/15/31
100,000
98,162
Silver Oaks, FL, Community Development District, Special Assessment
Revenue
4.700%
5/1/31
175,000
177,887
Six Mile Creek, FL, Community Development District, Capital
Improvement Revenue:
Assessment Area Two Project, Series 2021, Refunding
3.100%
5/1/31
75,000
72,521
Series 2024
5.100%
5/1/44
750,000
765,283
Six Mile Creek, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2020, Refunding
4.125%
11/1/40
1,370,000
1,327,029
Somerset Bay, FL, Community Development District, Capital
Improvement Revenue:
Assessment Area One Project
4.850%
5/1/31
200,000
204,503
(c)
Assessment Area One Project
5.625%
5/1/44
740,000
770,618
(c)
Somerset Bay, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2026
5.450%
5/1/46
520,000
528,188
Somerset, FL, Community Development District, Capital Improvement
Revenue:
Series 2022, Refunding
4.000%
5/1/32
950,000
948,424
Series 2022, Refunding
4.200%
5/1/37
1,200,000
1,176,843
Sorrento Pines, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One Project
4.375%
5/1/30
35,000
35,574
Assessment Area One Project
5.250%
5/1/43
180,000
188,446
South Fork East, FL, Community Development District, Capital
Improvement Revenue, Refunding
4.000%
5/1/31
1,390,000
1,380,279
Southern Groves No 5, FL, Community Development District, Special
Assessment Revenue:
Port St. Lucie, Series 2022
5.800%
5/1/42
500,000
537,698
Port St. Lucie, Series 2024
5.450%
5/1/44
345,000
365,492
Southern Groves, FL, Community Development District No 5, Special
Assessment Revenue:
Community Infrastructure, Series 2022
6.000%
5/1/49
240,000
253,194
Community Infrastructure, Series 2026
5.350%
5/1/46
750,000
759,555
Southpointe of Manatee County, FL, Community Development District,
Special Assessment Revenue, Assessment Area One
5.375%
5/1/46
670,000
687,082
Southshore Bay, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2024
5.375%
5/1/44
390,000
395,870
Springs at Lake Alfred, FL, Community Development District, Special
Assessment Revenue
5.250%
5/1/44
400,000
410,836
St Augustine Lakes, FL, Community Development District, Special
Assessment Revenue:
Series 2022
4.700%
6/15/29
335,000
340,348
Series 2022
5.375%
6/15/42
150,000
157,105
See Notes to Schedules of Investments.

23
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
St. Johns County, FL, IDA Revenue:
Vicars Landing Project, Series A, Refunding
4.000%
12/15/36
 $500,000
 $482,732
Vicars Landing Project, Series A, Refunding
4.000%
12/15/41
495,000
452,935
Starling, FL, Community Development District, Special Assessment
Revenue, Series 2025
5.375%
5/1/45
1,850,000
1,888,988
(c)
Stillwater, FL, Community Development District, Special Assessment
Revenue
3.000%
6/15/31
95,000
89,755
(c)
Stonegate Preserve, FL, Community Development District, Special
Assessment Revenue
5.700%
6/15/45
700,000
739,679
Stuart Crossing, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One Project
4.375%
5/1/31
145,000
146,982
(c)
Assessment Area One Project, Series 2024
5.250%
5/1/44
145,000
149,596
(c)
Sugarloaf, FL, Community Development District, Capital Improvement
Revenue, Assessment Area One
5.375%
12/15/46
600,000
614,068
Summer Woods, FL, Community Development District, Special
Assessment Revenue
3.150%
5/1/31
75,000
72,300
Summit View, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two Project
4.750%
5/1/31
300,000
305,023
Sunbridge Stewardship District, FL, Special Assessment Revenue:
Del Webb Phase 1/2 Project
4.500%
5/1/27
40,000
40,296
Del Webb Phase 2D/3 Project
5.300%
5/1/46
625,000
634,913
Weslyn Park Project
5.200%
5/1/42
100,000
103,175
Tamarindo, FL, Community Development District, Special Assessment
Revenue
3.000%
5/1/31
100,000
95,492
Terra Lago, FL, Community Development District, Special Assessment
Revenue, Assessment Area Two
5.400%
5/1/45
1,190,000
1,215,476
Terreno, FL, Community Development District, Special Assessment
Revenue:
Series 2023
5.000%
5/1/43
325,000
337,059
Series 2025
5.400%
5/1/45
735,000
763,449
Timber Creek Southwest, FL, Community Development District, Special
Assessment Revenue
3.000%
6/15/30
120,000
116,408
Tohoqua, FL, Community Development District, Special Assessment
Revenue, Phase 2 Project
2.875%
5/1/31
100,000
97,174
Tradition No 9, FL, Community Development District, Special
Assessment Revenue
2.700%
5/1/31
100,000
94,144
Tranquility, FL, Community Development District, Special Assessment
Revenue, Assessment Area, Series 2025
5.300%
5/1/45
900,000
914,852
Trevesta, FL, Community Development District, Special Assessment
Revenue
3.250%
5/1/30
80,000
77,582
(c)
Tuckers Pointe, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2026, Refunding
5.450%
5/1/46
775,000
796,394
Twisted Oaks Pointe, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One Project
5.375%
5/1/43
815,000
854,783
Assessment Area Two Project
5.875%
5/1/43
170,000
182,213
See Notes to Schedules of Investments.

24
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Two Lakes, FL, Community Development District, Special Assessment
Revenue
4.000%
12/15/28
 $300,000
 $301,261
(c)
Two Ridges, FL, Community Development District, Special Assessment
Revenue
5.750%
5/1/45
500,000
530,694
Two Rivers West, FL, Community Development District, Special
Assessment Revenue:
Series 2022, Refunding
5.250%
5/1/28
190,000
193,400
Series 2022, Refunding
5.375%
5/1/33
150,000
158,074
Series 2022, Refunding
6.000%
5/1/43
150,000
160,504
Series 2024
5.625%
5/1/44
780,000
815,360
Varrea South, FL, Community Development District, Capital
Improvement Revenue:
Series 2025
4.750%
5/1/35
235,000
242,609
(c)
Series 2025
5.625%
5/1/45
585,000
617,097
(c)
V-Dana, FL, Community Development District, Special Assessment
Revenue:
Assessment Area One Project, Series 2021
3.125%
5/1/31
100,000
97,964
Assessment Area Two Project, Series 2025
5.375%
5/1/45
485,000
500,098
Venetian Parc, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two Project, Refunding
5.000%
5/1/44
990,000
1,023,672
Venice, FL, Retirement Community Revenue, Tax-Exempt, Isle Project,
Series B
4.500%
1/1/30
550,000
550,154
(c)
Veranda, FL, Community Development District, Special Assessment
Revenue:
Veranda Estates Project, Series 2021, Refunding
3.100%
5/1/31
70,000
68,336
(c)
Veranda Estates Project, Series 2024, Refunding
4.500%
5/1/31
135,000
137,307
Verano No 2, FL, Community Development District, Special
Assessment Revenue:
Series 2024
5.350%
5/1/44
625,000
644,464
Series 2024
5.500%
5/1/44
815,000
849,695
Verano No 3, FL, Community Development District, Special
Assessment Revenue, Assessment Area Two, Series 2022
5.875%
11/1/29
35,000
36,041
Verano No 4, FL, Community Development District, Special
Assessment Revenue, Phase 2 Project
5.750%
5/1/45
250,000
264,499
Viera Stewardship District, FL, Special Assessment Revenue,
Series 2021
2.800%
5/1/31
130,000
122,461
Village No 13, FL, Community Development District, Special
Assessment Revenue
3.000%
5/1/29
60,000
59,294
Village No 5, FL, Community Development District, Special Assessment
Revenue:
Phase 1 Project, Refunding
4.000%
5/1/33
1,060,000
1,053,083
Phase 2 Project, Refunding
4.000%
5/1/34
1,470,000
1,454,029
Villamar, FL, Community Development District, Special Assessment
Revenue:
Assessment Area Five Project, Series 2025
5.625%
5/1/43
245,000
258,169
Assessment Area Six Project, Series 2024
4.625%
5/1/31
160,000
163,014
Vivid Shores, FL, Community Development District, Special
Assessment Revenue, Series 2025
5.300%
5/1/45
500,000
515,229
See Notes to Schedules of Investments.

25
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Waterford, FL, Community Development District, Capital Improvement
Revenue, Assessment Area Two Project
5.200%
5/1/44
 $1,160,000
 $1,187,525
Waterset South, FL, Community Development District, Special
Assessment Revenue:
Hillsborough County, Series 2022
5.375%
5/1/32
100,000
105,757
Hillsborough County, Series 2022
5.900%
5/1/42
250,000
266,807
Hillsborough County, Series 2025
5.500%
5/1/45
300,000
314,185
Hillsborough County, Series 2026
5.300%
5/1/46
365,000
373,341
Wellness Ridge, FL, Community Development District, Special
Assessment Revenue:
Assessment Area Three, Series 2026
5.300%
6/15/46
750,000
772,405
Assessment Area Two Project
5.000%
6/15/44
355,000
364,044
(c)
West Lake, FL, Community Development District, Special Assessment
Revenue, Series 2025
5.300%
6/15/45
700,000
720,985
West Port East, FL, Community Development District, Special
Assessment Revenue, Assessment Area One, Series 2025
5.800%
5/1/45
85,000
89,854
(c)
West Villages Improvement District, FL, Capital Improvement Revenue:
Unit of Development No 10, Series 2025
5.250%
5/1/45
500,000
512,513
Unit of Development No 11, Series 2025
4.750%
5/1/32
1,000,000
997,856
Unit of Development No 12, Assessment Area One, Series 2025
5.750%
5/1/45
410,000
437,594
West Villages Improvement District, FL, Special Assessment Revenue:
Unit of Development No 7, Series 2021
3.125%
5/1/31
100,000
94,602
Unit of Development No 8, Series 2022
4.625%
5/1/29
260,000
264,103
Unit of Development No 8, Series 2022
5.375%
5/1/42
440,000
463,131
Unit of Development No 9, Series 2023
4.625%
5/1/30
35,000
35,551
Westside Haines City, FL, Community Development District, Special
Assessment Revenue, Assessment Area Three
5.250%
5/1/46
900,000
908,746
Wildblue, FL, Community Development District, Special Assessment
Revenue, Series 2026
5.350%
5/1/46
850,000
863,972
Willow Creek II, FL, Community Development District, Special
Assessment Revenue, Assessment Area, Series 2026
5.250%
5/1/46
590,000
593,912
(j)
Willowbrook, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project
4.950%
5/1/31
185,000
187,640
Winding Oaks, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project
5.400%
5/1/44
490,000
504,554
Windsor Cay, FL, Community Development District, Special
Assessment Revenue:
Assessment Area One Project, Series 2024
4.600%
5/1/31
185,000
188,874
Assessment Area Two Project, Series 2025
5.250%
5/1/45
690,000
707,809
(c)
Windward, FL, Community Development District, Special Assessment
Revenue
3.650%
5/1/30
100,000
98,941
Wiregrass II, FL, Community Development District, Capital
Improvement Revenue, Assessment Area Two Project
4.500%
5/1/27
100,000
100,560
Woodcreek, FL, Community Development District, Capital Improvement
Revenue, Assessment Area Two Project
5.350%
5/1/45
575,000
586,105
Woodland Preserve, FL, Community Development District, Special
Assessment Revenue, Assessment Area One Project
5.300%
5/1/45
630,000
648,080
(c)
See Notes to Schedules of Investments.

26
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Florida — continued
Woodland Ranch Estates, FL, Community Development District, Special
Assessment Revenue
5.550%
5/1/45
 $1,000,000
 $1,033,407
Yarborough Lane, FL, Community Development District, Special
Assessment Revenue:
Series 2024
4.750%
5/1/31
215,000
217,187
Series 2025
5.350%
5/1/44
390,000
399,998
Zephyrhills, FL, Abbott Square Community Development District,
Special Assessment Revenue:
Series 2022
5.000%
6/15/32
200,000
206,954
Series 2025
5.375%
5/1/45
755,000
781,305
Total Florida
228,640,897
Georgia — 2.4%
Atlanta, GA, Development Authority Student Housing Revenue:
PRG-CAU Properties LLC Project at Clark University, Series A
5.000%
7/1/35
250,000
260,251
(c)
PRG-CAU Properties LLC Project at Clark University, Series A
5.250%
7/1/40
360,000
373,759
(c)
PRG-CAU Properties LLC Project at Clark University, Series A
6.000%
7/1/45
550,000
585,999
(c)
DeKalb County, GA, Housing Authority Revenue:
Summit Pointe, Series 2025
4.000%
12/1/35
6,630,000
6,650,267
The Avenues of North Decatur, Series 2024, Refunding
4.125%
12/1/34
2,000,000
2,001,836
Willow Branch Apartments Project, Series A
5.000%
7/1/44
4,500,000
4,618,889
Windmont Pointe Project, Series 2026
4.000%
7/1/36
1,775,000
1,766,683
George L Smith II, GA, Congress Center Authority Revenue, Signia
Hotel Management LLC
3.625%
1/1/31
350,000
340,094
(c)
Georgia State Housing & Finance Authority, Series C
5.050%
12/1/45
2,000,000
2,073,910
Main Street Energy Inc., GA, Energy Project Revenue:
Series C, Refunding
5.000%
9/1/36
3,500,000
3,680,307
(j)
Series D
5.000%
12/1/33
6,725,000
7,114,825
Main Street Natural Gas Inc., GA, Gas Project Revenue:
Series A
5.000%
6/1/30
3,175,000
3,341,799
(a)(b)
Series B
5.000%
3/1/32
1,475,000
1,586,813
(a)(b)
Series B
5.000%
12/1/35
16,875,000
17,954,355
(a)(b)
Series E
5.000%
6/1/31
1,415,000
1,510,979
(a)(b)
Series E, LIQ - Royal Bank of Canada
4.125%
6/1/31
1,280,000
1,318,268
(a)(b)
Rockdale County, GA, Development Authority, MFH Revenue,
Affordable Housing Preservation Corp., Refunding
5.375%
12/1/36
200,000
208,973
Total Georgia
55,388,007
Idaho — 0.0%††
 
Idaho State Housing & Finance Association, Nonprofit Facilities
Revenue, White Pine Charter School Project, Series 2023
5.250%
5/1/38
300,000
315,447
Illinois — 11.7%
Chicago, IL, Board of Education, Dedicated Capital Improvement Tax
Revenue:
Series 2023
5.250%
4/1/34
950,000
1,039,888
Series 2023
5.250%
4/1/37
1,120,000
1,207,750
Series 2023
5.000%
4/1/38
2,370,000
2,502,259
Series 2023
5.250%
4/1/39
1,000,000
1,069,179
Series 2023
5.250%
4/1/40
1,305,000
1,389,900
See Notes to Schedules of Investments.

27
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Illinois — continued
Series 2023
5.000%
4/1/41
 $500,000
 $517,972
Series 2023
5.000%
4/1/45
7,945,000
7,996,369
Series 2023
5.750%
4/1/48
9,080,000
9,556,210
Chicago, IL, Board of Education, GO:
Dedicated, Series A
5.500%
12/1/31
2,000,000
2,130,089
Dedicated, Series A
5.250%
12/1/35
10,000,000
10,381,791
Dedicated, Series A
5.000%
12/1/38
2,100,000
2,108,988
Dedicated, Series A
5.875%
12/1/47
1,925,000
1,975,054
Dedicated, Series A
6.000%
12/1/49
2,090,000
2,164,658
Dedicated, Series A
5.750%
12/1/50
3,095,000
3,153,705
Dedicated, Series B, Refunding
5.000%
12/1/40
6,420,000
6,400,495
Dedicated, Series B, Refunding
6.000%
12/1/41
615,000
668,367
Dedicated, Series B, Refunding
6.000%
12/1/42
250,000
270,532
Dedicated, Series B, Refunding
6.000%
12/1/43
2,200,000
2,372,545
Dedicated, Series B, Refunding
6.000%
12/1/44
2,700,000
2,891,126
Dedicated, Series C, Refunding
5.500%
12/1/45
10,315,000
10,532,345
Series A
5.000%
12/1/41
500,000
496,215
Series A, Refunding, NATL
5.500%
12/1/26
1,255,000
1,262,469
Series B, Refunding
5.500%
12/1/34
1,185,000
1,279,178
Series C, Refunding
6.000%
12/1/43
325,000
350,743
Chicago, IL, GO:
Chicago Works, Series A
5.500%
1/1/39
3,100,000
3,242,395
Chicago Works, Series A
5.500%
1/1/40
9,365,000
9,763,506
Colleges Capital Improvement 1999, NATL
0.000%
1/1/33
200,000
156,212
Housing & Economic Development, Series F
6.000%
1/1/43
1,565,000
1,715,970
Series A, Refunding
5.000%
1/1/33
630,000
650,914
Series A, Refunding
5.000%
1/1/34
2,230,000
2,298,473
Series B, Refunding
4.000%
1/1/37
4,000,000
3,801,803
Series C
6.000%
1/1/43
2,250,000
2,467,050
Chicago, IL, Midway International Airport Revenue:
Senior Lien, Series A, Refunding, BAM
5.500%
1/1/38
750,000
831,020
(d)
Senior Lien, Series C, Refunding
5.000%
1/1/40
40,000
42,490
(d)
Senior Lien, Series C, Refunding
5.000%
1/1/41
1,750,000
1,846,278
(d)
Chicago, IL, O’Hare International Airport Revenue:
Senior Lien, Series A
4.500%
1/1/48
10,250,000
10,141,831
(d)
Trips Obligated Group, Series 2025
5.500%
7/1/39
1,400,000
1,556,690
(d)
Trips Obligated Group, Series 2025
5.500%
7/1/40
1,000,000
1,106,568
(d)
Chicago, IL, Park District, GO, Series C, Refunding, BAM
4.000%
1/1/42
3,820,000
3,727,116
Illinois State Finance Authority Revenue:
Ann & Robert H Lurie Childrens Hospital, Series 2017, Refunding
4.000%
8/15/39
1,765,000
1,702,617
Chicago School, Series 2024
5.000%
4/1/35
400,000
427,455
Chicago School, Series 2024
5.250%
4/1/37
130,000
139,660
Chicago School, Series 2024
5.250%
4/1/38
1,000,000
1,068,211
Chicago School, Series 2024
5.250%
4/1/39
135,000
143,743
Chicago School, Series 2024
5.250%
4/1/40
50,000
52,504
Chicago School, Series 2024
5.250%
4/1/41
355,000
368,486
See Notes to Schedules of Investments.

28
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Illinois — continued
Chicago School, Series 2024
5.250%
4/1/42
 $700,000
 $723,569
Chicago School, Series 2024
5.250%
4/1/44
1,325,000
1,361,725
Depaul College Prep Foundation, Series A
5.500%
8/1/43
500,000
533,653
(c)
Learn Charter, School Project, Series 2021, Refunding
4.000%
11/1/30
250,000
255,298
Learn Charter, School Project, Series 2021, Refunding
4.000%
11/1/31
255,000
260,367
Midwestern University Foundation, Series A
4.250%
7/1/46
6,300,000
6,326,827
(d)
Moornings of Arlington Heights, Series A, Refunding
5.125%
11/1/46
2,100,000
2,138,322
Rosalind Franklin University, Woodlands Apartment Project,
Series 2025
5.250%
8/1/35
6,175,000
6,470,345
(c)
Series 2019, Refunding (SOFR x 0.700 + 1.150%)
3.684%
9/1/28
965,000
968,599
(a)(b)
Series B-2, Refunding
5.000%
11/15/26
1,070,000
1,070,871
(a)(b)
Springfield Sustainable Energy Partners, Series 2026
5.000%
4/1/46
1,910,000
2,008,871
Springfield Sustainable Energy Partners, Series 2026
5.500%
4/1/51
5,185,000
5,554,706
Surface Freight Transfer Facilites, Centerpoint Joliet Terminal
Railroad Project
4.800%
7/2/35
1,500,000
1,554,958
(a)(b)(c)(d)
Westminster Village, Series A, Refunding
4.000%
10/1/31
980,000
974,812
(c)
Westminster Village, Series A, Refunding
5.250%
5/1/38
1,905,000
1,907,728
Illinois State HDA Revenue:
Series A, Refunding, GNMA/FNMA/FHLMC
4.250%
10/1/41
4,650,000
4,631,233
Series H, Refunding, FHA
4.000%
1/1/42
2,560,000
2,484,414
Illinois State, GO:
NATL
6.000%
11/1/26
330,000
332,641
Series A
4.000%
3/1/39
3,675,000
3,626,794
Series A
4.000%
3/1/40
30,000
29,385
Series A
4.000%
3/1/41
5,145,000
4,980,822
Series A
5.000%
3/1/46
6,880,000
7,042,209
Series A
5.500%
3/1/47
5,500,000
5,790,094
Series B
5.250%
5/1/47
3,430,000
3,588,027
Series B
5.250%
5/1/48
8,400,000
8,741,153
Series C
5.000%
4/1/41
6,000,000
6,509,068
Series C
5.000%
4/1/42
6,000,000
6,467,463
Series C
5.250%
4/1/43
5,000,000
5,452,498
Series C
5.250%
10/1/47
5,180,000
5,366,352
Metropolitan Pier & Exposition Authority, IL, Revenue:
McCormick Place Expansion Project, Series A, NATL
0.000%
12/15/30
300,000
259,450
McCormick Place Expansion Project, Series A, Refunding
4.000%
12/15/42
31,620,000
30,864,295
McCormick Place Expansion Project, Series B, Refunding
5.000%
6/15/53
3,500,000
3,559,774
Northeastern Illinois State University:
Capital Improvement Projects, BAM
5.750%
7/1/45
1,660,000
1,798,845
Capital Improvement Projects, BAM
5.250%
7/1/50
1,650,000
1,701,014
Northern Illinois State University:
Energy Savings Projects, BAM
4.250%
4/1/44
4,510,000
4,434,632
Energy Savings Projects, BAM
5.500%
4/1/49
2,025,000
2,135,732
Sales Tax Securitization Corp., IL, Revenue, Senior Lien, Series A,
Refunding
4.000%
1/1/42
2,525,000
2,489,048
See Notes to Schedules of Investments.

29
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Illinois — continued
Southwestern Illinois Development Authority, Local Government
Program Revenue:
Pontiac-William Holliday School District No 105 Project,
Series 2026, BAM
6.000%
12/1/44
 $600,000
 $699,205
Pontiac-William Holliday School District No 105 Project,
Series 2026, BAM
6.000%
12/1/45
500,000
577,621
Pontiac-William Holliday School District No 105 Project,
Series 2026, BAM
6.000%
12/1/46
500,000
572,266
Village of Lincolnwood, IL, COP, Tax Increment Revenue, North Lincoln
Redevelopment Project
4.820%
1/1/41
1,532,773
1,533,484
(c)
Village of Villa Park, IL, Tax Increment Revenue, Garden Station
Redevelopment Project
4.500%
12/31/38
100,000
94,446
Total Illinois
268,841,435
Indiana — 0.9%
Goshen, IN, MFH Revenue, Green Oaks of Goshen Project, Series A
5.000%
8/1/41
1,000,000
893,770
(c)
Indiana State Finance Authority Revenue:
Federally Taxable University of Evansville Project, Educational
Facilities, Series B
7.000%
9/1/32
160,000
156,243
Marian University Project, Series 2026
5.000%
9/15/41
1,785,000
1,862,110
Marian University Project, Series 2026
5.000%
9/15/46
1,000,000
1,009,795
Marquette Project, Series A, Refunding
5.125%
3/1/45
3,205,000
3,336,687
Senior Living Masonic Home Project, Series B
5.000%
5/1/40
1,625,000
1,695,524
Indiana State Housing & CDA, MFH Revenue:
Cambridge Square North Apartments, Series 2026, FNMA -
Collateralized
4.500%
8/1/42
6,000,000
6,033,065
Vita of Marion Project, Series A
5.000%
4/1/31
585,000
569,598
(c)
Indianapolis, IN, Local Public Improvement Bond Bank Revenue:
Animal Care Shelter Project, Series D
5.000%
2/1/49
3,935,000
4,145,245
Convention Center Hotel, Series E
5.500%
3/1/38
1,000,000
1,078,531
Jeffersonville, IN, MFH Revenue, Vivera Senior Living Project, Series A
4.750%
11/1/30
100,000
95,327
(c)
Valparaiso, IN, MFH Revenue, Green Oaks Project, Series 2021
5.375%
12/1/41
500,000
471,176
(c)
Total Indiana
21,347,071
Iowa — 0.8%
Crawford County, IA, Memorial Hospital Iowa Revenue, Anticipation
Notes, Series 2024
5.000%
6/15/27
515,000
517,005
Iowa State Finance Authority Revenue:
Lifespace Communities Inc., Series 2016
5.000%
5/15/32
615,000
615,354
Lifespace Communities Inc., Series 2016
5.000%
5/15/41
1,060,000
1,060,224
Lifespace Communities Inc., Series 2018
4.125%
5/15/38
1,220,000
1,192,908
Lifespace Communities Inc., Series 2018
5.000%
5/15/43
3,140,000
3,149,449
Lifespace Communities Inc., Series 2023, Refunding
6.600%
5/15/28
85,000
88,394
Lifespace Communities Inc., Series 2023, Refunding
6.750%
5/15/33
1,070,000
1,212,387
Lifespace Communities Inc., Series 2023, Refunding
7.250%
5/15/38
500,000
570,278
Midwestern Disaster Area, Iowa Fertilizer Co. Project, Refunding
5.000%
12/1/32
2,425,000
2,743,513
(a)(b)(i)
Presbyterian Homes Mill Pond Project, Series 2025, Refunding
5.500%
10/1/45
1,000,000
1,039,969
See Notes to Schedules of Investments.

30
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Iowa — continued
Iowa State Higher Education Loan Authority Revenue, Private College
Facility, University of Dubuque Project, Series 2025
5.000%
10/1/45
 $6,340,000
 $6,393,585
Total Iowa
18,583,066
Kansas — 0.3%
Garden City, KS, Special Obligation Revenue, World Star Bond Project -
Phase II, Series 2025
5.375%
6/1/39
2,500,000
2,522,260
(c)
Wichita City, KS, Sales Tax Special Obligation Revenue, Greenwich
Star Bond Project Phase III, Series A
4.125%
9/1/33
2,700,000
2,713,628
(c)
Wyandotte County, KS, Unified Government, Sales Tax Revenue,
Legends Apartments Garage & West Lawn Project
4.500%
6/1/40
1,570,000
1,572,168
Total Kansas
6,808,056
Kentucky — 4.2%
Kentucky State Bond Development Corp. Revenue:
University of Kentucky Central Utility Plant Project, Series A
5.250%
10/31/45
1,100,000
1,199,442
University of Kentucky Central Utility Plant Project, Series A
5.250%
10/31/46
1,000,000
1,084,460
Kentucky State Bond Development Corp., Student Housing Revenue,
Collegiate Housing Foundation-Bowling Green LLC, Series A, AG
5.000%
7/1/42
725,000
788,331
Kentucky State PEA, Gas Supply Revenue:
Series A
5.000%
6/1/34
12,150,000
12,638,952
Series A - 2
3.625%
8/1/30
1,385,000
1,392,409
(a)(b)
Series B
5.000%
12/1/33
35,695,000
36,758,722
Series B, Refunding
5.000%
8/1/32
2,165,000
2,290,235
(a)(b)
Series C, Refunding
5.000%
5/1/36
38,000,000
40,072,269
Total Kentucky
96,224,820
Louisiana — 0.2%
Lakeshore Villages Master, LA, Community Development District,
Special Assessment Revenue:
Parish of St. Tammany, Series 2022
5.000%
6/1/32
245,000
251,919
Parish of St. Tammany, Series 2022
5.375%
6/1/42
730,000
771,109
Louisiana State Local Government Environmental Facilities & CDA
Revenue:
St. John The Baptist Parish Gomesa Project
3.900%
11/1/44
150,000
139,090
(c)
Westlake Chemical Corp, Refunding
3.500%
11/1/32
1,665,000
1,636,093
New Orleans Aviation Board, LA, General Airport Revenue, Refunding
5.000%
1/1/38
1,030,000
1,105,840
(d)
Total Louisiana
3,904,051
Maine — 0.2%
Maine State Housing Authority Revenue:
Series A
4.150%
11/15/41
4,630,000
4,638,994
Social Bonds
4.500%
11/15/44
1,000,000
1,005,132
Total Maine
5,644,126
Maryland — 0.5%
Baltimore, MD, Special Obligation Revenue, Harbor Point Project,
Series 2019, Refunding
3.250%
6/1/31
100,000
98,022
(c)
Baltimore, MD, Water Project Revenue, Series C
5.000%
7/1/39
5,000,000
5,002,954
Frederick County, MD, Tax Increment Revenue, Oakdale-Lake Linganore
Project, Series 2019, Refunding
3.250%
7/1/29
115,000
113,892
See Notes to Schedules of Investments.

31
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Maryland — continued
Maryland State EDC, Private Activity Revenue:
Green Bonds, Series B
5.000%
6/30/36
 $895,000
 $945,374
(d)
Green Bonds, Series B
5.000%
12/31/36
425,000
447,804
(d)
Green Bonds, Series B
5.000%
12/31/37
150,000
157,358
(d)
Green Bonds, Series B
5.000%
12/31/38
385,000
402,391
(d)
Green Bonds, Series B
5.000%
6/30/39
1,500,000
1,564,950
(d)
Series B, Green Bonds
5.000%
6/30/40
1,000,000
1,039,685
(d)
Town of La Plata, MD, Special Tax Revenue, Heritage Green Project
5.750%
2/15/35
680,000
699,838
(c)
Total Maryland
10,472,268
Massachusetts — 0.5%
Massachusetts State DFA Revenue:
CHF Merrimack Inc., Merrimack College Student Housing Project
4.250%
7/1/34
200,000
203,632
(c)
CHF Merrimack Inc., Merrimack College Student Housing Project
5.000%
7/1/44
1,500,000
1,535,109
(c)
Foxborough Regional Charter School, Refunding
5.000%
7/1/27
40,000
40,198
Lasell Village Inc.
5.250%
7/1/45
1,140,000
1,204,896
Salem Community Corp. Issue, Series 2022, Refunding
5.125%
1/1/40
1,020,000
1,031,677
Salem Community Corp., Refunding
5.000%
1/1/28
200,000
202,508
Seven Hills Foundation and Affiliates, Refunding
6.000%
9/1/45
400,000
446,412
WGBH Educational Foundation, Series A, AMBAC
5.750%
1/1/42
5,000,000
5,899,622
Total Massachusetts
10,564,054
Michigan — 2.3%
Detroit, MI, Downtown Development Tax Increment Revenue,
Series 2024, Refunding
5.000%
7/1/48
1,330,000
1,386,273
Detroit, MI, GO, Unlimited Tax, Series C
6.000%
5/1/43
375,000
420,024
Four Lakes, MI, Special Assessment District Revenue, Series 2026, AG
County GTD
4.250%
6/1/41
2,095,000
2,103,177
Grand Rapids, MI, EDC Revenue:
Beacon Hill at Eastgate Project, Series A
5.750%
11/1/45
4,000,000
4,123,849
Beacon Hill at Eastgate Project, Series A, Refunding
4.000%
11/1/27
150,000
149,611
Beacon Hill at Eastgate Project, Series A, Refunding
4.250%
11/1/38
45,000
41,437
Kalamazoo, MI, EDC Revenue:
Friendship Village of Kalamazoo Project, Series A
6.000%
8/15/46
1,000,000
1,053,312
(c)
Revel Creek Project
5.000%
5/15/43
1,120,000
1,125,900
Michigan State Finance Authority Revenue:
Lawrence Technology University, Refunding
4.000%
2/1/27
45,000
44,949
Lawrence Technology University, Refunding
4.000%
2/1/32
285,000
279,976
The Henry Ford Health Detroit South Campus Central Utility Plant
Project, Green Bonds, Series 2024
4.125%
2/29/44
2,010,000
1,958,787
The Henry Ford Health Detroit South Campus Central Utility Plant
Project, Green Bonds, Series 2024
5.500%
2/28/49
8,995,000
9,520,181
University of Detroit Mercy, Refunding
5.250%
11/1/35
815,000
869,039
University of Detroit Mercy, Refunding
5.250%
11/1/39
820,000
860,147
Michigan State HDA Revenue:
Rental Housing
5.150%
10/1/45
3,365,000
3,555,512
Single-Family Mortgage
4.650%
6/1/41
2,500,000
2,554,483
Single-Family Mortgage, Series A
4.500%
12/1/41
7,025,000
7,074,769
See Notes to Schedules of Investments.

32
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Michigan — continued
Single-Family Mortgage, Series C
5.000%
6/1/46
 $4,000,000
 $4,134,535
Michigan State Strategic Fund Ltd. Obligation Revenue:
Bedrock Detroit – Transformational Brownfield Plan Project,
Series 2026
4.250%
10/1/36
720,000
730,285
(c)
Bedrock Detroit – Transformational Brownfield Plan Project,
Series 2026
4.625%
10/1/41
5,425,000
5,508,969
(c)
I-75 Improvement Project
5.000%
12/31/33
140,000
143,804
(d)
I-75 Improvement Project
5.000%
6/30/48
100,000
100,168
(d)
I-75 Improvement Project, AG
4.125%
6/30/35
670,000
670,388
(d)
I-75 Improvement Project, AG
4.250%
12/31/38
3,975,000
3,985,116
(d)
Total Michigan
52,394,691
Minnesota — 1.1%
Duluth, MN, EDA Revenue, Benedictine Health System, Series A,
Refunding
4.000%
7/1/31
125,000
122,608
Minneapolis & St. Paul, MN, Metropolitan Airports Commission
Revenue, Series B
5.250%
1/1/49
6,000,000
6,318,755
(d)
Minnesota State Municipal Gas Agency Revenue:
Minnesota Community Energy Commodity Supply, Series B, LIQ -
Royal Bank of Canada
3.425%
12/1/27
1,400,000
1,400,806
(a)(b)
Minnesota Community Energy, Gas Project, Series A
5.000%
9/1/35
11,550,000
12,062,915
Ramsey, MN, Charter School Lease Revenue, Pact Charter School
Project, Series A, Refunding
5.000%
6/1/32
3,000,000
3,027,532
St. Paul Park City, MN, Senior Housing Revenue, Presbyterian Homes -
Norris Square Project, Series 2026, Refunding
5.000%
6/1/46
1,415,000
1,416,942
Total Minnesota
24,349,558
Mississippi — 0.2%
Mississippi State Development Bank Special Obligation, Mangolia
Regional Health Center Project, Refunding
5.000%
10/1/31
150,000
154,615
(c)
Mississippi State Home Corp., Single-Family Mortgage Revenue:
GNMA/FNMA/FHLMC
4.650%
12/1/44
1,500,000
1,522,867
Series C, GNMA/FNMA/FHLMC
6.000%
6/1/41
2,000,000
2,280,828
Total Mississippi
3,958,310
Missouri — 0.3%
Missouri State HEFA Revenue:
Baptist University, Series 2025, Refunding
5.000%
10/1/35
500,000
505,879
(c)
University of Health Sciences & Pharmacy in St. Louis Educational
Facilities, Series A, Refunding
4.000%
5/1/43
150,000
141,628
University of Health Sciences & Pharmacy in St. Louis Educational
Facilities, Series B, Refunding
4.000%
5/1/39
100,000
94,943
University of Health Sciences & Pharmacy in St. Louis, Educational
Facilities, Series A, Refunding
4.000%
5/1/35
2,055,000
1,979,748
University of Health Sciences & Pharmacy in St. Louis, Educational
Facilities, Series A, Refunding
4.000%
5/1/36
2,020,000
1,940,410
University of Health Sciences & Pharmacy in St. Louis, Educational
Facilities, Series A, Refunding
4.000%
5/1/37
290,000
277,527
Poplar Bluff, MO, Tax Increment Revenue, Eight Points Redevelopment
Project, Series A, Refunding
4.500%
11/1/35
2,350,000
2,361,845
Total Missouri
7,301,980
See Notes to Schedules of Investments.

33
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Nebraska — 0.4%
Nebraska State Investment Finance Authority Revenue:
Series D, Social Bonds, GNMA/FNMA/FHLMC
4.300%
9/1/41
 $4,000,000
 $3,995,226
Social Bonds, GNMA/FNMA/FHLMC
4.850%
9/1/40
4,840,000
5,045,977
Total Nebraska
9,041,203
Nevada — 0.4%
Henderson, NV, Local Improvement District, Special Assessment
Revenue:
Rainbow Canyon Phase II, Local Improvement Bonds, Series 2023
5.000%
3/1/38
35,000
36,407
Rainbow Canyon Phase II, Local Improvement Bonds, Series 2023
5.000%
3/1/43
975,000
1,006,429
Series 2016, Refunding
4.000%
9/1/32
1,590,000
1,584,090
Las Vegas, NV, Special Improvement, District No 611, Special
Assessment Revenue, Local Improvement Bonds, Series 2020
3.500%
6/1/31
150,000
144,838
Las Vegas, NV, Special Improvement, District No 815, Special
Assessment Revenue, Local Improvement Bonds, Series 2020
4.750%
12/1/40
930,000
944,043
Las Vegas, NV, Special Improvement, District No 816, Special
Assessment Revenue, Local Improvement Bonds, Series 2021
2.500%
6/1/29
200,000
192,990
North Las Vegas, NV, Special Improvement, District No 66, Local
Improvement Bonds, Series 2022
5.000%
6/1/28
140,000
142,956
(c)
Reno-Tahoe, NV, Airport Authority Revenue:
Series A
5.250%
7/1/42
1,655,000
1,791,333
(d)
Series A
5.250%
7/1/43
1,000,000
1,079,536
(d)
Series A
5.250%
7/1/44
745,000
798,942
(d)
Tahoe-Douglas, NV, Visitors Authority Revenue:
Series 2020
4.000%
7/1/26
770,000
770,000
Series 2020
5.000%
7/1/31
250,000
264,929
Total Nevada
8,756,493
New Hampshire — 0.3%
National Finance Authority, NH, Revenue:
Adventist Health Energy Projects, Series C
5.250%
7/1/49
1,215,000
1,226,769
Grace Christian School Project, Series 2025
5.125%
8/1/40
500,000
507,779
Grace Christian School Project, Series 2025
5.750%
8/1/45
4,400,000
4,533,283
Total New Hampshire
6,267,831
New Jersey — 1.2%
Middlesex County, NJ, Improvement Authority Revenue, Health and
Life Science Exchange H-3 Project, Series 2026
5.000%
6/1/36
2,500,000
2,555,117
(c)
New Jersey State EDA Revenue:
Continental Airlines Inc. Project
5.250%
9/15/29
270,000
270,377
(d)
New Jersey American Water Company Inc. Project, Refunding
2.200%
12/3/29
100,000
95,332
(a)(b)(d)
Provident Group, Kean Properties
5.000%
7/1/32
100,000
100,330
Provident Group, Kean Properties
5.000%
7/1/37
50,000
50,051
Provident Group, Rowan Properties LLC, Rowan University Student
Housing Project, Series A
5.000%
1/1/35
750,000
751,119
New Jersey State Higher Education, Student Assistance Authority
Revenue:
Series 2025, Refunding
5.000%
12/1/35
3,100,000
3,405,792
(d)
Series A, Refunding
4.250%
12/1/46
11,500,000
11,589,032
(d)
Series B
4.000%
12/1/44
855,000
829,516
(d)
See Notes to Schedules of Investments.

34
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
New Jersey — continued
New Jersey State Transportation Trust Fund Authority Revenue,
Transportation System, Series A, Refunding
4.250%
6/15/40
 $7,210,000
 $7,304,412
Passaic County, NJ, Improvement Authority Revenue, Community
Charter School of Paterson Project
5.000%
1/1/34
280,000
290,246
Total New Jersey
27,241,324
New Mexico — 0.2%
Albuquerque, NM, Mesa Del Sol Public Improvement District No 1
Revenue, Special Levy Improvement Bonds, Series A
5.100%
10/1/46
300,000
304,296
(c)(j)
New Mexico Mortgage Finance Authority Revenue, Single-Family
Mortgage, Series C, Refunding, GNMA/FNMA/FHLMC
4.250%
9/1/41
2,945,000
2,968,033
New Mexico State Hospital Equipment Loan Council Revenue,
Refunding
4.000%
6/1/33
1,000,000
997,868
Total New Mexico
4,270,197
New York — 5.1%
Build NYC Resource Corp., NY, Senior Airport Facilities Revenue:
Series 2025
5.500%
7/1/42
1,135,000
1,243,309
(d)
Series 2025
5.500%
7/1/45
115,000
123,484
(d)
MTA, NY, Transportation Revenue:
Green Bonds, Series C-1, Refunding
4.750%
11/15/45
2,500,000
2,534,780
Green Bonds, Series C-1, Refunding
5.000%
11/15/50
6,560,000
6,665,129
Series A-2
4.000%
11/15/41
11,945,000
11,770,175
New York City, NY, GO, Subseries G-1
5.250%
2/1/48
7,315,000
7,868,246
New York City, NY, HDC, Multi-Family Mortgage Revenue:
Tax-Exempt Bonds
4.375%
12/15/43
650,000
661,205
Tax-Exempt Bonds, Series F, Refunding
5.250%
12/15/31
1,000,000
1,030,840
New York State Dormitory Authority Revenue, New York University
5.000%
7/1/30
65,000
65,171
New York State Environmental Facilities Corp., Solid Water Disposal
Facility Revenue, Casella Waste Systems Inc. Project
5.125%
9/3/30
250,000
263,926
(a)(b)(c)(d)
New York State HFA Revenue, Series F, Refunding
4.300%
11/1/41
3,000,000
3,006,791
New York State Thruway Authority General Revenue, Series A,
Refunding
4.000%
3/15/44
7,000,000
6,863,150
New York State Transportation Development Corp., Special Facilities
Revenue:
American Airlines Inc., John F. Kennedy International Airport
Project, Series 2020, Refunding
2.250%
8/1/26
30,000
29,985
(d)
American Airlines Inc., John F. Kennedy International Airport
Project, Series 2021, Refunding
3.000%
8/1/31
210,000
203,355
(d)
American Airlines Inc., John F. Kennedy International Airport
Project, Series 2021, Refunding
5.250%
8/1/31
4,200,000
4,394,222
(d)
Delta Air Lines Inc., LaGuardia Airport Terminals C and D
Redevelopment Project
6.000%
4/1/35
1,845,000
2,061,383
(d)
Delta Air Lines Inc., LaGuardia Airport Terminals C and D
Redevelopment Project
5.625%
4/1/40
2,190,000
2,340,968
(d)
Delta Air Lines Inc., LaGuardia Airport Terminals C and D
Redevelopment Project
5.000%
10/1/40
16,230,000
16,716,795
(d)
Delta Air Lines Inc., LaGuardia Airport Terminals C and D
Redevelopment Project
4.375%
10/1/45
720,000
696,641
(d)
See Notes to Schedules of Investments.

35
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
New York — continued
Delta Air Lines Inc., LaGuardia Airport Terminals C and D
Redevelopment Project, Series 2018
4.000%
1/1/36
 $5,415,000
 $5,416,249
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds
5.500%
6/30/38
1,250,000
1,333,785
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds
6.000%
6/30/42
350,000
393,813
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds
5.250%
6/30/43
4,930,000
5,184,589
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds
6.000%
6/30/44
1,200,000
1,336,303
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds, AG
5.250%
6/30/39
300,000
325,045
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds, AG
4.250%
6/30/42
5,350,000
5,297,967
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds, AG
5.500%
6/30/43
185,000
196,983
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds, Series 2023
5.500%
6/30/41
80,000
84,573
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds, Series 2023, AG
5.500%
6/30/42
250,000
266,893
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds, Series 2024
5.250%
6/30/38
260,000
278,902
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds, Series 2024
5.250%
6/30/40
1,475,000
1,569,573
(d)
John F. Kennedy International Airport New Terminal One Project,
Green Bonds, Series 2024
5.250%
6/30/44
245,000
256,135
(d)
John F. Kennedy International Airport Terminal 4 Project
5.000%
12/1/36
250,000
266,386
(d)
John F. Kennedy International Airport Terminal 4 Project
5.000%
12/1/37
1,030,000
1,092,310
(d)
John F. Kennedy International Airport Terminal 4 Project
5.000%
12/1/39
360,000
378,842
(d)
John F. Kennedy International Airport Terminal 4 Project
5.000%
12/1/40
3,155,000
3,307,278
(d)
John F. Kennedy International Airport Terminal 4 Project
5.000%
12/1/41
3,145,000
3,283,471
(d)
John F. Kennedy International Airport Terminal 4 Project
5.000%
12/1/42
1,265,000
1,315,955
(d)
John F. Kennedy International Airport Terminal 4 Project, AG-CR
4.000%
12/1/42
5,000,000
4,776,280
(d)
John F. Kennedy International Airport Terminal 4 Project, Series A,
Refunding
5.000%
12/1/36
425,000
444,887
(d)
John F. Kennedy International Airport Terminal 4 Project, Series A,
Refunding
5.000%
12/1/37
610,000
636,365
(d)
John F. Kennedy International Airport Terminal 4 Project, Series A,
Refunding
4.000%
12/1/38
2,310,000
2,257,753
(d)
John F. Kennedy International Airport Terminal 4 Project, Series A,
Refunding
4.000%
12/1/39
2,685,000
2,602,249
(d)
John F. Kennedy International Airport Terminal 4 Project, Series A,
Refunding
4.000%
12/1/40
500,000
480,078
(d)
John F. Kennedy International Airport Terminal 4 Project, Series A,
Refunding
4.000%
12/1/41
1,380,000
1,315,778
(d)
Oneida Indian Nation of New York, NY:
Series A
8.000%
9/1/40
2,500,000
2,532,112
(c)
Tax Exempt Bonds
6.000%
9/1/43
250,000
272,136
(c)
See Notes to Schedules of Investments.

36
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
New York — continued
Suffolk Regional Off-Track Betting Corp., NY, Tax Exempt Revenue:
Series 2024
5.000%
12/1/34
 $100,000
 $103,054
Series 2024
5.750%
12/1/44
2,000,000
2,063,915
Total New York
117,609,214
North Carolina — 0.2%
North Carolina State Medical Care Commission, Retirement Facilities
First Mortgage Revenue:
Carolina Meadows, Series 2024
5.250%
12/1/49
1,500,000
1,559,067
Penick Village Project, Series B-1
4.750%
9/1/29
405,000
405,866
United Methodist Retirement Homes Project, Series A
5.125%
10/1/45
530,000
561,225
United Methodist Retirement Homes Project, Series A
5.000%
10/1/50
1,000,000
1,019,050
United Methodist Retirement Homes Project, Series B-1
4.250%
10/1/28
350,000
350,000
Total North Carolina
3,895,208
North Dakota — 1.1%
Grand Forks, ND, Health Care System Revenue:
Altru Health System, Refunding, AG
3.000%
12/1/46
795,000
611,686
Altru Health System, Series 2021, Refunding
5.000%
12/1/31
1,385,000
1,462,317
Altru Health System, Series 2021, Refunding
5.000%
12/1/33
155,000
162,385
Altru Health System, Series 2021, Refunding
4.000%
12/1/38
2,300,000
2,200,775
Altru Health System, Series 2021, Refunding
4.000%
12/1/41
2,050,000
1,877,071
Horace, ND, GO:
Improvement Bonds, Series B, Refunding, BAM
4.375%
5/1/41
2,300,000
2,299,839
Improvement Bonds, Series C, Refunding
4.750%
5/1/44
1,000,000
1,001,126
North Dakota State HFA Revenue:
Home Mortgage Finance Program, Series A
4.500%
7/1/37
1,000,000
1,029,460
Home Mortgage Finance Program, Series C
4.250%
7/1/40
7,000,000
7,079,067
Home Mortgage Finance Program, Series C
4.650%
7/1/44
1,000,000
1,017,556
Home Mortgage Finance Program, Series D
4.500%
7/1/44
6,725,000
6,750,543
Total North Dakota
25,491,825
Ohio — 2.2%
Akron, Bath & Copley, OH, Joint Township Hospital District Revenue:
Ohio Hospital Facilities, Summa Health Obligated Group,
Series 2020, Refunding
4.000%
11/15/33
550,000
578,635
(i)
Ohio Hospital Facilities, Summa Health Obligated Group,
Series 2020, Refunding
4.000%
11/15/34
130,000
136,768
(i)
Columbus, OH, Metropolitan Housing Authority Affordable Housing
Revenue:
Cobblestone Manor Project
4.625%
8/1/42
2,920,000
2,964,680
Country Ridge Apartments Project, Series 2024
4.375%
12/1/41
1,000,000
1,003,264
Columbus, OH, Metropolitan Housing Authority General Revenue:
Canals Edge Project, Series A
5.000%
4/1/35
5,000,000
5,322,466
Orchard Project & The Eden Park Project, Series 2024
4.000%
12/1/34
1,910,000
1,908,660
The Falls Project, Series D
4.000%
11/1/35
2,000,000
2,019,300
Thornton Hall Project, Series F
4.000%
12/1/35
2,000,000
1,979,040
Waldren Woods Project
4.000%
6/1/34
500,000
500,511
See Notes to Schedules of Investments.

37
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Ohio — continued
Cuyahoga County, OH, Revenue, Independent Living Facilities, Eliza
Jennings Senior Health Care Network, Series 2022A, Refunding
5.000%
5/15/32
 $425,000
 $433,150
Dayton-Montgomery County, OH, Port Authority Revenue:
Dayton Regional Stem Schools Inc. Project, Series 2024
5.000%
12/1/44
500,000
513,052
Regional Stem Schools Inc. Project, Series 2024
5.000%
12/1/32
375,000
395,965
Franklin County, OH, Convention Facilities Authority Hotel Project
Revenue, Greater Columbus Convention Center, Series 2019
5.000%
12/1/30
100,000
103,594
Franklin County, OH, Revenue, Health Care Facilities:
Series B
4.000%
7/1/28
225,000
226,676
The Wesley Communities Obligated Group Project, Refunding
5.000%
11/15/30
100,000
102,670
The Wesley Communities Obligated Group Project, Unrefunded
4.000%
7/1/33
200,000
200,592
Hamilton County, OH, Revenue:
Life Enriching Communities Project, Series 2025, Refunding
5.125%
1/1/44
500,000
520,589
Life Enriching Communities Project, Series 2025, Refunding
5.250%
1/1/45
450,000
468,925
Ohio State Air Quality Development Authority Revenue:
Duke Energy Corp. Project, Series B, Refunding
4.250%
6/1/27
3,575,000
3,606,864
(a)(b)(d)
Pratt Paper LLC Project, Series 2017
4.250%
1/15/38
16,195,000
16,276,629
(c)(d)
Ohio State Health Care Facilities Revenue, Premier Health Partners
Obligated Group, Series 2020, Refunding
4.000%
11/15/38
1,280,000
1,245,449
Ohio State HFA, Residential Mortgage Revenue, Series D, GNMA/FNMA/
FHLMC
5.250%
9/1/45
3,500,000
3,727,779
Ohio State HFA Revenue, Middletown Phase 1 Project
8.000%
8/1/34
100,000
104,872
Ohio State Higher Educational Facility Commission Revenue
5.000%
12/1/32
885,000
918,038
Ohio State Hospital Revenue:
Premier Health Partners Obligated Group, Refunding
5.000%
11/15/35
1,015,000
1,056,409
Premier Health Partners Obligated Group, Refunding
4.000%
11/15/39
1,335,000
1,290,354
Premier Health Partners Obligated Group, Refunding
4.000%
11/15/40
935,000
892,351
Warren County, OH, Port Authority Revenue, Woodland Lake
Development Project
5.000%
12/1/38
1,020,000
1,057,164
West Central Ohio State Port Authority Revenue:
Global Impact Stem Academy Project, Series A
5.000%
12/1/45
575,000
579,429
Reserve At Honey Creek Phase I Project, Step bond (0.000% to
12/1/28 then 5.500%)
0.000%
12/1/32
940,000
842,289
Total Ohio
50,976,164
Oklahoma — 0.1%
 
Tulsa, OK, Municipal Airport Trust Revenue, American Airlines Inc.
Project, Refunding
6.250%
12/1/35
1,155,000
1,309,410
(d)
Oregon — 0.2%
Albany, OR, Hospital Facility Authority Revenue, Mennonite Village
Project, Series A
5.250%
5/15/45
1,890,000
1,985,010
Portland, OR, International Airport Revenue, Series 28, Refunding
4.000%
7/1/42
3,470,000
3,383,843
(d)
Total Oregon
5,368,853
Pennsylvania — 2.6%
Adams County, PA, General Authority Revenue, Brethren Home
Community Project, Series A, Refunding
5.000%
6/1/44
2,350,000
2,438,877
Allegheny County, PA, Higher Education Building Authority Revenue,
Commonwealth of Pennsylvania University, Robert Morris University
5.000%
10/15/26
15,000
15,094
(h)
See Notes to Schedules of Investments.

38
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Pennsylvania — continued
Allentown, PA, Commercial & IDA Revenue:
Education Facility Lease, Executive Education Academy Charter
School Project, Refunding
5.000%
7/1/40
 $2,075,000
 $2,100,266
(c)
Education Facility Lease, Executive Education Academy Charter
School Project, Refunding
5.000%
7/1/45
490,000
485,004
(c)
Allentown, PA, Neighborhood Improvement Zone Development
Authority Revenue:
City Center Project, Series 2018
5.000%
5/1/28
100,000
103,411
(c)
City Center Project, Series 2022
5.250%
5/1/42
450,000
468,934
(c)
City Center Project, Series 2025
6.000%
5/1/42
600,000
666,232
(c)
Berks County, PA, Municipal Authority Revenue:
Tower Health Project, Series A-1
8.000%
6/30/34
84,000
85,675
Tower Health Project, Series A-2
6.000%
6/30/34
42,000
44,564
Tower Health Project, Series A-3
5.000%
6/30/39
1,272,000
1,215,908
Tower Health Project, Series B-1, Step bond (0.000% to 11/15/29
then 6.000%)
0.000%
6/30/44
283,000
213,862
Chester County, PA, IDA Revenue, Avon Grove Charter School,
Series 2024
5.000%
3/1/27
1,000,000
1,001,878
Cumberland County, PA, Municipal Authority Revenue, Messiah Village
Project, Series A, Refunding
5.250%
6/1/44
4,000,000
4,218,750
Franklin County, PA, IDA Revenue Bond, Menno-Haven Inc. Project,
Series 2018, Refunding
5.000%
12/1/28
100,000
102,210
Lancaster County, PA, Hospital Authority Revenue, Brethren Village
Project, Refunding
5.250%
7/1/41
1,900,000
1,902,206
Montgomery County, PA, HEFA Revenue, Refunding
5.000%
5/1/52
8,920,000
9,058,332
Northampton County, PA, General Purpose Authority, Hospital
Revenue, St. Luke’s University Health Network Project, Series A1,
Refunding
5.250%
8/15/53
5,505,000
5,687,877
Pennsylvania State Economic Development Financing Authority
Revenue:
Exempt Facilities Bonds, PPL Energy Supply LLC Project, Series B,
Refunding
5.250%
6/1/27
1,000,000
1,001,130
(a)(b)
Sewage Sludge Disposal, Philadelphia Biosolids Facility Project,
Refunding
4.000%
1/1/31
485,000
496,869
The Pennsylvania Rapid Bridge Replacement Project, Series 2015
4.125%
12/31/38
6,170,000
5,984,171
(d)
University of Pittsburgh, Series A, Refunding
3.375%
11/15/33
150,000
148,557
Pennsylvania State HFA, Single-Family Mortgage Revenue:
Series 146A
4.500%
10/1/44
1,500,000
1,507,894
Series 148A
4.625%
10/1/45
1,500,000
1,527,433
Series 149A
4.625%
4/1/37
3,430,000
3,569,749
Series 152A
4.375%
10/1/43
5,200,000
5,285,212
Series 153A
4.550%
10/1/43
2,750,000
2,772,950
(j)
Pennsylvania State Higher Education Assistance Agency, Revenue:
Series A
5.000%
6/1/34
1,500,000
1,616,755
(d)
Series A
4.250%
6/1/47
1,900,000
1,906,344
(d)
Philadelphia, PA, GO, School District, Series A, BAM-TCRS, State Aid
Withholding
4.000%
9/1/46
4,500,000
4,195,891
Philadelphia, PA, IDA Revenue
5.625%
6/15/42
100,000
75,000
*(e)(f)
See Notes to Schedules of Investments.

39
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Pennsylvania — continued
Philadelphia, PA, Redevelopment Authority Revenue, BAM-TCRS
2.799%
9/1/33
 $500,000
 $443,139
Total Pennsylvania
60,340,174
Puerto Rico — 0.6%
Puerto Rico Commonwealth, GO:
CAB, Restructured, Series A-1
0.000%
7/1/33
12,391
9,092
Restructured, Series A-1
5.625%
7/1/27
130,932
133,400
Restructured, Series A-1
5.625%
7/1/29
787,027
833,306
Restructured, Series A-1
5.750%
7/1/31
2,312,058
2,524,305
Restructured, Series A-1
4.000%
7/1/33
1,369,628
1,388,346
Restructured, Series A-1
4.000%
7/1/35
1,694,772
1,710,969
Restructured, Series A-1
4.000%
7/1/37
2,803,382
2,815,211
Restructured, Series A-1
4.000%
7/1/41
748,607
729,790
Subseries CW
0.000%
11/1/43
37,086
26,702
(b)
Puerto Rico Electric Power Authority Revenue:
Refunding, AG
5.250%
7/1/27
170,000
171,270
Refunding, NATL
5.250%
7/1/32
175,000
177,195
Puerto Rico GDB Debt Recovery Authority Revenue
7.500%
8/20/40
1,338,279
1,313,362
Puerto Rico Industrial Tourist Educational Medical & Environmental
Control Facilities Finance Authority Housing Revenue:
Refunding
5.000%
7/1/29
165,000
172,031
Refunding
5.000%
7/1/30
105,000
110,685
Refunding
5.000%
7/1/33
180,000
189,579
Refunding
4.000%
7/1/37
100,000
96,093
Refunding
4.000%
7/1/39
425,000
400,396
Refunding
4.000%
7/1/40
100,000
92,648
Puerto Rico Sales Tax Financing Corp., Sales Tax Revenue,
Restructured, Series A-2
4.329%
7/1/40
215,000
215,103
Total Puerto Rico
13,109,483
Rhode Island — 0.2%
Rhode Island State Student Loan Authority Revenue:
Series A
5.000%
12/1/44
1,395,000
1,425,032
(d)
Series A
4.500%
12/1/45
3,500,000
3,560,927
(d)
Total Rhode Island
4,985,959
South Carolina — 1.8%
Charleston, SC, General Revenue, 1800 Ashley West, Series 2025
5.000%
9/1/35
4,380,000
4,639,940
Dorchester County, SC, Special Assessment Revenue, Improvement
District Bond, Series 2023
4.500%
10/1/33
415,000
417,446
Goose Creek, SC, Special Assessment Revenue, Carnes Crossroads
Improvement District, Series 2025
5.250%
10/1/45
795,000
816,927
(c)
Patriots Energy Group Financing Agency, SC, Gas Supply Revenue:
Subseries A-1
5.250%
8/1/31
3,905,000
4,192,049
(a)(b)
Subseries B-2, Refunding (SOFR x 0.670 + 1.900%)
4.338%
3/1/31
450,000
466,949
(a)(b)
South Carolina State Housing Finance & Development Authority
Revenue, Fairview Gardens, Series 2026, FHLMC - Collateralized
4.500%
7/1/43
6,700,000
6,777,956
South Carolina State Jobs EDA Health Care Facilities Revenue:
Beaufort Memorial Hospital & South of Broad Health Care Project,
Series 2024
5.250%
11/15/39
300,000
315,072
See Notes to Schedules of Investments.

40
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
South Carolina — continued
Beaufort Memorial Hospital & South of Broad Healthcare Project,
Series 2024
5.500%
11/15/44
 $500,000
 $522,604
Novant Health Obligated Group, Series A
4.000%
11/1/42
6,890,000
6,731,966
Novant Health Obligated Group, Series A, AG-CR
4.000%
11/1/42
10,665,000
10,665,689
Rolling Green Village Project, Series A
5.000%
12/1/35
1,000,000
1,045,716
Rolling Green Village Project, Series A
5.500%
12/1/45
1,000,000
1,037,905
South Carolina State Jobs EDA Revenue:
Bishop Gadsden Episcopal Retirement Community, Series 2025
5.125%
4/1/46
1,250,000
1,297,792
FAH Portfolio - Pelham Apartments, Series B
7.500%
8/1/47
150,000
147,528
(c)
South Carolina State Medical University Hospital Authority Revenue,
Series 2026
5.500%
11/15/50
2,000,000
2,127,471
Total South Carolina
41,203,010
South Dakota — 0.2%
South Dakota HEFA Revenue, Avera Health, Series A, Refunding
4.000%
7/1/42
2,890,000
2,805,098
South Dakota State, HDA Revenue:
Homeownership Mortgage Bonds, GNMA/FNMA/FHLMC
4.750%
11/1/40
1,500,000
1,565,099
Homeownership Mortgage Bonds, Refunding, GNMA/FNMA/
FHLMC
4.500%
11/1/44
1,500,000
1,500,580
Total South Dakota
5,870,777
Tennessee — 2.1%
Chattanooga, TN, Health Educational and Housing Facility Revenue:
Commonspirit Health, Series A-1, Refunding
4.000%
8/1/37
500,000
501,136
Commonspirit Health, Series A-1, Refunding
4.000%
8/1/38
1,810,000
1,810,812
Cleveland Housing Authority, TN, MFH Revenue:
Forward Phase 1 Project Subordinate, Series B
6.250%
4/1/41
300,000
304,433
(c)
Forward Phase 1 Project Subordinate, Series B
6.250%
4/1/41
100,000
101,478
(c)
Tennergy Corp., TN, Gas Supply Revenue
5.500%
12/1/30
5,470,000
5,831,892
(a)(b)
Tennessee State Energy Acquisition Corp., Natural Gas Revenue:
The Tennessee Energy Acquisition Corp. Commodity Project
5.000%
11/1/31
6,300,000
6,662,239
(a)(b)
The Tennessee Energy Acquisition Corp. Gas Project, Refunding
5.000%
12/1/35
30,855,000
32,654,161
Total Tennessee
47,866,151
Texas — 13.4%
Alvarado, TX, Municipal Corp., Special Assessment Revenue, Johnson
County, Series 2025
5.750%
9/1/45
555,000
582,014
(c)
Anna, TX, Municipal Corp., Special Assessment Revenue:
Collin County, Series 2022
5.000%
9/1/28
524,000
532,735
(c)
Collin County, Sherley Tract Public Improvement, District No 2
Improvement Area One
5.625%
9/15/45
705,000
734,452
(c)
Crystal Park Public Improvement, District No 2, Series 2025
4.500%
9/15/35
302,000
304,589
(c)
Hurricane Creek Public District, Improvement Area Three
5.625%
9/1/46
1,000,000
1,023,912
(c)
Liberty Hills Public Improvement District No 2, Improvement Area
One Project, Series 2026
5.375%
9/15/46
1,466,000
1,472,792
(j)
Meadow Vista Public Improvement, District Improvement Area One
4.875%
9/15/31
270,000
274,617
(c)
Sherley Tract Public Improvement District No 2, Improvement Areas
Two-Four Project, Series 2026
5.625%
9/15/46
757,000
765,882
(c)
Woods at Lindsey Place Public Improvement District, Series 2025
5.200%
9/15/45
331,000
338,981
See Notes to Schedules of Investments.

41
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
Arlington, TX, Higher Education Finance Corp., Education Revenue:
Basis Texas Charter Schools Inc., Series 2024
4.500%
6/15/44
 $830,000
 $794,258
(c)
Basis Texas Charter Schools Inc., Series 2025, Refunding
5.625%
6/15/45
1,000,000
1,036,328
(c)
Aubrey, TX, Special Assessment Revenue, Aubrey Public Improvement,
District No 1, Series 2023
5.875%
9/1/43
100,000
103,601
(c)
Austin, TX, Municipal Corp., Special Assessment Revenue:
Estancia Hill Country Public Improvement District, Improvement
Area Three Project
4.125%
11/1/34
750,000
753,079
(c)
Travis Williamson & Hays Counties, Whisper Valley Public
Improvement District, Improvement Area Two Project
4.750%
11/1/29
120,000
121,316
(c)
Whisper Valley Public Improvement, District Project, Series 2022
5.375%
11/1/42
156,000
162,610
(c)
Balch Springs, TX, Special Assessment Revenue, Series 2025
5.625%
9/15/45
714,000
750,846
(c)
Bastrop County, TX, Special Assessment Revenue:
Double Eagle Ranch Public Improvement, District Improvement Area
Two, Series 2024
4.500%
9/1/31
220,000
225,179
Double Eagle Ranch Public Improvement, District Improvement Area
Two, Series 2024
5.250%
9/1/44
500,000
517,352
Bastrop, TX, Municipal Corp., Special Assessment Revenue,
Series 2025
5.375%
9/1/45
620,000
638,929
(c)
Baybrook, TX, Municipal Utility District No 1, GO:
Series 2026, BAM
4.000%
5/1/42
790,000
776,131
(j)
Series 2026, BAM
4.000%
5/1/42
345,000
341,147
(j)
Series 2026, BAM
4.000%
5/1/43
785,000
765,737
(j)
Series 2026, BAM
4.000%
5/1/43
350,000
344,646
(j)
Blue Ridge, TX, Special Assessment Revenue, Series 2025
5.625%
9/15/45
511,000
534,833
(c)
Boyd, TX, Municipal Corp., Special Assessment Revenue:
Public Improvement District No 1, Improvement Area One,
Series 2024
4.250%
9/15/30
107,000
108,425
(c)
Public Improvement District No 1, Improvement Area One,
Series 2024
5.125%
9/15/43
690,000
708,278
(c)
Public Improvement District No 1, Improvement Area Two,
Series 2025
5.625%
9/15/45
171,000
179,399
(c)
Caddo Mills, TX, Special Assessment Revenue, Preserve at Brushy
Creek Public Improvement District, Improvement Area One Project,
Series 2026
5.250%
9/15/46
677,000
681,232
Cedar, TX, Port Navigation and Improvement District, GO:
Unlimited Tax, Series 2023
4.000%
9/1/37
500,000
505,387
Unlimited Tax, Series 2023
4.000%
9/1/38
1,000,000
1,006,919
Unlimited Tax, Series A
4.500%
3/1/40
1,010,000
1,034,103
Unlimited Tax, Series A
4.625%
3/1/43
760,000
775,406
Unlimited Tax, Series A
4.625%
3/1/44
760,000
773,896
Celina, TX, Municipal Corp., Special Assessment Revenue:
Collin & Denton Counties, Celina Hills Public Improvement District
Project, Series 2022
4.375%
9/1/27
25,000
25,020
(c)
Collin & Denton Counties, Celina Hills Public Improvement District
Project, Series 2022
4.500%
9/1/30
100,000
100,931
(c)
Collin & Denton Counties, Chalk Hills Public Improvement District
No 2, Series 2023
5.000%
9/1/30
185,000
188,784
(c)
See Notes to Schedules of Investments.

42
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
Collin & Denton Counties, Mosaic Public Improvement District,
Improvement Area Two, Series 2024
4.500%
9/1/31
 $250,000
 $253,771
(c)
Cross Creek Meadows Public Improvement District, Improvement
Area One, Series 2023
5.375%
9/1/43
1,624,000
1,689,727
(c)
Edgewood Creek Public Improvement District, Phase 1 Project,
Series 2021
3.750%
9/1/31
180,000
175,489
(c)
Edgewood Creek Public Improvement District, Phase 2-3 Project,
Series 2021
5.250%
9/1/41
320,000
324,423
(c)
Mosaic Public Improvement District, Phase 1 Project, Series 2023
5.125%
9/1/43
1,225,000
1,268,189
(c)
North Sky Public Improvement District, Improvement Area 1B,
Series 2024
5.000%
9/1/44
889,000
891,930
Parks at Wilson Creek, Series 2021
3.250%
9/1/31
110,000
104,524
(c)
Parvin Public Improvement District Project, Series 2023
6.500%
9/1/43
103,000
106,607
(c)
Series 2020
3.250%
9/1/30
180,000
174,372
(c)
Series 2020
3.625%
9/1/30
100,000
96,511
(c)
Sutton Fields II Public Improvement District, Neighborhood
Improvement Area Five Project, Series 2022
2.875%
9/1/27
25,000
24,598
(c)
The Lake at Mustang Ranch Public Improvement District, Phases 8-9
Project, Series 2025
5.500%
9/1/45
895,000
916,803
(c)
Club Municipal Management District No 1, TX, Special Assessment
Revenue, Improvement Area Two
5.100%
9/1/44
1,001,000
1,013,811
(c)
Comal County, TX, GO, Water Improvement District No 3, Series 2026,
AG
4.250%
12/1/42
550,000
550,420
Corpus Christi, TX, Special Assessment Revenue, Whitecap Public
Improvement District No 1, Improvement Area One, Series 2024
5.375%
9/15/31
149,000
154,301
Crandall, TX, Municipal Corp., Special Assessment Revenue:
Arbors Public Improvement District, Improvement Area One Project,
Series 2025
5.250%
9/15/45
561,000
571,768
(c)
River Ridge Public Improvement District, Improvement Area Two
Project, Series 2025
5.250%
9/15/45
700,000
711,835
(c)
Crandall, TX, Special Assessment Revenue, Cartwright Ranch Public
Improvement District, Series 2021
4.750%
9/15/31
100,000
101,032
(c)
Dayton, TX, Special Assessment Revenue, Dayton Public Improvement,
District No 5, Improvement Area One, Series 2025
5.250%
9/1/45
1,000,000
1,021,831
(c)
Decatur, TX, Municipal Corp., Special Assessment Revenue, Wise
County, Series 2025
4.750%
9/15/35
400,000
411,837
(c)
Denton County, TX, Special Assessment Revenue:
Green Meadows Public Improvement District, Improvement Area
One Project, Series 2025
5.375%
12/31/45
520,000
545,704
(c)
Green Meadows Public Improvement District, Major Improvement
Area Project, Series 2025
5.875%
12/31/45
375,000
393,122
(c)
Tabor Ranch Public Improvement District, Improvement District Area
One Project, Series A
5.250%
12/31/44
250,000
257,122
(c)
Dripping Springs, TX, Municipal Corp., Special Assessment Revenue:
Heritage Public Improvement District, Improvement Area Three
Project, Series 2025
5.375%
9/1/45
1,019,000
1,042,067
Heritage Public Improvement District, Improvement Area Two
Project, Series 2025
5.000%
9/1/44
646,000
657,751
(c)
See Notes to Schedules of Investments.

43
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
East Montgomery County, TX, GO, Municipal Utility District No 5,
Special Assessment Bonds, Series 2023, BAM
4.000%
12/1/39
 $1,140,000
 $1,143,987
El Paso County, TX, GO:
Hospital District, Series 2024, Refunding, AG
5.000%
8/15/43
5,180,000
5,569,827
Hospital District, Series 2025, AG
5.500%
2/15/50
16,250,000
17,427,509
Ennis, TX, Municipal Corp., Special Assessment Revenue, Prairieview
Public Improvement District, Improvement Area One & Two Project,
Series 2025
5.250%
9/15/45
210,000
215,697
(c)
EP Cimarron Ventanas, TX, PFC Residential Development Revenue,
Lifestyles at Los Paseos & Lifestyles on the Reserve Project
4.125%
12/1/39
3,300,000
3,300,001
EP Forty 649, TX, PFC Residential Development Revenue, Home
Essential Function, Series 2026
4.000%
1/1/37
850,000
833,185
EP LA Privada, TX, PFC Residential Development Revenue, Home
Essential Function, La Privada Apartments Project, Series 2025
4.500%
6/1/40
4,915,000
4,971,789
EP Royal Estates, TX, PFC Residential Development Revenue:
Home Essential Function, El Paso Royal Apartments Project,
Series 2024
4.250%
12/1/34
3,090,000
3,065,620
Home Essential Function, El Paso Royal Apartments Project,
Series 2024
4.250%
10/1/39
2,050,000
2,051,366
EP the Arthur, TX, PFC Residential Development Revenue, Home
Essential Function Housing Program, Series 2026
4.125%
7/1/36
1,000,000
989,303
Fate, TX, Municipal Corp., Special Assessment Revenue:
Rockwall County, Williamsburg Public Improvement, District No 1,
Series 2023
5.125%
8/15/43
718,000
736,053
(c)
Williamsburg East Public Improvement, District Area One,
Series 2020
3.375%
8/15/30
145,000
139,880
(c)
Williamsburg East Public Improvement, Series 2020
4.625%
8/15/40
158,000
153,689
(c)
Williamsburg Public Improvement District No 1, Series 2022
4.250%
8/15/42
1,204,000
1,193,889
(c)
Fort Bend County, TX, GO:
Municipal Utility District No 134, Series 2025, BAM
4.375%
9/1/41
690,000
696,042
Municipal Utility District No 134, Series 2025, BAM
4.250%
9/1/43
1,485,000
1,487,659
Municipal Utility District No 229, Series 2025, BAM
4.000%
9/1/42
1,500,000
1,477,909
Municipal Utility District No 229, Series 2025, BAM
4.250%
9/1/44
1,660,000
1,662,221
Fulshear, TX, GO, Municipal Utility District No 3A, Series 2023, AG
4.250%
9/1/41
1,005,000
1,009,306
FW Chaparral, TX, PFC Residential Development Revenue, Ranch
Project, Series 2025
5.000%
10/1/35
3,000,000
3,183,897
FW Ramble, TX, PFC Residential Development Revenue, Ramble &
Rose Project, Series 2025
4.000%
10/1/35
6,360,000
6,245,149
FW Skyline, TX, PFC Residential Development Revenue, Skyline Prairie
Homes Project, Series 2026
4.250%
4/1/39
10,265,000
10,281,456
FW Texas Street PFC Residential Development Revenue, River District
Project, Series 2025
5.000%
5/1/38
3,350,000
3,560,422
Galveston, TX, Wharves & Terminal Revenue:
First Lien, Series A
5.000%
8/1/32
1,000,000
1,082,615
(d)
First Lien, Series A
5.000%
8/1/33
1,000,000
1,089,629
(d)
First Lien, Series A
5.000%
8/1/34
965,000
1,046,767
(d)
First Lien, Series A
5.500%
8/1/40
500,000
545,847
(d)
First Lien, Series A
5.500%
8/1/41
1,400,000
1,521,249
(d)
See Notes to Schedules of Investments.

44
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
First Lien, Series A
5.500%
8/1/43
 $295,000
 $318,183
(d)
Georgetown, TX, Special Assessment Revenue, Parks at Westhaven
Public Improvement District, Series 2022
4.125%
9/15/42
1,250,000
1,242,632
(c)
Harris County, TX, Municipal Utility District No 171, GO:
Series 2023, AG
6.750%
12/1/26
1,015,000
1,029,617
Series 2023, AG
4.750%
12/1/40
1,215,000
1,251,258
Series 2024, BAM
4.000%
12/1/40
970,000
969,418
Series 2025, AG
4.125%
12/1/40
750,000
754,313
Series 2025, AG
4.125%
12/1/41
1,405,000
1,406,704
Harris County, TX, Municipal Utility District No 200, Series 2026, GO,
BAM
4.250%
4/1/43
950,000
960,374
Harris County, TX, Municipal Utility District No 490, GO:
Series 2024, AG
4.000%
9/1/40
805,000
805,394
Series 2025, BAM
4.375%
3/1/41
1,465,000
1,488,515
Series 2025, BAM
4.500%
3/1/42
1,540,000
1,569,773
Series 2025, BAM
4.500%
3/1/44
1,690,000
1,716,240
Harris County, TX, Municipal Utility District No 502, Series 2023, GO,
BAM
4.750%
9/1/37
1,060,000
1,095,568
Harris County, TX, Municipal Utility District No 540, GO:
Series 2022
5.000%
9/1/39
410,000
411,268
Series 2022
5.375%
9/1/45
580,000
579,969
Series 2022
5.500%
9/1/49
325,000
316,842
Harris County, TX, Municipal Utility District No 576, GO:
Series 2025, BAM
4.250%
3/1/40
205,000
207,835
Series 2025, BAM
4.375%
3/1/41
570,000
577,995
Series 2025, BAM
4.375%
3/1/42
655,000
662,242
Series 2025, BAM
4.375%
3/1/43
690,000
694,906
Harris County, TX, Toll Road Revenue, Series A
5.000%
8/15/44
3,260,000
3,542,980
Harris-Waller Counties, TX, Municipal Utility District No 4, GO:
Series 2022
5.000%
11/1/32
50,000
52,573
Series 2022
5.000%
11/1/34
345,000
360,898
Series 2022
5.000%
11/1/36
645,000
671,263
Series 2022
5.000%
11/1/38
275,000
284,535
Series 2022
5.250%
11/1/41
450,000
465,149
Series 2022
5.500%
11/1/44
1,250,000
1,296,697
Hays County, TX, Special Assessment Revenue:
La Cima Public Improvement District, Neighborhood Improvement
Area Three Project, Series 2022
4.750%
9/15/27
268,000
270,497
(c)
La Cima Public Improvement District, Neighborhood Improvement
Area Three Project, Series 2022
4.875%
9/15/32
560,000
587,734
(c)
La Cima Public Improvement District, Neighborhood Improvement
Area Three Project, Series 2022
5.500%
9/15/42
975,000
1,023,069
(c)
La Cima Public Improvement District, Neighborhood Improvement
Areas One & Two Project, Series 2020
3.250%
9/15/30
150,000
142,736
(c)
Horseshoe Bay, TX, Special Assessment Revenue, Public Improvement
District, Series 2020, Refunding
3.000%
10/1/30
137,000
129,734
See Notes to Schedules of Investments.

45
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
Houston, TX, Airport System Revenue:
Special Facilities, United Airlines Inc., Terminal Improvement
Project, Series B
5.500%
7/15/38
 $7,670,000
 $8,235,929
(d)
Special Facilities, United Airlines Inc., Terminal Improvement
Project, Series B
5.500%
7/15/39
11,330,000
12,112,180
(d)
Special Facilities, United Airlines Inc., Terminal Improvement
Project, Series B, Refunding
5.500%
7/15/37
2,500,000
2,678,392
(d)
Special Facilities, United Airlines Inc., Terminal Improvement
Project, Series B, Refunding
5.500%
7/15/38
3,250,000
3,465,945
(d)
Houston, TX, Airport System Special Facilities Revenue:
United Airlines Inc., Terminal Improvement Project, Series B
5.500%
7/15/36
155,000
168,294
(d)
United Airlines Inc., Terminal Improvement Project, Series B
5.500%
7/15/37
500,000
541,346
(d)
Hutto, TX, Municipal Corp., Special Assessment Revenue:
Cottonwood Creek Public Improvement, District Improvement Area
Two, Series 2025
5.125%
9/1/45
1,407,000
1,428,891
(c)
Emory Crossing Public Improvement, District Improvement Area
Two, Series 2023
4.500%
9/1/30
264,000
268,440
(c)
Prairie Winds Public Improvement District Improvement Area Two,
Series 2026
5.250%
9/1/46
470,000
472,198
(c)
Josephine, TX, Special Assessment Revenue, Morgan Farms Public
Improvement District, Improvement Area One Project, Series 2026
5.250%
9/15/46
726,000
731,021
(c)
Justin, TX, Special Assessment Revenue, Timberbrook Public
Improvement District No 2, Improvement Area One
4.500%
9/1/31
153,000
155,821
(c)
Kaufman, TX, Special Assessment Revenue, Kaufman Public
Improvement District Project, Series 2022
5.625%
9/15/42
320,000
331,090
(c)
Kyle, TX, Municipal Corp., Special Assessment Revenue:
Kyle Fifty Seven Public Improvement District, Series 2022
4.750%
9/1/32
133,000
136,421
Limestone Creek Public Improvement, District Improvement Area
One B Project, Series 2024
5.500%
9/1/44
1,100,000
1,141,688
(c)
Limestone Creek Public Improvement, District Improvement Area
One Project, Series 2023
5.500%
9/1/43
678,000
709,286
(c)
Plum Creek North Public Improvement, District Improvement Area
Two Project, Series 2024
5.000%
9/1/44
524,000
537,485
(c)
Plum Creek North Public Improvement, District Major Improvement
Area Project, Series 2022
4.375%
9/1/32
440,000
442,259
(c)
Plum Creek North Public Improvement, District Major Improvement
Area Project, Series 2022
4.625%
9/1/41
1,092,000
1,091,105
(c)
Savannah Ranch Public Improvement District Improvement Area
One Project, Series 2026
5.500%
9/1/46
440,000
445,743
Six Creeks Public Improvement, District Improvement Area Five
Project, Series 2025
4.500%
9/1/35
366,000
371,116
(c)
Six Creeks Public Improvement, District Improvement Area Four
Project, Series 2023
4.375%
9/1/28
323,000
326,073
(c)
Six Creeks Public Improvement, District Improvement Area Four
Project, Series 2023
4.500%
9/1/33
650,000
666,655
(c)
Six Creeks Public Improvement, District Improvement Area Four
Project, Series 2026
5.375%
9/1/46
643,000
652,934
See Notes to Schedules of Investments.

46
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
Southwest Kyle Public Improvement, District No 1, Improvement
Area Two Project, Series 2023
5.750%
9/1/30
 $100,000
 $103,828
(c)
Lago Vista, TX, Municipal Corp., Special Assessment Revenue:
Tessera on Lake Travis Public Improvement, District Improvement
Area One Project, Series 2020, Refunding
3.125%
9/1/30
130,000
124,644
Tessera on Lake Travis Public Improvement, District Major
Improvement Area Project, Series A, Refunding
5.000%
9/1/30
90,000
85,950
(c)
Lakes Fresh Water Supply District of Denton County, TX, GO, Utility
Bonds, BAM
4.375%
9/1/42
1,350,000
1,363,838
Lavon, TX, Municipal Corp., Special Assessment Revenue:
Elevon Public Improvement, District Improvement Area One Project,
Series 2024
5.000%
9/15/44
500,000
506,053
(c)
Elevon Public Improvement, District Improvement Areas Three &
Five, Series 2025
5.375%
9/15/45
500,000
512,954
Lakepointe Public Improvement, District Improvement Areas Two &
Three Project, Series 2022
5.250%
9/15/28
423,000
430,929
(c)
Lakepointe Public Improvement, District Improvement Areas Two &
Three Project, Series 2022
5.875%
9/15/42
655,000
707,377
(c)
Trails of Lavon Public Improvement District Projects
5.750%
9/15/45
300,000
316,063
(c)
Leander, TX, Special Assessment Revenue, Oak Creek Public
Improvement District, Series 2020, Refunding
3.250%
9/1/32
100,000
94,684
Liberty Hill, TX, Special Assessment Revenue, Summerlyn West Public
Improvement District, Series 2020
3.125%
9/1/30
75,000
71,772
(c)
Lowry Crossing, TX, Municipal Corp., Special Assessment Revenue:
Lowry Trails Public Improvement, District Improvement Area One
Project, Series 2025
5.250%
9/15/45
409,000
414,869
(c)
Simpson Road Public Improvement District Projects, Series 2025
5.750%
9/15/45
1,000,000
1,046,736
(c)
Manor, TX, Municipal Corp., Special Assessment Revenue:
Entradaglen Public Improvement District, Improvement Area One
Project, Series 2025
6.000%
9/15/36
409,000
425,943
(c)
Lagos Public Improvement District, Improvement Area One Project,
Series 2025
5.750%
9/15/45
839,000
885,600
(c)
Manor Heights Public Improvement District, Improvement Area
Three Project, Series 2023
5.250%
9/15/43
200,000
206,632
(c)
Marble Falls, TX, Special Assessment Revenue, Series 2024
6.375%
9/1/44
1,004,000
1,015,544
(c)
Matagorda County, TX, Navigation District No 1, Revenue, Houston LT
& Power Co., Refunding, AMBAC
5.125%
11/1/28
1,115,000
1,164,691
(d)
Mclendon-Chisholm, TX, Special Assessment Revenue, Series 2022
5.375%
9/15/32
155,000
164,867
(c)
Medina County, TX, Special Assessment Revenue:
Haby Farms Public Improvement District, Improvement Area Two
Project, Series 2026
4.375%
9/1/36
170,000
169,718
(c)(j)
Haby Farms Public Improvement District, Improvement Area Two
Project, Series 2026
5.250%
9/1/46
704,000
703,113
(c)(j)
Mesquite, TX, Special Assessment Revenue:
Heartland Town Center Public Improvement, District Phase 2,
Series 2023
4.000%
9/1/30
85,000
85,266
(c)
Solterra Public Improvement, District Improvement Area A-1
Projects, Series 2023
5.500%
9/1/43
1,521,000
1,597,786
(c)
See Notes to Schedules of Investments.

47
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
Solterra Public Improvement, District Improvement Area C-1
Projects, Series 2023
5.375%
9/1/43
 $102,000
 $106,254
(c)
Solterra Public Improvement, District Improvement Area C-3
Projects, Series 2024
5.000%
9/1/44
506,000
512,498
(c)
Solterra Public Improvement, District Improvement Area C-4 Project,
Series 2025
5.250%
9/1/45
730,000
739,331
Midlothian, TX, Special Assessment Revenue, Westside Preserve
Public Improvement District, Improvement Area One Project,
Series 2022
5.250%
9/15/42
1,416,000
1,434,758
(c)
Mission, TX, EDC Revenue, Permian Basin Water Resources Project,
Green Bonds
6.750%
8/15/45
1,827,000
1,916,912
(c)(d)
Mission, TX, EDC, Solid Waste Disposal Revenue:
Graphic Packaging International, LLC Project, Green Bonds
5.000%
6/1/30
3,000,000
3,111,526
(a)(b)(d)
Graphic Packaging International, LLC Project, Green Bonds
5.000%
6/1/30
1,800,000
1,867,577
(a)(b)(d)
Montgomery County, TX, Special Assessment Revenue:
Crockett Meadows Public Improvement District, Improvement Area
One Project, Series 2025
5.250%
9/15/45
1,125,000
1,139,785
Retirement Life Communities Inc., Series A
4.500%
9/15/32
475,000
480,017
Retirement Life Communities Inc., Series A
5.125%
9/15/45
675,000
682,892
Villages of Greystone Public Improvement District Project,
Series 2026
4.500%
9/15/36
600,000
602,525
(j)
Villages of Greystone Public Improvement District Project,
Series 2026
5.375%
9/15/46
636,000
642,438
(j)
Mustang Ridge, TX, Special Assessment Revenue, Series 2025
5.875%
9/1/45
705,000
743,275
(c)
New Hope, TX, Cultural Education Facilities Finance Corp., Retirement
Facility Revenue, Wesleyan Homes Inc. Project, Refunding
4.000%
1/1/29
50,000
50,497
New Hope, TX, Cultural Education Facilities Finance Corp., Student
Housing Revenue:
CHF Collegiate Housing College Station I LLC - Texas A&M
University Project, Series A
5.000%
4/1/29
65,000
65,016
NCCD College Station Properties LLC - Texas A&M University
Project, Series A
5.000%
7/1/30
170,000
168,083
NCCD College Station Properties LLC - Texas A&M University
Project, Series A
5.000%
7/1/35
165,000
163,228
NCCD College Station Properties LLC - Texas A&M University
Project, Series A
5.000%
7/1/47
135,000
131,550
North Parkway Municipal Management District No 1, TX, Special
Assessment Revenue:
Legacy Hills Public Improvement, District Phase 1A & 1B,
Series 2021
3.625%
9/15/31
50,000
49,151
(c)
Major Improvement Project, Series 2021
4.250%
9/15/31
152,000
152,509
(c)
Northlake Municipal Management District No 1, TX, GO, Unlimited Tax
Road Bonds, BAM
5.000%
3/1/40
925,000
955,430
Northwood Municipal Utility District No 1, TX, GO, Unlimited Tax,
Refunding
4.000%
8/1/31
500,000
500,030
(c)
NTHP Lakewest Senior Inc., TX, Residential Development Revenue,
Village at Lakewest Apartments, Series 2026
4.625%
5/1/41
7,250,000
7,332,414
See Notes to Schedules of Investments.

48
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
Oak Point, TX, Special Assessment Revenue, Chaparral Park Public
Improvement, District Improvement Area One Project, Series 2024
4.250%
9/15/31
 $409,000
 $409,752
(c)
Pilot Point, TX, Special Assessment Revenue:
Creekview Public Improvement, District Zone A, Improvement Area
One Project, Series 2022
5.250%
9/15/32
150,000
155,597
(c)
Creekview Public Improvement, District Zone A, Improvement Area
One Project, Series 2022
5.750%
9/15/32
144,000
149,648
(c)
Port Arthur, TX, Housing Authority Revenue, Willow Lakes Project,
Subordinate Bonds, Series A
7.500%
10/1/36
2,000,000
1,964,185
(c)
Princeton, TX, Municipal Corp., Special Assessment Revenue:
Eastridge Public Improvement, District Improvement Area One
Project, Series 2022
5.125%
9/1/42
850,000
879,431
(c)
Eastridge Public Improvement, District Improvement Area One
Project, Series 2025
5.250%
9/1/45
300,000
307,096
(c)
Eastridge Public Improvement, District Improvement Area Six
Project, Series 2026
5.200%
9/1/46
700,000
705,045
(c)(j)
Southridge Public Improvement, District Improvement Area Four
Project, Series 2025
5.250%
9/1/45
563,000
571,211
Southridge Public Improvement, District Improvement Area One
Project, Series 2023
5.500%
9/1/30
54,000
55,979
(c)
Southridge Public Improvement, District Improvement Area Three
Project, Series 2025
5.750%
9/1/45
854,000
899,781
(c)
Southridge Public Improvement, District Improvement Area Two
Project, Series 2024
5.250%
9/1/44
1,261,000
1,290,890
(c)
Westridge Public Improvement, District Improvement Area One
Project, Series 2025
5.375%
9/1/45
544,000
551,734
(c)
Whitewing Trails Public Improvement, District No 2 Phase 2 Project,
Series 2023
4.250%
9/1/30
99,000
99,517
(c)
Whitewing Trails Public Improvement, District No 2, Series 2026
5.250%
9/1/46
1,000,000
1,008,527
Winchester Crossing Public Improvement, District No 3 Project,
Series 2024
4.375%
9/1/31
290,000
292,108
(c)
Winchester Crossing Public Improvement, District No 3 Project,
Series 2024
5.125%
9/1/44
1,250,000
1,270,309
(c)
Winchester Public Improvement, District No 2 Project, Series 2022
5.125%
9/1/42
1,511,000
1,544,402
(c)
Winchester Public Improvement, District Phase 1 & 2 Project,
Series 2020
3.250%
9/1/30
100,000
96,168
(c)
Winchester Public Improvement, District Phase 3 & 4 Project,
Series 2021
2.875%
9/1/31
100,000
93,039
(c)
Windmore Public Improvement, District Improvement Area One
Project, Series 2024
5.125%
9/1/44
821,000
838,290
(c)
Windmore Public Improvement, District Improvement Area Two
Project, Series 2025
5.750%
9/1/45
811,000
849,261
(c)
Reagan County, TX, GO, Reagan Hospital District:
Series 2026
4.625%
8/1/36
1,340,000
1,368,556
Series 2026
6.000%
8/1/46
1,200,000
1,278,351
Rowlett, TX, Special Assessment Revenue, Trails at Cottonwood Creek
Public Improvement District Neighborhood, Improvement Areas Two-
Three Project, Series 2026
5.375%
9/15/46
619,000
625,274
See Notes to Schedules of Investments.

49
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
Royse City, TX, Municipal Corp., Special Assessment Revenue:
Clearview Ranch Public Improvement, District North Zone
Improvement Area One Project, Series 2025
5.750%
9/15/45
 $605,000
 $637,017
(c)
Clearview Ranch Public Improvement, District South Zone
Improvement Area One Project, Series 2024
5.250%
9/15/44
457,000
466,636
(c)
Creekshaw Public Improvement, District Major Improvement Area
Project, Series 2020
4.875%
9/15/40
375,000
378,569
(c)
Liberty Crossing Public Improvement, District Improvement Area
Two Project, Series 2024
5.375%
9/15/44
685,000
703,984
(c)
Sachse, TX, Municipal Corp., Special Assessment Revenue:
Sachse Public Improvement, District Improvement Area One Project,
Series 2022
5.000%
9/15/28
173,000
176,715
(c)
Sachse Public Improvement, District Improvement Area One Project,
Series 2022
5.625%
9/15/42
460,000
496,295
(c)
Sachse, TX, Special Assessment Revenue:
Sachse Public Improvement, District Improvement Areas Two &
Three Project, Series 2022
6.875%
9/15/42
310,000
342,782
(c)
Sachse Public Improvement, District Improvement Areas Two &
Three Project, Series 2022
6.000%
9/15/28
100,000
103,019
(c)
Seagoville, TX, Special Assessment Revenue, Stonehaven Public
Improvement, District Improvement Area One
5.750%
9/15/45
650,000
680,379
(c)
Sienna, TX, Municipal Utility District No 6, TX, GO:
Series 2024, BAM
4.125%
9/1/41
1,105,000
1,105,883
Series 2024, BAM
4.125%
9/1/42
1,030,000
1,029,910
South Manvel Development Authority, TX, Tax Increment Revenue:
Series 2023
5.000%
4/1/38
845,000
868,071
Series 2026, AG
4.000%
4/1/41
850,000
829,757
Southeast Regional Management District, TX, GO, Unlimited Tax Road
Bonds, Refunding, AG
4.000%
4/1/43
500,000
493,067
Tarrant County, TX, Cultural Education Facilities Finance Corp., Hospital
Revenue, Baylor Scott & White Health Project, Series E, Refunding
5.000%
11/15/43
2,000,000
2,195,089
Tarrant County, TX, Karis Municipal Management District, Special
Assessment Revenue, Improvement Area One, Series 2024
5.000%
12/1/44
746,000
748,175
Texas State Department of Housing & Community Affairs, GNMA -
Collateralized, Series B
4.650%
7/1/40
995,000
1,025,950
Texas State Municipal Gas Acquisition & Supply Corp., Gas Supply
Revenue:
Series 2021, Refunding
5.000%
12/15/32
5,220,000
5,555,488
Series 2024
5.000%
1/1/34
3,750,000
4,002,210
(a)(b)
Series 2025
5.000%
1/1/36
13,700,000
14,520,736
Series 2026
5.000%
4/1/36
22,285,000
23,591,877
Series B
5.500%
1/1/34
5,595,000
6,120,371
(a)(b)
Tomball, TX, Municipal Corp., Special Assessment Revenue:
Raburn Reserve Public Improvement, District Improvement Area
One, Series 2020
3.375%
9/15/30
100,000
97,122
(c)
Raburn Reserve Public Improvement, District Improvement Area
Two, Series 2023
4.875%
9/15/33
145,000
149,843
(c)
Winfrey Estates Public Improvement District, Series 2025
5.750%
9/15/45
415,000
440,066
(c)
See Notes to Schedules of Investments.

50
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — continued
Town of Providence Village, TX, Municipal Corp., Special Assessment
Revenue:
Foree Ranch Public Improvement, District Improvement Area One
Project, Series 2024
4.375%
9/1/31
 $231,000
 $232,970
(c)
Foree Ranch Public Improvement, District Improvement Area One
Project, Series 2024
5.000%
9/1/44
445,000
452,141
(c)
Foree Ranch Public Improvement, District Improvement Area Two
Project, Series 2025
5.350%
9/1/45
775,000
788,605
(c)
Travis County Development Authority, TX, Contract Assessment
Revenue:
Turner’s Crossing Public Improvement, District Improvement Area
One Commercial Lot 98 & Improvement Area Two Project,
Series 2025
5.000%
9/1/44
285,000
288,508
Turner’s Crossing Public Improvement, District Improvement Area
Three Project, Series 2025
5.350%
9/1/46
450,000
455,611
(c)
Travis County, TX, Municipal Utility District No 19, GO, Series 2025, AG
4.125%
9/1/41
900,000
901,478
Travis County, TX, Municipal Utility District No 22, GO:
Series A
5.750%
9/1/38
565,000
576,984
Series B
6.000%
9/1/42
595,000
606,857
Trinity River, TX, PFC Revenue, Hughes House II Project, Series A
5.000%
6/1/44
3,300,000
3,441,799
(j)
Uhland, TX, Special Assessment Revenue:
Anderson Park Public Improvement, District Improvement Area One
Project, Series 2024
5.125%
9/1/44
710,000
721,914
(c)
Watermill Public Improvement District, Series 2022
5.750%
9/1/27
129,000
130,868
(c)
Viridian, TX, Municipal Management District, Special Assessment
Revenue, Series 2020
2.875%
12/1/30
100,000
94,182
Walden Pond, TX, Fresh Water Supply District, GO:
Unlimited Tax Road Bonds
6.000%
9/1/32
195,000
203,366
Unlimited Tax Road Bonds
6.250%
9/1/47
420,000
426,273
Westpointe Special Improvement District, TX, GO:
Limited Ad Valorem Tax Bonds, Series 2025, AG
5.000%
8/15/40
350,000
367,205
Limited Ad Valorem Tax Bonds, Series 2025, AG
5.000%
8/15/45
350,000
361,983
Limited Ad Valorem Tax Road Bonds, BAM
5.000%
8/15/41
550,000
578,001
Westside, Special Improvement District No 211, TX, GO:
Limited Ad Valorem Tax and Subordinate Lien Sales and Use Tax
Road Bonds, Series 2025, BAM
5.000%
8/15/40
400,000
414,907
Limited Ad Valorem Tax and Subordinate Lien Sales and Use Tax
Road Bonds, Series 2025, BAM
5.000%
8/15/45
500,000
512,180
Wharton, TX, Special Assessment Revenue, Wharton Public
Improvement District No 2, Series 2025
5.750%
9/15/45
225,000
235,516
(c)
Williamson County, TX, Municipal Utility District No 26, GO:
Series 2025, BAM
4.000%
8/15/41
810,000
798,947
Series 2025, BAM
4.250%
8/15/42
855,000
858,369
Series 2025, BAM
4.250%
8/15/43
900,000
902,357
Total Texas
308,283,213
U.S. Virgin Islands — 0.0%††
 
U.S. Virgin Islands Matching Fund Special Purpose Securitization Corp.
Revenue, Series A, Refunding
5.000%
10/1/30
810,000
852,740
See Notes to Schedules of Investments.

51
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Utah — 0.3%
Military Installation Development Authority, UT, Tax Allocation
Revenue, Series A-2
4.000%
6/1/36
 $250,000
 $245,404
Utah State Charter School Finance Authority, Charter School Revenue:
Wallace Stegner Academy, Series A
5.250%
6/15/32
225,000
230,459
(c)
Wallace Stegner Academy, Series A
5.625%
6/15/42
500,000
506,748
(c)
Utah State Infrastructure Agency, Tax-Exempt Telecommunications
Revenue:
Series 2021
4.000%
10/15/41
500,000
474,070
Series 2022
5.000%
10/15/32
500,000
533,232
Series 2022
5.000%
10/15/37
100,000
104,586
Series 2022
5.000%
10/15/46
100,000
101,134
Series 2023
6.000%
10/15/47
100,000
109,397
Series 2025
5.250%
10/15/40
1,335,000
1,422,970
Utah State Infrastructure Agency, Telecommunications Revenue:
Series 2021
4.000%
10/15/36
1,345,000
1,315,151
Series 2021
4.000%
10/15/38
1,500,000
1,454,533
Series 2024
5.250%
10/15/39
565,000
607,811
Series 2024
5.500%
10/15/44
160,000
170,948
Total Utah
7,276,443
Virginia — 0.5%
Peninsula Town Center, VA, Community Development District, Special
Assessment Revenue, Refunding
4.500%
9/1/28
100,000
100,782
(c)
Virginia Beach, VA, Development Authority, Residential Care Facilities
Revenue, Westminster-Canterbury On Chesapeake Bay
5.750%
9/1/30
1,000,000
1,002,715
Virginia State College Building Authority Revenue, Regent University
Project
6.000%
6/1/50
1,900,000
2,022,251
Virginia State HDA Revenue, Rental Housing Bonds
4.500%
10/1/40
750,000
763,406
Virginia State Small Business Financing Authority Revenue:
Residential Care Facilities, Lifespire of Virginia, Series A, Refunding
4.500%
12/1/44
3,290,000
3,313,492
The Obligated Group of National Senior Campuses Inc., Refunding
4.000%
1/1/36
4,185,000
4,274,403
Total Virginia
11,477,049
Washington — 1.6%
Energy Northwest, WA, Columbia Generating Station, Electric
Revenue, Series A, Refunding
4.000%
7/1/42
5,470,000
5,500,804
Jefferson County, WA, Hospital Revenue, Public Hospital District,
Refunding
5.750%
12/1/33
460,000
466,257
King County, WA, Housing Authority Revenue:
Birch Creek Apartments Project, County GTD
5.500%
5/1/38
1,000,000
1,027,115
Refunding
5.375%
7/1/45
1,000,000
1,068,305
Skagit County, WA, Public Hospital District Revenue, Refunding
5.000%
12/1/29
100,000
100,577
Spokane County, IA, Washington Airport Revenue, Series B
5.250%
1/1/41
1,600,000
1,721,065
(d)
Vancouver, WA, Housing Authority Revenue:
Cascara Project, Series A
4.250%
12/1/42
1,660,000
1,650,244
Cascara Project, Series A
5.000%
12/1/42
1,500,000
1,670,881
Cougar Creek Project, Series A
4.500%
10/1/42
1,250,000
1,267,566
Fishers Mill and Willow Creek Projects, Series 2025
5.000%
8/1/40
1,225,000
1,271,132
Fourth Plain Commons, Series 2025, Refunding
4.125%
12/1/39
3,255,000
3,185,552
See Notes to Schedules of Investments.

52
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Washington — continued
Jens Pointe Project, Series 2025
4.250%
2/1/38
 $3,000,000
 $3,051,685
Navalia and Alena Projects, Series 2024
4.000%
8/1/34
1,000,000
991,480
Washington State Health Care Facilities Authority Revenue, Seattle
Cancer Care Alliance, Refunding
3.000%
12/1/34
125,000
118,312
(c)
Washington State HFC Revenue:
Blakeley and Laurel Villages Portfolio, BAM
5.000%
7/1/45
1,000,000
1,040,099
(c)
Bonds for Emerald Heights Project, Refunding
5.000%
7/1/38
2,165,000
2,300,059
Bonds for Emerald Heights Project, Refunding
5.000%
7/1/43
1,060,000
1,111,138
Eliseo Project, Refunding
4.000%
1/1/31
100,000
97,610
(c)
Madison at River’s Edge Project
3.650%
1/1/37
100,000
87,282
(c)
Presbyterian Retirement Communities Northwest Obligated Group
Transforming Age Projects
5.000%
1/1/34
100,000
102,649
(c)
Rockwood Retirement Communities Project
5.000%
1/1/32
100,000
101,849
(c)
Seattle Academy of Arts and Sciences Project, Series 2023,
Refunding
5.625%
7/1/38
430,000
464,821
(c)
Seattle Academy of Arts and Sciences Project, Series 2023,
Refunding
5.875%
7/1/43
500,000
536,034
(c)
Washington State HFC, Non-Profit Housing Revenue, Series 1N,
Refunding, GNMA/FNMA/FHLMC
4.300%
12/1/41
5,000,000
5,000,859
Whatcom County, WA, Public Utility District, GO:
Private Activity, BAM
5.250%
12/1/36
800,000
883,636
(d)
Private Activity, BAM
5.250%
12/1/39
1,240,000
1,351,236
(d)
Total Washington
36,168,247
West Virginia — 0.2%
Ohio County, WV, Tax Increment Revenue, The Highlands Project,
Series 2024, Refunding
5.250%
6/1/44
2,750,000
2,857,018
West Virginia State Hospital Finance Authority, Hospital Revenue,
Series A
4.250%
6/1/47
2,095,000
2,037,165
Total West Virginia
4,894,183
Wisconsin — 1.9%
Public Finance Authority, WI, Revenue:
Affordable Housing Preservation Corp., Series A-1, Refunding
5.375%
12/1/36
900,000
939,629
Affordable Housing Preservation Corp., Series A-2, Refunding Step
bond (0.000% to 12/1/38 then 6.375%)
0.000%
12/1/45
235,500
122,116
Aggie Apartment Life Holding Corp. II LLC Project, Series A
5.000%
6/1/39
960,000
1,010,532
Aggie Apartment Life Holding Corp. II LLC Project, Series A
5.000%
6/1/44
1,015,000
1,041,916
Bluehub Loan Fund Issue, Green Bonds, Series B
5.250%
7/1/44
1,000,000
1,072,911
Clipper Cove Apartments Project, Series 2026
7.500%
11/1/36
2,100,000
2,071,181
(c)
Coral Academy of Science Las Vegas, Series A
5.000%
7/1/45
1,805,000
1,806,840
Coral Academy of Science Reno, Series A
5.375%
6/1/37
670,000
673,736
(c)
ELME Germantown Apartments, Series A-1
4.000%
5/1/36
5,265,000
5,156,541
Eno River Academy Project, Series A
5.000%
6/15/40
815,000
819,026
(c)
Estancia Valley Classical Academy, Series A, Refunding
4.000%
7/1/31
95,000
90,355
(c)
Foundation Academy Charter School Project, Series 2024
5.000%
7/1/35
700,000
736,218
(c)
Foundation Academy Charter School Project, Series 2024
4.750%
7/1/45
3,100,000
2,956,401
(c)
Friends Homes, Series 2019, Refunding
4.000%
9/1/29
85,000
86,084
(c)
Inperium Project, Series A
6.000%
12/1/45
825,000
878,665
(c)(j)
See Notes to Schedules of Investments.

53
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Wisconsin — continued
KSU Bixby Real Estate Foundation LLC Project, Series A
5.250%
6/15/45
 $500,000
 $540,223
KSU Bixby Real Estate Foundation LLC Project, Series B
5.250%
6/15/45
275,000
292,051
Marys Woods at Marylhurst Project, Series A, Refunding
5.250%
5/15/47
330,000
330,570
(c)
Multi-Family Affordable Housing Certificates, Series 1
6.810%
4/28/36
500,000
519,231
(c)
Multi-Family Affordable Housing Certificates, Series 2023-1
7.125%
7/25/34
380,000
394,176
(c)
National Senior Communities Inc. Obligated Group, Series 2022
4.000%
1/1/42
1,375,000
1,337,038
North East Carolina Preparatory School Project, Series A, Refunding
4.250%
6/15/34
800,000
811,651
Ocean Academy Charter School Project, Series 2021
4.000%
10/15/31
565,000
545,983
(c)
Patriot Services Group Portfolio Restructuring, Series B
0.000%
12/1/35
950,000
556,271
(c)
Patriot Services Group, Portfolio Restructuring, Series A-1,
Refunding
4.500%
12/1/31
500,000
502,462
(c)
Retirement Facilities First Mortgage, Whitestone, Series A
5.250%
3/1/45
750,000
751,300
(c)
Signature Preparatory, Series A
5.000%
6/15/31
675,000
681,679
(c)
Slam Academy of Nevada Project, Series A
5.000%
7/15/36
1,165,000
1,197,761
(c)
Slam Academy of Nevada Project, Series A
5.000%
7/15/46
850,000
840,872
(c)
Tree House Apartments Project, Series B
6.625%
2/1/46
275,000
234,217
(c)
Triad Educational Services Inc., Series 2022
5.000%
6/15/42
145,000
145,502
Triad Educational Services Inc., Series 2025, Refunding
5.250%
6/15/45
3,430,000
3,465,508
Triad Educational Services Inc., Series 2026, Refunding
5.000%
6/15/36
1,500,000
1,534,246
(c)
Triad Educational Services Inc., Series A
4.000%
6/15/30
335,000
333,996
Ultimate Medical Academy Project, Series A, Refunding
5.000%
10/1/29
600,000
629,219
(c)
Whitestone Retirement Facilities First Mortgage, Refunding
4.000%
3/1/27
10,000
9,991
(c)
Whitestone Retirement Facilities First Mortgage, Refunding
5.000%
3/1/37
1,385,000
1,393,308
(c)
Wisconsin State HEFA Revenue:
Covenant Communities Inc. Project Third Tier, Series C
6.500%
7/1/33
10,000
9,917
Covenant Communities Inc. Project Third Tier, Series C
7.000%
7/1/43
505,000
487,754
Saint John’s Communities Inc., Series 2022, Refunding
4.000%
9/15/41
1,050,000
1,000,913
Saint John’s Communities Inc., Series 2022, Refunding
4.000%
9/15/45
750,000
682,343
Saint John’s Communities Inc., Series B, Refunding
4.000%
9/15/41
510,000
486,158
Three Pillars Senior Living Communities, Series A
5.500%
8/15/44
305,000
326,592
Three Pillars Senior Living Communities, Series B-2
4.200%
8/15/28
70,000
70,010
Wisconsin State Housing and EDA Revenue, Series A, GNMA/FNMA/
FHLMC
4.500%
3/1/44
4,575,000
4,592,569
Total Wisconsin
44,165,662
Wyoming — 0.1%
Wyoming, State, CDA Revenue, Series 2026, GNMA/FNMA/FHLMC
4.350%
12/1/41
3,255,000
3,243,102
 
Total Municipal Bonds (Cost — $2,098,926,956)
2,136,024,930
Corporate Bonds & Notes — 0.3%
Consumer Discretionary — 0.3%
Diversified Consumer Services — 0.3%
Grand Canyon University, Secured Notes (Cost — $7,197,897)
5.125%
10/1/28
7,500,000
7,406,850
See Notes to Schedules of Investments.

54
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
 
Expiration
Date
Warrants
Value
Warrants — 0.0%††
Industrials — 0.0%††
Ground Transportation — 0.0%††
DesertXpress Enterprises LLC (Cost — $0)
12/1/35
8,700
 $0
*(f)(g)(k)
Total Investments before Short-Term Investments (Cost — $2,106,124,853)
2,143,431,780
 
 
Rate
Maturity
Date
Face
Amount
 
Short-Term Investments — 6.9%
Municipal Bonds — 6.9%
Arizona — 0.3%
 
Arizona State Health Facilities Authority Revenue, Banner Health
Obligated Group, Series C, LOC - Bank of America N.A.
2.900%
1/1/46
 $6,000,000
6,000,000
(l)(m)
California — 0.3%
Eastern California Municipal Water District Revenue, Series A,
Refunding, SPA - Bank of America N.A.
2.450%
7/1/46
6,360,000
6,360,000
(l)(m)
Regents of the University of California General Revenue, Series AL-1,
Refunding
2.550%
5/15/48
500,000
500,000
(l)(m)
Total California
6,860,000
Colorado — 0.1%
 
Colorado State Health Facilities Authority Revenue, Children’s
Hospital, Refunding, LOC - TD Bank N.A.
2.900%
12/1/52
2,600,000
2,600,000
(l)(m)
Connecticut — 0.3%
Connecticut State HEFA Revenue:
Yale University Issue, Series A-1, Refunding
2.750%
7/1/42
2,500,000
2,500,000
(l)(m)
Yale University Issue, Series C-3
2.600%
7/1/57
5,000,000
5,000,000
(l)(m)
Total Connecticut
7,500,000
Florida — 0.3%
 
Hillsborough County, FL, IDA Revenue, Baycare Health System, Series
D, Refunding, LOC - TD Bank N.A.
3.030%
11/15/42
7,500,000
7,500,000
(l)(m)
Georgia — 0.7%
 
Roswell Development Authority, GA, Revenue, Wellstar
Healthcare Inc., LOC - Truist Bank N.A.
2.900%
4/1/47
15,090,000
15,090,000
(l)(m)
Michigan — 0.0%††
 
Green Lake Township, MI, EDC, The Township of Green Lake Michigan
Variable Rate Demand Revenue, Series 2004, Refunding, LOC - PNC
Bank N.A.
2.900%
6/1/34
300,000
300,000
(l)(m)
Minnesota — 0.8%
 
Rochester, MN, Health Care Facilities Variable Rate Revenue, Mayo
Clinic, Series D, LOC - Barclays Bank PLC
2.500%
11/15/64
17,900,000
17,900,000
(l)(m)
Missouri — 0.9%
 
Missouri State HEFA Revenue, Series F
2.900%
6/1/44
19,615,000
19,615,000
(l)(m)
New Jersey — 1.0%
New Jersey State Health Care Facilities Financing Authority Revenue:
RWJ Barnabas Health Obligated Group Issue, Series B, LOC - TD
Bank N.A.
2.600%
7/1/61
12,500,000
12,500,000
(l)(m)
Series B, LOC - JPMorgan Chase & Co.
1.750%
7/1/43
7,500,000
7,500,000
(l)(m)
Series C, LOC - JPMorgan Chase & Co.
1.800%
7/1/43
2,000,000
2,000,000
(l)(m)
Total New Jersey
22,000,000
See Notes to Schedules of Investments.

55
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
New York — 0.2%
New York City, NY, GO, Fiscal 2014, Series I, SPA - U.S. Bank N.A.
3.300%
3/1/44
 $1,000,000
 $1,000,000
(l)(m)
New York City, NY, Municipal Water Finance Authority, Water & Sewer
System Revenue, Second General Resolution, Series BB-1, SPA - State
Street Bank & Trust Co.
3.050%
6/15/49
2,600,000
2,600,000
(l)(m)
New York City, NY, TFA, Future Tax Secured Revenue, Subordinated,
Subseries D-3, SPA - Mizuho Bank Ltd.
2.980%
2/1/44
1,000,000
1,000,000
(l)(m)
Total New York
4,600,000
North Carolina — 0.1%
 
Charlotte-Mecklenburg Hospital Authority, NC, Health Care Revenue
System, Atrium Health, Series G, SPA - JPMorgan Chase & Co.
2.850%
1/15/48
3,000,000
3,000,000
(l)(m)
Oregon — 0.2%
 
Oregon State Facilities Authority Revenue, Peacehealth, Series A,
Refunding, LOC - U.S. Bank N.A.
3.200%
8/1/34
5,300,000
5,300,000
(l)(m)
Pennsylvania — 1.5%
Philadelphia, PA, Authority for IDR:
The Children’s Hospital of Philadelphia Project, Series B-1, SPA -
JPMorgan Chase & Co.
2.850%
7/1/54
22,800,000
22,800,000
(l)(m)
The Children’s Hospital of Philadelphia Project, Series B-2, SPA -
JPMorgan Chase & Co.
2.850%
7/1/54
12,700,000
12,700,000
(l)(m)
Total Pennsylvania
35,500,000
Virginia — 0.2%
Albemarle County, VA, EDA Revenue, Sentara Martha Jefferson
Hospital, Series B, Refunding, SPA - TD Bank N.A.
2.900%
10/1/48
1,000,000
1,000,000
(l)(m)
Virginia State Small Business Financing Authority Revenue, Carilion
Clinic Obligated Group, Series A, LOC - Truist Bank N.A.
2.900%
7/1/42
3,600,000
3,600,000
(l)(m)
Total Virginia
4,600,000
 
Total Short-Term Investments (Cost — $158,365,000)
158,365,000
Total Investments — 100.1% (Cost — $2,264,489,853)
2,301,796,780
Liabilities in Excess of Other Assets — (0.1)%
(1,633,702
)
Total Net Assets — 100.0%
$2,300,163,078
See Notes to Schedules of Investments.

56
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Dynamic Municipal Bond ETF
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Maturity date shown represents the mandatory tender date.
(b)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(c)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(d)
Income from this issue is considered a preference item for purposes of calculating the alternative minimum tax (AMT).
(e)
The coupon payment on this security is currently in default as of June 30, 2026.
(f)
Security is fair valued in accordance with procedures approved by the Board of Trustees(Note 1).
(g)
Security is valued using significant unobservable inputs(Note 1).
(h)
Bonds are generally escrowed to maturity by government securities and/or U.S. government agency securities.
(i)
Pre-Refunded bonds are generally escrowed with U.S. government obligations and/or U.S. government agency securities.
(j)
Securities traded on a when-issued or delayed delivery basis.
(k)
Value is less than $1.
(l)
Variable rate demand obligations (“VRDOs”) have a demand feature under which the Fund can tender them back to the issuer or liquidity provider on no
more than 7 days notice. The interest rate generally resets on a daily or weekly basis and is determined on the specific interest rate reset date by the
remarketing agent, pursuant to a formula specified in official documents for the VRDO, or set at the highest rate allowable as specified in official
documents for the VRDO. VRDOs are benchmarked to the Securities Industry and Financial Markets Association (“SIFMA”) Municipal Swap Index. The
SIFMA Municipal Swap Index is compiled from weekly interest rate resets of tax-exempt VRDOs reported to the Municipal Securities Rulemaking Board’s
Short-term Obligation Rate Transparency System.
(m)
Maturity date shown is the final maturity date. The security may be sold back to the issuer before final maturity.
See Notes to Schedules of Investments.

57
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Dynamic Municipal Bond ETF
Abbreviation(s) used in this schedule:
AG
Assured Guaranty — Insured Bonds
AG-CR
Assured Guaranty — Credit Related
AMBAC
American Municipal Bond Assurance Corporation — Insured Bonds
BAM
Build America Mutual — Insured Bonds
CAB
Capital Appreciation Bonds
CDA
Communities Development Authority
COP
Certificates of Participation
DFA
Development Finance Agency
EDA
Economic Development Authority
EDC
Economic Development Corporation
FHA
Federal Housing Administration — Insured Bonds
FHLMC
Federal Home Loan Mortgage Corporation
FNMA
Federal National Mortgage Association
GNMA
Government National Mortgage Association
GO
General Obligation
GTD
Guaranteed
HDA
Housing Development Authority
HDC
Housing Development Corporation
HEFA
Health & Educational Facilities Authority
HFA
Housing Finance Agency
HFC
Housing Finance Commission
IDA
Industrial Development Authority
IDR
Industrial Development Revenue
LIQ
Liquidity Facility
LOC
Letter of Credit
MFA
Municipal Finance Authority
MFH
Multi-Family Housing
MTA
Metropolitan Transportation Authority
NATL
National Public Finance Guarantee Corporation — Insured Bonds
PCFA
Pollution Control Financing Authority
PEA
Public Energy Authority
PFC
Public Facilities Corporation
SOFR
Secured Overnight Financing Rate
SPA
Standby Bond Purchase Agreement — Insured Bonds
TCRS
Transferable Custodial Receipts
TFA
Transitional Finance Authority
USD
Unified School District
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

58
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Exponential Data ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 99.0%
Communication Services — 21.2%
Entertainment — 3.6%
Netflix Inc.
475
 $33,915
*
ROBLOX Corp., Class A Shares
180
9,788
*
Roku Inc.
649
89,653
*
Total Entertainment
133,356
Interactive Media & Services — 16.0%
Alphabet Inc., Class A Shares
1,012
361,658
Meta Platforms Inc., Class A Shares
423
238,272
Total Interactive Media & Services
599,930
Wireless Telecommunication Services — 1.6%
T-Mobile US Inc.
358
60,048
 
Total Communication Services
793,334
Financials — 2.2%
Capital Markets — 2.2%
Bullish
198
4,639
*
Coinbase Global Inc., Class A Shares
144
21,052
*
Robinhood Markets Inc., Class A Shares
246
24,669
*
Tradeweb Markets Inc., Class A Shares
317
31,592
 
Total Financials
81,952
Industrials — 0.3%
Professional Services — 0.3%
Verisk Analytics Inc.
52
9,335
 
Information Technology — 72.4%
Communications Equipment — 3.7%
Arista Networks Inc.
478
81,203
*
Ciena Corp.
61
29,924
*
Lumentum Holdings Inc.
34
29,174
*
Total Communications Equipment
140,301
Electronic Equipment, Instruments & Components — 1.3%
Celestica Inc.
76
27,725
*
Keysight Technologies Inc.
57
19,954
*
Total Electronic Equipment, Instruments & Components
47,679
IT Services — 22.1%
Akamai Technologies Inc.
248
29,316
*
Cloudflare Inc., Class A Shares
1,532
375,769
*
CoreWeave Inc., Class A Shares
650
64,701
*
MongoDB Inc.
414
139,062
*
Okta Inc.
244
33,294
*
Snowflake Inc.
732
186,294
*
Total IT Services
828,436
Software — 41.6%
AppLovin Corp., Class A Shares
361
185,998
*
Aurora Innovation Inc.
2,482
16,927
*
Autodesk Inc.
37
7,194
*
Bentley Systems Inc., Class B Shares
268
8,011
Cadence Design Systems Inc.
67
25,146
*
See Notes to Schedules of Investments.

59
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Exponential Data ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Software — continued
Circle Internet Group Inc.
110
 $6,889
*
Constellation Software Inc.
7
13,174
CrowdStrike Holdings Inc., Class A Shares
213
162,549
*
Datadog Inc., Class A Shares
585
152,311
*
Descartes Systems Group Inc.
243
16,825
*
Figma Inc., Class A Shares
107
1,936
*
Fortinet Inc.
202
31,031
*
Gitlab Inc., Class A Shares
214
6,533
*
Guidewire Software Inc.
65
7,998
*
JFrog Ltd.
1,406
127,777
*
Microsoft Corp.
353
131,676
Monday.com Ltd.
166
12,017
*
Nebius Group NV
335
92,517
*
Oracle Corp.
667
97,749
Palantir Technologies Inc., Class A Shares
599
69,885
*
Palo Alto Networks Inc.
493
168,123
*
Qualys Inc.
86
11,824
*
Rubrik Inc., Class A Shares
197
15,815
*
Salesforce Inc.
101
15,823
Samsara Inc., Class A Shares
297
9,632
*
SAP SE, ADR
51
7,860
SentinelOne Inc., Class A Shares
1,341
22,757
*
ServiceNow Inc.
301
29,883
*
ServiceTitan Inc., Class A Shares
258
18,243
*
Trend Micro Inc.
675
24,844
Unity Software Inc.
925
26,437
*
Zscaler Inc.
228
32,182
*
Total Software
1,557,566
Technology Hardware, Storage & Peripherals — 3.7%
Sandisk Corp.
36
81,854
*
Western Digital Corp.
89
56,846
Total Technology Hardware, Storage & Peripherals
138,700
 
Total Information Technology
2,712,682
Real Estate — 2.9%
Specialized REITs — 2.9%
Crown Castle Inc.
448
33,927
Equinix Inc.
38
39,611
SBA Communications Corp.
199
35,115
 
Total Real Estate
108,653
Total Investments before Short-Term Investments (Cost — $2,846,311)
3,705,956
 
 
Rate
 
 
 
Short-Term Investments — 0.8%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares (Cost — $32,265)
3.545%
32,265
32,265
(a)(b)
Total Investments — 99.8% (Cost — $2,878,576)
3,738,221
Other Assets in Excess of Liabilities — 0.2%
6,377
Total Net Assets — 100.0%
$3,744,598
See Notes to Schedules of Investments.

60
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Exponential Data ETF
*
Non-income producing security.
(a)
Rate shown is one-day yield as of the end of the reporting period.
(b)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $32,265 and the cost was $32,265 (Note 3).
Abbreviation(s) used in this schedule:
ADR
American Depositary Receipts
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

61
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Focused Dynamic Growth ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 99.3%
Communication Services — 12.4%
Entertainment — 0.5%
Netflix Inc.
24,361
 $1,739,376
*
Interactive Media & Services — 11.9%
Alphabet Inc., Class A Shares
74,146
26,497,556
Meta Platforms Inc., Class A Shares
18,587
10,469,871
Total Interactive Media & Services
36,967,427
 
Total Communication Services
38,706,803
Consumer Discretionary — 11.6%
Automobiles — 2.5%
Tesla Inc.
18,521
7,789,933
*
Broadline Retail — 8.7%
Amazon.com Inc.
107,971
25,733,808
*
MercadoLibre Inc.
821
1,393,557
*
Total Broadline Retail
27,127,365
Specialty Retail — 0.4%
Carvana Co.
19,786
1,302,314
*
 
Total Consumer Discretionary
36,219,612
Energy — 0.7%
Energy Equipment & Services — 0.7%
TechnipFMC PLC
34,005
2,254,531
 
Financials — 2.5%
Financial Services — 2.5%
Mastercard Inc., Class A Shares
15,150
7,781,040
 
Health Care — 6.2%
Biotechnology — 2.5%
Ascendis Pharma A/S
13,117
3,498,566
*
Natera Inc.
16,061
4,359,759
*
Total Biotechnology
7,858,325
Health Care Equipment & Supplies — 0.7%
Intuitive Surgical Inc.
5,139
2,043,677
*
Pharmaceuticals — 3.0%
Eli Lilly & Co.
5,623
6,744,395
Jazz Pharmaceuticals PLC
10,574
2,548,017
*
Total Pharmaceuticals
9,292,412
 
Total Health Care
19,194,414
Industrials — 6.5%
Aerospace & Defense — 1.0%
Elbit Systems Ltd.
1,422
1,078,900
Rocket Lab Corp.
18,323
1,862,533
*
Total Aerospace & Defense
2,941,433
Construction & Engineering — 1.5%
Quanta Services Inc.
6,594
4,747,944
Electrical Equipment — 4.0%
Bloom Energy Corp., Class A Shares
24,299
7,355,307
*
See Notes to Schedules of Investments.

62
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Focused Dynamic Growth ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Electrical Equipment — continued
GE Vernova Inc.
4,378
 $5,143,537
Total Electrical Equipment
12,498,844
 
Total Industrials
20,188,221
Information Technology — 59.4%
Communications Equipment — 2.6%
Arista Networks Inc.
22,592
3,837,929
*
Lumentum Holdings Inc.
4,900
4,204,494
*
Total Communications Equipment
8,042,423
Electronic Equipment, Instruments & Components — 4.6%
Advanced Energy Industries Inc.
8,496
3,167,903
Amphenol Corp., Class A Shares
19,509
3,439,827
Celestica Inc.
21,495
7,841,376
*
Total Electronic Equipment, Instruments & Components
14,449,106
IT Services — 2.6%
Cloudflare Inc., Class A Shares
19,933
4,889,167
*
Shopify Inc., Class A Shares
27,818
3,176,259
*
Total IT Services
8,065,426
Semiconductors & Semiconductor Equipment — 32.0%
Advanced Micro Devices Inc.
11,674
6,781,543
*
ASML Holding NV, Registered Shares
4,006
7,969,697
Broadcom Inc.
34,706
13,110,191
KLA Corp.
34,277
10,341,714
Lam Research Corp.
16,361
7,089,712
Monolithic Power Systems Inc.
2,104
2,908,485
NVIDIA Corp.
155,228
31,059,571
SK hynix Inc.
3,898
6,667,334
Taiwan Semiconductor Manufacturing Co. Ltd., ADR
28,816
13,761,657
Total Semiconductors & Semiconductor Equipment
99,689,904
Software — 7.4%
AppLovin Corp., Class A Shares
6,501
3,349,510
*
Cadence Design Systems Inc.
7,520
2,822,406
*
Microsoft Corp.
42,515
15,858,945
Palantir Technologies Inc., Class A Shares
10,141
1,183,151
*
Total Software
23,214,012
Technology Hardware, Storage & Peripherals — 10.2%
Apple Inc.
52,707
15,251,298
Sandisk Corp.
7,299
16,595,955
*
Total Technology Hardware, Storage & Peripherals
31,847,253
 
Total Information Technology
185,308,124
Total Investments before Short-Term Investments (Cost — $231,861,519)
309,652,745
See Notes to Schedules of Investments.

63
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Focused Dynamic Growth ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Shares
Value
Short-Term Investments — 0.7%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $2,151,729)
3.545%
2,151,729
 $2,151,729
(a)(b)
Total Investments — 100.0% (Cost — $234,013,248)
311,804,474
Liabilities in Excess of Other Assets — (0.0)%††
(93,935
)
Total Net Assets — 100.0%
$311,710,539
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Rate shown is one-day yield as of the end of the reporting period.
(b)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $2,151,729 and the cost was $2,151,729 (Note 3).
Abbreviation(s) used in this schedule:
ADR
American Depositary Receipts
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

64
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Genomic Advancements ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 97.9%
Health Care — 94.6%
Biotechnology — 56.0%
Alnylam Pharmaceuticals Inc.
1,816
 $546,670
*
AnaptysBio Inc.
4,290
289,575
*
Arcutis Biotherapeutics Inc.
4,422
115,945
*
Argenx SE
494
458,271
*
Beam Therapeutics Inc.
7,577
260,043
*
BeOne Medicines Ltd., ADR
225
64,118
*
BioNTech SE, ADR
4,156
386,716
*
Bridgebio Pharma Inc.
13,129
977,848
*
CareDx Inc.
8,000
228,000
*
Catalyst Pharmaceuticals Inc.
6,865
215,767
*
CRISPR Therapeutics AG
5,030
274,336
*
First Tracks Biotherapeutics Inc.
2,775
55,833
*
GRAIL Inc.
4,456
304,211
*
Insmed Inc.
6,388
681,089
*
Ionis Pharmaceuticals Inc.
6,739
534,335
*
Kiniksa Pharmaceuticals International PLC
1,479
94,582
*
Krystal Biotech Inc.
4,757
1,768,034
*
Natera Inc.
7,679
2,084,465
*
Neurocrine Biosciences Inc.
3,058
515,380
*
Neurogene Inc.
1,981
62,302
*
Praxis Precision Medicines Inc.
718
240,379
*
PTC Therapeutics Inc.
5,009
408,584
*
Recursion Pharmaceuticals Inc., Class A Shares
5,507
20,211
*
Regeneron Pharmaceuticals Inc.
805
501,950
Rhythm Pharmaceuticals Inc.
1,048
116,359
*
Samsung Episholdings Co. Ltd.
376
104,357
*
Stoke Therapeutics Inc.
11,349
371,339
*
TG Therapeutics Inc.
1,253
68,840
*
Travere Therapeutics Inc.
12,753
724,498
*
Twist Bioscience Corp.
7,736
795,880
*
Ultragenyx Pharmaceutical Inc.
5,131
171,324
*
United Therapeutics Corp.
1,809
980,170
*
Veracyte Inc.
7,819
459,210
*
Vertex Pharmaceuticals Inc.
1,545
767,448
*
Total Biotechnology
15,648,069
Health Care Equipment & Supplies — 0.0%††
OmniAb Inc., $12.50 EARNOUT
240
0
*(a)(b)(c)(d)
OmniAb Inc., $15.00 EARNOUT
240
0
*(a)(b)(c)(d)
Total Health Care Equipment & Supplies
0
Health Care Providers & Services — 9.9%
GeneDx Holdings Corp.
575
39,474
*
Guardant Health Inc.
16,927
2,539,558
*
Hinge Health Inc., Class A Shares
2,349
194,967
*
Total Health Care Providers & Services
2,773,999
See Notes to Schedules of Investments.

65
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Genomic Advancements ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Life Sciences Tools & Services — 16.0%
Adaptive Biotechnologies Corp.
51,956
 $1,114,456
*
Agilent Technologies Inc.
1,223
162,451
Bio-Rad Laboratories Inc., Class A Shares
243
71,347
*
Charles River Laboratories International Inc.
1,556
352,885
*
Danaher Corp.
842
160,384
IQVIA Holdings Inc.
1,082
209,064
*
Medpace Holdings Inc.
1,133
600,026
*
QIAGEN NV
3,419
133,683
Repligen Corp.
2,009
274,108
*
Samsung Biologics Co. Ltd.
702
630,273
*(e)
Tempus AI Inc., Class A Shares
9,397
544,368
*
Thermo Fisher Scientific Inc.
421
211,073
Total Life Sciences Tools & Services
4,464,118
Pharmaceuticals — 12.7%
AstraZeneca PLC
3,979
754,498
Axsome Therapeutics Inc.
936
229,105
*
Bristol-Myers Squibb Co.
1,196
68,913
Eli Lilly & Co.
688
825,208
Jazz Pharmaceuticals PLC
905
218,078
*
Ligand Pharmaceuticals Inc.
4,085
1,291,228
*
Liquidia Corp.
871
69,445
*
Tarsus Pharmaceuticals Inc.
1,136
71,500
*
WaVe Life Sciences Ltd.
4,813
27,963
*
Total Pharmaceuticals
3,555,938
 
Total Health Care
26,442,124
Information Technology — 1.0%
Software — 1.0%
Cadence Design Systems Inc.
725
272,107
*
 
Materials — 2.3%
Chemicals — 2.3%
Corteva Inc.
7,435
629,670
 
Total Common Stocks (Cost — $19,251,141)
27,343,901
 
 
Rate
 
 
 
Preferred Stocks — 0.8%
Health Care — 0.8%
Life Sciences Tools & Services — 0.8%
Sartorius AG (Cost — $232,005)
0.322%
905
237,564
(f)
Total Investments — 98.7% (Cost — $19,483,146)
27,581,465
Other Assets in Excess of Liabilities — 1.3%
355,082
Total Net Assets — 100.0%
$27,936,547
See Notes to Schedules of Investments.

66
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Genomic Advancements ETF
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Security is fair valued in accordance with procedures approved by the Board of Trustees(Note 1).
(b)
Security is valued using significant unobservable inputs(Note 1).
(c)
Value is less than $1.
(d)
Restricted security (Note 4).
(e)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(f)
The rate shown represents the yield as of June 30, 2026.
Abbreviation(s) used in this schedule:
ADR
American Depositary Receipts
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

67
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Corporate Bonds & Notes — 95.6%
Communication Services — 12.5%
Diversified Telecommunication Services — 2.6%
Altice France Lux 3/Altice Holdings 1, Senior Notes
10.000%
1/15/33
 $120,000
 $118,163
(a)
Altice France SA, Senior Secured Notes
9.500%
11/1/29
5,652,959
5,742,762
(a)
Cogent Communications Group LLC/Cogent Finance Inc., Senior Notes
7.000%
6/15/27
3,350,000
3,327,467
(a)
Cogent Communications Group LLC/Cogent Finance Inc., Senior Secured
Notes
6.500%
7/1/32
6,750,000
6,081,740
(a)
PR RNO Property Owner 1 LLC, Senior Secured Notes
6.500%
5/1/31
5,145,000
5,141,126
(a)
WULF Compute LLC, Senior Secured Notes
7.750%
10/15/30
6,150,000
6,463,422
(a)
Yondr JK 1 LLC, Senior Secured Notes
6.875%
6/30/31
4,010,000
4,023,056
(a)
Total Diversified Telecommunication Services
30,897,736
Entertainment — 2.4%
Banijay Entertainment SAS, Senior Secured Notes
8.125%
5/1/29
8,250,000
8,462,569
(a)
Discovery Global Holdings Inc., Senior Notes
4.054%
3/15/29
2,350,000
2,328,051
Discovery Global Holdings Inc., Senior Notes
5.050%
3/15/42
2,875,000
2,109,733
Flutter Treasury DAC, Senior Secured Notes
5.875%
6/4/31
6,800,000
6,779,464
(a)
OAK-Eagle Acquireco Inc., Senior Notes
8.750%
7/1/34
4,550,000
4,831,745
(a)
OAK-Eagle Acquireco Inc., Senior Secured Notes
7.250%
7/1/33
3,500,000
3,663,280
(a)
Total Entertainment
28,174,842
Media — 6.0%
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
5.375%
6/1/29
1,300,000
1,272,428
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
4.500%
8/15/30
6,000,000
5,581,248
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
7.000%
2/1/33
8,120,000
7,969,909
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
4.250%
1/15/34
6,690,000
5,669,838
(a)
Clear Channel Outdoor Holdings Inc., Senior Secured Notes
7.875%
4/1/30
3,600,000
3,752,539
(a)
Clear Channel Outdoor Holdings Inc., Senior Secured Notes
7.500%
3/15/33
1,650,000
1,738,481
(a)
DirecTV Financing LLC, Senior Secured Notes
8.875%
2/1/30
6,800,000
6,929,153
(a)
DirecTV Financing LLC/DirecTV Financing Co-Obligor Inc., Senior Secured
Notes
9.250%
6/1/32
1,000,000
1,016,776
(a)
EW Scripps Co., Secured Notes
9.875%
8/15/30
5,925,000
5,190,915
(a)
Gray Media Inc., Secured Notes
9.625%
7/15/32
3,075,000
2,970,542
(a)
Gray Media Inc., Senior Notes
5.375%
11/15/31
3,050,000
2,048,685
(a)
McGraw-Hill Education Inc., Senior Secured Notes
7.375%
9/1/31
4,500,000
4,576,883
(a)
Paramount Global, Senior Notes
4.375%
3/15/43
1,500,000
968,929
Paramount Global, Senior Notes
5.850%
9/1/43
5,000,000
3,746,221
Sinclair Television Group Inc., Senior Secured Notes
8.125%
2/15/33
4,000,000
4,113,664
(a)
Univision Communications Inc., Senior Secured Notes
9.375%
8/1/32
935,000
950,759
(a)
Univision Communications Inc., Senior Secured Notes
8.875%
4/15/33
4,820,000
4,748,200
(a)
VZ Secured Financing BV, Senior Secured Notes
7.500%
1/15/33
8,220,000
7,874,892
(a)
Total Media
71,120,062
Wireless Telecommunication Services — 1.5%
Block Communications Inc., Senior Secured Notes
10.250%
3/1/31
4,625,000
4,233,998
(a)
Edged Compute LLC, Senior Secured Notes
7.500%
4/30/31
7,620,000
7,432,414
(a)
Iliad Holding SAS, Senior Secured Notes
7.000%
4/15/32
3,150,000
3,214,282
(a)
See Notes to Schedules of Investments.

68
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Wireless Telecommunication Services — continued
Zegona Finance PLC, Senior Secured Notes
8.625%
7/15/29
 $2,190,000
 $2,287,584
(a)
Total Wireless Telecommunication Services
17,168,278
 
Total Communication Services
147,360,918
Consumer Discretionary — 15.1%
Automobile Components — 2.5%
Clarios Global LP/Clarios US Finance Co., Senior Notes
6.750%
9/15/32
5,570,000
5,692,122
(a)
Dexko Global Inc., Senior Notes
7.500%
4/15/32
9,997,000
8,257,496
(a)
Forvia SE, Senior Notes
6.750%
9/15/33
7,270,000
7,271,478
(a)
IHO Verwaltungs GmbH, Senior Secured Notes (7.375% Cash or 8.125%
PIK)
7.375%
5/15/33
3,235,000
3,365,552
(a)(b)
IHO Verwaltungs GmbH, Senior Secured Notes (7.750% Cash or 8.500%
PIK)
7.750%
11/15/30
2,100,000
2,175,218
(a)(b)
IHO Verwaltungs GmbH, Senior Secured Notes (8.000% Cash or 8.750%
PIK)
8.000%
11/15/32
2,750,000
2,866,660
(a)(b)
Total Automobile Components
29,628,526
Automobiles — 0.3%
Nissan Motor Co. Ltd., Senior Notes
8.125%
7/17/35
3,035,000
3,215,463
(a)
Diversified Consumer Services — 0.2%
Grand Canyon University, Secured Notes
5.125%
10/1/28
2,450,000
2,419,571
Hotels, Restaurants & Leisure — 6.7%
1011778 BC ULC/New Red Finance Inc., Senior Secured Notes
6.125%
6/15/29
6,400,000
6,499,328
(a)
Allwyn Entertainment Financing UK PLC, Senior Secured Notes
7.875%
4/30/29
3,231,000
3,321,437
(a)
Carnival Corp. Ltd., Senior Notes
6.650%
1/15/28
100,000
102,102
Carnival Corp. Ltd., Senior Notes
5.750%
3/15/30
4,190,000
4,243,686
(a)
Carnival Corp. Ltd., Senior Notes
5.875%
6/15/31
1,500,000
1,527,801
(a)
Carnival Corp. Ltd., Senior Notes
5.750%
8/1/32
3,710,000
3,750,875
(a)
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co. Inc., Senior
Notes
6.750%
1/15/30
5,600,000
5,495,819
(a)
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co. Inc., Senior
Secured Notes
4.625%
1/15/29
4,200,000
4,086,140
(a)
Great Canadian Gaming Corp./Raptor LLC, Senior Secured Notes
8.750%
11/15/29
3,375,000
3,379,279
(a)
Hilton Domestic Operating Co. Inc., Senior Notes
5.750%
9/15/33
7,600,000
7,632,239
(a)
Mohegan Tribal Gaming Authority/MS Digital Entertainment
Holdings LLC, Senior Secured Notes
8.250%
4/15/30
8,150,000
8,495,038
(a)
NCL Corp. Ltd., Senior Notes
7.750%
2/15/29
1,550,000
1,618,282
(a)
NCL Corp. Ltd., Senior Notes
6.750%
2/1/32
3,400,000
3,394,752
(a)
NCL Corp. Ltd., Senior Notes
6.250%
9/15/33
1,395,000
1,355,609
(a)
Rivers Enterprise Borrower LLC, Senior Secured Notes
6.250%
10/15/30
7,200,000
7,294,075
(a)
Royal Caribbean Cruises Ltd., Senior Notes
5.625%
9/30/31
1,500,000
1,513,038
(a)
Royal Caribbean Cruises Ltd., Senior Notes
6.000%
2/1/33
4,000,000
4,057,533
(a)
Viking Cruises Ltd., Senior Notes
7.000%
2/15/29
2,950,000
2,961,449
(a)
Viking Cruises Ltd., Senior Notes
9.125%
7/15/31
1,200,000
1,258,014
(a)
Viking Cruises Ltd., Senior Notes
5.875%
10/15/33
2,740,000
2,745,634
(a)
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., Senior Notes
7.125%
2/15/31
4,000,000
4,229,422
(a)
Total Hotels, Restaurants & Leisure
78,961,552
Household Durables — 2.2%
Ashton Woods USA LLC/Ashton Woods Finance Co., Senior Notes
4.625%
4/1/30
900,000
854,624
(a)
See Notes to Schedules of Investments.

69
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Household Durables — continued
Ashton Woods USA LLC/Ashton Woods Finance Co., Senior Notes
6.875%
8/1/33
 $5,225,000
 $5,185,309
(a)
Dream Finders Homes Inc., Senior Notes
8.250%
8/15/28
1,000,000
1,023,300
(a)
K Hovnanian Enterprises Inc., Senior Notes
8.000%
4/1/31
3,740,000
3,861,651
(a)
K Hovnanian Enterprises Inc., Senior Notes
8.375%
10/1/33
2,660,000
2,735,512
(a)
Weekley Homes LLC/Weekley Finance Corp., Senior Notes
6.750%
1/15/34
6,450,000
6,475,213
(a)
Whirlpool Corp., Senior Notes
4.500%
6/1/46
440,000
262,408
Whirlpool Corp., Senior Secured Notes
7.500%
7/1/31
2,295,000
2,328,158
(a)
Whirlpool Corp., Senior Secured Notes
7.875%
7/1/34
3,570,000
3,593,569
(a)
Total Household Durables
26,319,744
Leisure Products — 0.7%
A&K Travel Group Holdings Ltd., Senior Notes
7.500%
5/15/33
8,485,000
8,570,913
(a)
Specialty Retail — 1.6%
PetSmart LLC/PetSmart Finance Corp., Senior Secured Notes
7.500%
9/15/32
9,840,000
9,849,230
(a)
Wayfair LLC, Senior Secured Notes
7.250%
10/31/29
3,750,000
3,872,869
(a)
Wayfair LLC, Senior Secured Notes
7.750%
9/15/30
3,000,000
3,155,748
(a)
Wayfair LLC, Senior Secured Notes
6.750%
11/15/32
2,780,000
2,857,067
(a)
Total Specialty Retail
19,734,914
Textiles, Apparel & Luxury Goods — 0.9%
Beach Acquisition Bidco LLC, Senior Notes (10.000% Cash or 10.750%
PIK)
10.000%
7/15/33
9,063,482
10,295,980
(a)(b)
 
Total Consumer Discretionary
179,146,663
Consumer Staples — 3.2%
Consumer Staples Distribution & Retail — 1.1%
Froneri Lux FinCo SARL, Senior Secured Notes
6.000%
8/1/32
9,645,000
9,464,516
(a)
US Foods Inc., Senior Notes
5.750%
4/15/33
3,400,000
3,406,450
(a)
Total Consumer Staples Distribution & Retail
12,870,966
Food Products — 1.3%
Chobani LLC/Chobani Finance Corp. Inc., Senior Notes
7.625%
7/1/29
1,775,000
1,832,556
(a)
Chobani LLC/Chobani Finance Corp. Inc., Senior Notes
6.375%
4/15/34
3,670,000
3,727,087
(a)
Industrial F&B Investments III Inc., Senior Secured Notes
7.750%
2/11/33
9,900,000
10,096,061
(a)
Total Food Products
15,655,704
Personal Care Products — 0.8%
Opal Bidco SAS, Senior Secured Notes
6.500%
3/31/32
8,845,000
9,028,100
(a)
 
Total Consumer Staples
37,554,770
Energy — 13.1%
Energy Equipment & Services — 3.9%
Archrock Partners LP/Archrock Partners Finance Corp., Senior Notes
6.625%
9/1/32
500,000
510,216
(a)
Archrock Services LP/Archrock Partners Finance Corp., Senior Notes
6.000%
2/1/34
10,615,000
10,557,734
(a)
Borr IHC Ltd./Borr Finance LLC, Senior Secured Notes
8.750%
1/15/32
2,345,000
2,291,929
(a)
Borr IHC Ltd./Borr Finance LLC, Senior Secured Notes
9.000%
1/15/34
2,880,000
2,787,203
(a)
Kodiak Gas Services LLC, Senior Notes
5.875%
4/1/31
3,185,000
3,194,870
(a)
Kodiak Gas Services LLC, Senior Notes
6.500%
10/1/33
2,470,000
2,505,143
(a)
Nabors Industries Inc., Senior Notes
9.125%
1/31/30
2,600,000
2,718,661
(a)
Nabors Industries Inc., Senior Notes
8.875%
8/15/31
385,000
395,545
(a)
Oceaneering International Inc., Senior Notes
6.875%
7/15/34
2,235,000
2,271,478
(a)(c)
Transocean International Ltd., Senior Notes
8.250%
5/15/29
1,800,000
1,859,603
(a)
See Notes to Schedules of Investments.

70
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Energy Equipment & Services — continued
Transocean International Ltd., Senior Notes
8.500%
5/15/31
 $490,000
 $508,994
(a)
Transocean International Ltd., Senior Notes
7.875%
10/15/32
2,545,000
2,658,164
(a)
Transocean International Ltd., Senior Notes
6.800%
3/15/38
3,750,000
3,480,733
Transocean International Ltd., Senior Secured Notes
8.750%
2/15/30
2,485,000
2,583,846
(a)
Weatherford International Ltd., Senior Notes
6.750%
10/15/33
7,235,000
7,385,854
(a)
Total Energy Equipment & Services
45,709,973
Oil, Gas & Consumable Fuels — 9.2%
Calumet Specialty Products Partners LP/Calumet Finance Corp., Senior
Notes
9.750%
2/15/31
7,170,000
7,585,738
(a)
Calumet Specialty Products Partners LP/Calumet Finance Corp., Senior
Secured Notes
9.250%
7/15/29
1,400,000
1,421,000
(a)
Coronado Finance Pty Ltd., Senior Secured Notes
9.250%
10/1/29
4,800,000
4,378,723
(a)
Crescent Energy Finance LLC, Senior Notes
7.875%
4/15/32
2,300,000
2,330,291
(a)
Crescent Energy Finance LLC, Senior Notes
7.375%
1/15/33
4,425,000
4,400,853
(a)
Crescent Energy Finance LLC, Senior Notes
8.375%
1/15/34
4,670,000
4,812,972
(a)
Hess Midstream Operations LP, Senior Notes
6.500%
6/1/29
5,420,000
5,533,782
(a)
Hilcorp Energy I LP/Hilcorp Finance Co., Senior Notes
6.000%
4/15/30
2,850,000
2,806,089
(a)
Hilcorp Energy I LP/Hilcorp Finance Co., Senior Notes
6.000%
2/1/31
4,225,000
4,094,897
(a)
Hilcorp Energy I LP/Hilcorp Finance Co., Senior Notes
6.875%
5/15/34
4,850,000
4,722,217
(a)
Kinetik Holdings LP, Senior Notes
6.625%
12/15/28
4,300,000
4,373,177
(a)
Kinetik Holdings LP, Senior Notes
5.875%
6/15/30
5,850,000
5,886,656
(a)
Martin Midstream Partners LP/Martin Midstream Finance Corp., Secured
Notes
11.500%
2/15/28
6,060,000
6,109,583
(a)
Murphy Oil Corp., Senior Notes
6.000%
10/1/32
2,725,000
2,715,472
Murphy Oil Corp., Senior Notes
6.500%
2/15/34
7,910,000
7,840,673
Neo Next+ Energy Consolidated Holdings Ltd., Senior Notes
6.625%
6/11/31
4,400,000
4,334,701
(d)
Northriver Midstream Finance LP, Senior Secured Notes
6.750%
7/15/32
2,300,000
2,330,542
(a)
Sunoco LP, Senior Notes
5.375%
7/15/31
3,585,000
3,538,051
(a)
Sunoco LP, Senior Notes
5.625%
7/15/34
3,335,000
3,256,893
(a)
Venture Global Calcasieu Pass LLC, Senior Secured Notes
3.875%
8/15/29
2,800,000
2,672,284
(a)
Venture Global Calcasieu Pass LLC, Senior Secured Notes
4.125%
8/15/31
3,800,000
3,569,094
(a)
Venture Global Calcasieu Pass LLC, Senior Secured Notes
6.000%
5/1/36
1,435,000
1,451,313
(a)
Venture Global LNG Inc., Senior Secured Notes
9.500%
2/1/29
6,470,000
6,966,967
(a)
Venture Global LNG Inc., Senior Secured Notes
8.375%
6/1/31
2,600,000
2,707,388
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
6.125%
12/15/30
310,000
317,328
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
7.500%
5/1/33
1,250,000
1,372,441
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
6.500%
1/15/34
1,365,000
1,422,933
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
6.500%
6/15/34
210,000
218,878
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
7.750%
5/1/35
2,000,000
2,243,894
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
6.750%
1/15/36
3,765,000
3,993,841
(a)
Total Oil, Gas & Consumable Fuels
109,408,671
 
Total Energy
155,118,644
Financials — 11.6%
Capital Markets — 2.0%
Cipher Compute LLC, Senior Secured Notes
7.125%
11/15/30
5,780,000
6,015,665
(a)
Osaic Holdings Inc., Senior Notes
8.000%
8/1/33
7,850,000
7,884,838
(a)
See Notes to Schedules of Investments.

71
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Capital Markets — continued
StoneX Escrow Issuer LLC, Secured Notes
6.875%
7/15/32
 $2,920,000
 $3,005,007
(a)
StoneX Group Inc., Secured Notes
7.875%
3/1/31
5,900,000
6,198,399
(a)
Total Capital Markets
23,103,909
Consumer Finance — 2.9%
Encore Capital Group Inc., Senior Secured Notes
8.500%
5/15/30
4,710,000
5,005,218
(a)
Encore Capital Group Inc., Senior Secured Notes
6.625%
6/1/32
8,685,000
8,703,343
(a)
FirstCash Inc., Senior Notes
4.625%
9/1/28
3,000,000
2,950,946
(a)
FirstCash Inc., Senior Notes
6.875%
3/1/32
5,250,000
5,401,389
(a)
FirstCash Inc., Senior Notes
6.125%
5/1/34
2,180,000
2,171,114
(a)
OneMain Finance Corp., Senior Notes
6.625%
5/15/29
1,400,000
1,429,273
OneMain Finance Corp., Senior Notes
5.375%
11/15/29
1,200,000
1,179,465
OneMain Finance Corp., Senior Notes
7.125%
11/15/31
800,000
816,856
OneMain Finance Corp., Senior Notes
6.500%
3/15/33
2,435,000
2,398,028
PRA Group Inc., Senior Notes
5.000%
10/1/29
1,500,000
1,418,327
(a)
PRA Group Inc., Senior Notes
8.875%
1/31/30
900,000
929,456
(a)
PROG Holdings Inc., Senior Notes
6.000%
11/15/29
2,100,000
2,048,193
(a)
Total Consumer Finance
34,451,608
Financial Services — 5.1%
CrossCountry Intermediate HoldCo LLC, Senior Notes
6.500%
10/1/30
3,730,000
3,681,070
(a)
CrossCountry Intermediate HoldCo LLC, Senior Notes
6.750%
12/1/32
2,800,000
2,705,903
(a)
Freedom Mortgage Holdings LLC, Senior Notes
9.250%
2/1/29
5,750,000
5,962,951
(a)
Freedom Mortgage Holdings LLC, Senior Notes
6.875%
5/1/31
1,700,000
1,651,155
(a)
Freedom Mortgage Holdings LLC, Senior Notes
8.375%
4/1/32
1,475,000
1,501,442
(a)
Freedom Mortgage Holdings LLC, Senior Notes
7.875%
4/1/33
1,185,000
1,156,625
(a)
Global Net Lease Inc./Global Net Lease Operating Partnership LP, Senior
Notes
3.750%
12/15/27
3,730,000
3,653,028
(a)
Jane Street Group/JSG Finance Inc., Senior Secured Notes
4.500%
11/15/29
1,900,000
1,853,153
(a)
Jane Street Group/JSG Finance Inc., Senior Secured Notes
6.125%
11/1/32
3,500,000
3,502,356
(a)
Jane Street Group/JSG Finance Inc., Senior Secured Notes
6.750%
5/1/33
5,150,000
5,298,895
(a)
Jefferson Capital Holdings LLC, Senior Notes
9.500%
2/15/29
4,425,000
4,638,360
(a)
Jefferson Capital Holdings LLC, Senior Notes
8.250%
5/15/30
5,850,000
6,154,551
(a)
Pebblebrook Hotel LP/PEB Finance Corp., Senior Notes
6.375%
10/15/29
1,015,000
1,032,930
(a)
PHH Escrow Issuer LLC/PHH Corp., Senior Notes
9.875%
11/1/29
7,000,000
6,857,362
(a)
Rocket Cos. Inc., Senior Notes
6.125%
8/1/31
1,490,000
1,522,850
(a)
Rocket Cos. Inc., Senior Notes
6.500%
6/15/34
3,890,000
3,994,756
(a)
Rocket Mortgage LLC/Rocket Mortgage Co-Issuer Inc., Senior Notes
3.875%
3/1/31
5,410,000
5,064,868
(a)
Total Financial Services
60,232,255
Insurance — 1.1%
Acrisure LLC/Acrisure Finance Inc., Senior Notes
8.500%
6/15/29
1,900,000
1,787,912
(a)
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, Senior
Notes
7.375%
10/1/32
2,000,000
1,987,614
(a)
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, Senior
Secured Notes
7.000%
1/15/31
1,900,000
1,931,869
(a)
Asurion LLC/Asurion Co-Issuer Inc., Secured Notes
8.375%
2/1/34
3,040,000
2,816,299
(a)
Asurion LLC/Asurion Co-Issuer Inc., Senior Secured Notes
8.000%
12/31/32
4,220,000
4,255,328
(a)
Total Insurance
12,779,022
See Notes to Schedules of Investments.

72
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Mortgage Real Estate Investment Trusts (REITs) — 0.5%
Starwood Property Trust Inc., Senior Notes
6.125%
6/1/31
 $6,400,000
 $6,437,997
(a)
 
Total Financials
137,004,791
Health Care — 6.4%
Biotechnology — 2.0%
Genmab A/S/Genmab Finance LLC, Senior Notes
7.250%
12/15/33
6,950,000
7,250,644
(a)
Genmab A/S/Genmab Finance LLC, Senior Secured Notes
6.250%
12/15/32
3,480,000
3,548,427
(a)
Grifols SA, Senior Notes
4.750%
10/15/28
2,800,000
2,745,810
(a)
Kedrion SpA, Senior Secured Notes
6.500%
9/1/29
9,750,000
9,629,122
(a)
Total Biotechnology
23,174,003
Health Care Equipment & Supplies — 0.4%
Bausch & Lomb Corp., Senior Secured Notes
8.375%
10/1/28
4,800,000
4,938,000
(a)
Health Care Providers & Services — 2.9%
CHS/Community Health Systems Inc., Secured Notes
6.875%
4/15/29
1,000,000
984,386
(a)
CHS/Community Health Systems Inc., Senior Secured Notes
6.000%
1/15/29
4,100,000
4,061,788
(a)
CHS/Community Health Systems Inc., Senior Secured Notes
10.875%
1/15/32
3,140,000
3,385,520
(a)
Concentra Health Services Inc., Senior Notes
6.875%
7/15/32
8,130,000
8,425,812
(a)
DaVita Inc., Senior Notes
4.625%
6/1/30
11,400,000
11,050,842
(a)
Tenet Healthcare Corp., Senior Notes
6.125%
10/1/28
850,000
853,867
Tenet Healthcare Corp., Senior Notes
6.000%
11/15/33
1,775,000
1,791,797
(a)
Tenet Healthcare Corp., Senior Secured Notes
6.125%
6/15/30
2,245,000
2,264,257
Tenet Healthcare Corp., Senior Secured Notes
6.750%
5/15/31
1,400,000
1,434,868
Total Health Care Providers & Services
34,253,137
Health Care Technology — 0.1%
MPH Acquisition Holdings LLC, Senior Secured Notes
5.750%
12/31/30
180,055
150,341
(a)
MPH Acquisition Holdings LLC, Senior Secured Notes (6.000% Cash and
0.750% PIK)
6.750%
3/31/31
1,555,974
938,068
(a)(b)
MPH Acquisition Holdings LLC, Senior Secured Notes (6.500% Cash and
5.000% PIK)
11.500%
12/31/30
289,523
286,865
(a)(b)
Total Health Care Technology
1,375,274
Life Sciences Tools & Services — 0.7%
IQVIA Inc., Senior Notes
6.250%
6/1/32
7,775,000
7,914,393
(a)
Pharmaceuticals — 0.3%
Endo Finance Holdings LP, Senior Secured Notes
8.500%
4/15/31
3,000,000
3,155,130
(a)
Teva Pharmaceutical Finance Netherlands III BV, Senior Notes
8.125%
9/15/31
500,000
564,029
Total Pharmaceuticals
3,719,159
 
Total Health Care
75,373,966
Industrials — 10.8%
Aerospace & Defense — 2.5%
Axon Enterprise Inc., Senior Notes
6.125%
3/15/30
250,000
255,615
(a)
Axon Enterprise Inc., Senior Notes
6.250%
3/15/33
5,050,000
5,179,270
(a)
Bombardier Inc., Senior Notes
6.750%
6/15/33
7,900,000
8,187,410
(a)
Efesto Bidco SpA Efesto US LLC, Senior Secured Notes
7.500%
2/15/32
9,500,000
9,515,381
(a)
TransDigm Inc., Senior Notes
4.875%
5/1/29
200,000
197,219
TransDigm Inc., Subordinated Notes
6.750%
1/31/34
5,515,000
5,660,728
(a)
Total Aerospace & Defense
28,995,623
See Notes to Schedules of Investments.

73
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Building Products — 0.3%
Emerald Borrower LP/Emerald Co-Issuer Inc., Senior Secured Notes
6.625%
12/15/30
 $1,800,000
 $1,842,451
(a)
Quikrete Holdings Inc., Senior Secured Notes
6.375%
3/1/32
1,650,000
1,685,734
(a)
Total Building Products
3,528,185
Commercial Services & Supplies — 3.2%
Neptune Bidco US Inc., Senior Secured Notes
9.290%
4/15/29
2,500,000
2,551,532
(a)
Neptune Bidco US Inc., Senior Secured Notes
9.500%
2/15/33
7,110,000
7,197,503
(a)
RR Donnelley & Sons Co., Senior Secured Notes
9.500%
8/1/29
7,525,000
7,809,415
(a)
Veritiv Operating Co., Senior Secured Notes
10.500%
11/30/30
5,175,000
5,299,117
(a)
Waste Pro USA Inc., Senior Notes
7.000%
2/1/33
6,875,000
7,052,313
(a)
Wrangler Holdco Corp., Senior Notes
6.625%
4/1/32
7,250,000
7,437,188
(a)
Total Commercial Services & Supplies
37,347,068
Construction & Engineering — 0.7%
Arcosa Inc., Senior Notes
4.375%
4/15/29
4,950,000
4,872,108
(a)
Arcosa Inc., Senior Notes
6.875%
8/15/32
3,815,000
3,982,677
(a)
Total Construction & Engineering
8,854,785
Electrical Equipment — 0.9%
Gates Corp., Senior Notes
6.875%
7/1/29
3,710,000
3,799,144
(a)
WESCO Distribution Inc., Senior Notes
5.250%
4/15/31
2,695,000
2,674,082
(a)
WESCO Distribution Inc., Senior Notes
6.375%
3/15/33
4,610,000
4,733,234
(a)
Total Electrical Equipment
11,206,460
Ground Transportation — 1.2%
Watco Cos. LLC/Watco Finance Corp., Senior Notes
7.125%
8/1/32
7,410,000
7,613,523
(a)
XPO Inc., Senior Notes
7.125%
2/1/32
6,050,000
6,278,884
(a)
Total Ground Transportation
13,892,407
Machinery — 0.9%
ATS Corp., Senior Notes
4.125%
12/15/28
3,750,000
3,659,573
(a)
Esab Corp., Senior Notes
6.250%
4/15/29
3,075,000
3,123,803
(a)
Esab Corp., Senior Notes
5.625%
4/1/31
3,655,000
3,668,104
(a)
Total Machinery
10,451,480
Professional Services — 0.1%
CACI International Inc., Senior Notes
6.375%
6/15/33
1,500,000
1,522,230
(a)
Trading Companies & Distributors — 1.0%
EquipmentShare.com Inc., Secured Notes
9.000%
5/15/28
5,015,000
5,122,136
(a)
EquipmentShare.com Inc., Secured Notes
8.625%
5/15/32
5,285,000
5,504,248
(a)
EquipmentShare.com Inc., Secured Notes
7.125%
7/1/34
750,000
737,841
(a)(c)
Total Trading Companies & Distributors
11,364,225
 
Total Industrials
127,162,463
Information Technology — 6.6%
Communications Equipment — 1.3%
Connect Finco SARL/Connect US Finco LLC, Senior Secured Notes
9.000%
9/15/29
8,125,000
8,559,639
(a)
Viasat Inc., Senior Notes
7.500%
5/30/31
6,370,000
6,440,775
(a)
Total Communications Equipment
15,000,414
Electronic Equipment, Instruments & Components — 0.5%
TTM Technologies Inc., Senior Notes
4.000%
3/1/29
6,055,000
5,852,703
(a)
IT Services — 1.6%
APLD ComputeCo 2 LLC, Senior Secured Notes
6.750%
3/15/31
6,480,000
6,507,883
(a)
See Notes to Schedules of Investments.

74
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
IT Services — continued
APLD ComputeCo 3 LLC, Senior Secured Notes
7.000%
6/15/31
 $2,100,000
 $2,098,321
(a)
APLD ComputeCo LLC, Senior Secured Notes
9.250%
12/15/30
9,105,000
9,827,521
(a)
Total IT Services
18,433,725
Semiconductors & Semiconductor Equipment — 0.6%
Qnity Electronics Inc., Senior Notes
6.250%
8/15/33
4,195,000
4,273,388
(a)
Qnity Electronics Inc., Senior Secured Notes
5.750%
8/15/32
2,605,000
2,622,130
(a)
Total Semiconductors & Semiconductor Equipment
6,895,518
Software — 1.0%
Gen Digital Inc., Senior Notes
6.250%
4/1/33
8,390,000
8,275,047
(a)
McAfee Corp., Senior Notes
7.375%
2/15/30
4,900,000
4,167,778
(a)
Total Software
12,442,825
Technology Hardware, Storage & Peripherals — 1.6%
Black Pearl Compute LLC, Senior Secured Notes
6.125%
2/15/31
5,340,000
5,415,107
(a)
Fortress Intermediate 3 Inc., Senior Secured Notes
7.500%
6/1/31
9,450,000
9,618,966
(a)
Seagate Data Storage Technology Pte Ltd., Senior Notes
5.875%
7/15/30
3,900,000
3,971,651
Seagate Data Storage Technology Pte Ltd., Senior Notes
5.750%
12/1/34
320,000
325,436
(a)
Total Technology Hardware, Storage & Peripherals
19,331,160
 
Total Information Technology
77,956,345
Materials — 7.8%
Chemicals — 2.1%
ARC Falcon I Inc./Arclin USA LLC/New Arclin US Holding Corp., Senior
Secured Notes
9.750%
3/1/33
7,060,000
6,799,027
(a)
Avient Corp., Senior Notes
6.250%
11/1/31
3,700,000
3,751,696
(a)
Calderys Financing LLC, Senior Secured Notes
11.250%
6/1/28
1,200,000
1,244,443
(a)
FMC Corp., Subordinated Notes (8.450% to 11/1/30 then 5 year Treasury
Constant Maturity Rate + 4.366%)
8.450%
11/1/55
6,300,000
4,592,829
(e)
GPD Cos. Inc., Senior Secured Notes (10.125% to 12.500% Cash and up
to 2.375% PIK)
12.500%
12/31/29
1,680,609
1,149,537
(a)(b)
Rain Carbon Inc., Senior Secured Notes
12.250%
9/1/29
7,196,000
7,684,134
(a)
Total Chemicals
25,221,666
Containers & Packaging — 1.7%
Canpack Group Inc./CANPACK SA, Senior Notes
6.000%
5/15/31
5,675,000
5,711,093
(a)
Clydesdale Acquisition Holdings Inc., Senior Secured Notes
6.750%
4/15/32
8,900,000
8,645,016
(a)
Toucan FinCo Ltd./Toucan FinCo Can Inc./Toucan FinCo US LLC, Senior
Secured Notes
9.500%
5/15/30
6,100,000
5,755,862
(a)
Total Containers & Packaging
20,111,971
Metals & Mining — 3.5%
Cleveland-Cliffs Inc., Senior Notes
7.000%
3/15/32
3,135,000
3,114,138
(a)
Cleveland-Cliffs Inc., Senior Notes
7.625%
1/15/34
6,945,000
6,940,871
(a)
Commercial Metals Co., Senior Notes
5.750%
11/15/33
1,515,000
1,506,876
(a)
Commercial Metals Co., Senior Notes
6.000%
12/15/35
5,950,000
5,937,780
(a)
Constellium SE, Senior Notes
3.750%
4/15/29
2,000,000
1,924,556
(a)
Constellium SE, Senior Notes
6.375%
8/15/32
2,800,000
2,855,317
(a)
Mineral Resources Ltd., Senior Notes
7.000%
4/1/31
5,900,000
6,111,402
(a)
Mineral Resources Ltd., Senior Notes
6.000%
5/1/32
2,335,000
2,311,387
(a)
Novelis Corp., Senior Notes
4.750%
1/30/30
4,350,000
4,210,179
(a)
See Notes to Schedules of Investments.

75
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Metals & Mining — continued
Novelis Corp., Senior Notes
6.875%
1/30/30
 $2,750,000
 $2,821,181
(a)
Novelis Corp., Senior Notes
6.375%
8/15/33
3,275,000
3,300,935
(a)
Total Metals & Mining
41,034,622
Paper & Forest Products — 0.5%
Magnera Corp., Senior Secured Notes
4.750%
11/15/29
6,600,000
6,165,842
(a)
 
Total Materials
92,534,101
Real Estate — 3.9%
Diversified REITs — 0.6%
MPT Operating Partnership LP/MPT Finance Corp., Senior Secured Notes
8.500%
2/15/32
4,950,000
5,071,226
(a)
VICI Properties LP/VICI Note Co. Inc., Senior Notes
3.875%
2/15/29
2,400,000
2,332,275
(a)
Total Diversified REITs
7,403,501
Hotel & Resort REITs — 0.7%
RHP Hotel Properties LP/RHP Finance Corp., Senior Notes
7.250%
7/15/28
2,400,000
2,453,626
(a)
RHP Hotel Properties LP/RHP Finance Corp., Senior Notes
6.500%
4/1/32
2,950,000
3,020,148
(a)
RHP Hotel Properties LP/RHP Finance Corp., Senior Notes
6.500%
6/15/33
1,650,000
1,693,949
(a)
RHP Hotel Properties LP/RHP Finance Corp., Senior Notes
5.750%
3/15/34
1,390,000
1,377,911
(a)
Total Hotel & Resort REITs
8,545,634
Real Estate Management & Development — 0.2%
Forestar Group Inc., Senior Notes
6.500%
3/15/33
1,630,000
1,656,562
(a)
Specialized REITs — 2.4%
Iron Mountain Inc., Senior Notes
7.000%
2/15/29
3,200,000
3,262,304
(a)
Iron Mountain Inc., Senior Notes
5.625%
7/15/32
5,670,000
5,608,185
(a)
Iron Mountain Inc., Senior Notes
6.250%
1/15/35
2,005,000
2,015,321
(a)
Millrose Properties Inc., Senior Notes
6.375%
8/1/30
6,695,000
6,790,069
(a)
Millrose Properties Inc., Senior Notes
6.250%
9/15/32
3,030,000
3,059,109
(a)
Outfront Media Capital LLC/Outfront Media Capital Corp., Senior Notes
4.625%
3/15/30
1,545,000
1,499,399
(a)
SV RNO Property Owner 1 LLC, Senior Secured Notes
5.875%
3/1/31
6,285,000
6,198,383
(a)
Total Specialized REITs
28,432,770
 
Total Real Estate
46,038,467
Utilities — 4.6%
Electric Utilities — 3.3%
Leeward Renewable Energy Operations LLC, Senior Notes
4.250%
7/1/29
9,830,000
9,393,127
(a)
NRG Energy Inc., Senior Notes
5.750%
7/15/29
2,600,000
2,603,947
(a)
NRG Energy Inc., Senior Notes
6.000%
1/15/36
5,485,000
5,470,625
(a)
NRG Energy Inc., Senior Notes
6.125%
5/15/36
2,870,000
2,872,563
(a)
Talen Energy Supply LLC, Senior Notes
6.375%
5/1/33
5,700,000
5,695,199
(a)
Talen Energy Supply LLC, Senior Notes
6.250%
2/1/34
3,200,000
3,181,894
(a)
Talen Energy Supply LLC, Senior Notes
6.500%
2/1/36
2,190,000
2,208,751
(a)
Vistra Operations Co. LLC, Senior Notes
7.750%
10/15/31
7,350,000
7,692,988
(a)
Total Electric Utilities
39,119,094
Independent Power and Renewable Electricity Producers — 1.3%
California Buyer Ltd./Atlantica Sustainable Infrastructure PLC, Senior
Notes
6.375%
2/15/32
7,590,000
7,612,808
(a)
See Notes to Schedules of Investments.

76
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Independent Power and Renewable Electricity Producers — continued
Clearway Energy Operating LLC, Senior Notes
5.750%
1/15/34
 $7,875,000
 $7,726,538
(a)
Total Independent Power and Renewable Electricity Producers
15,339,346
 
Total Utilities
54,458,440
Total Corporate Bonds & Notes (Cost — $1,129,492,267)
1,129,709,568
 
 
 
Shares
 
Convertible Preferred Stocks — 0.5%
Communication Services — 0.3%
Interactive Media & Services — 0.3%
Alphabet Inc., Non Voting Shares
6.250%
39,475
2,008,883
Alphabet Inc., Non Voting Shares
6.250%
39,475
1,985,592
 
Total Communication Services
3,994,475
Industrials — 0.1%
Aerospace & Defense — 0.1%
Boeing Co.
6.000%
11,000
740,300
 
Information Technology — 0.1%
Software — 0.1%
Oracle Corp., Non Voting Shares
6.500%
26,786
1,204,031
 
Total Convertible Preferred Stocks (Cost — $5,836,800)
5,938,806
 
 
 
Maturity
Date
Face
Amount
 
Municipal Bonds — 0.2%
Arizona — 0.2%
Maricopa County, AZ, IDA Education Revenue, Grand Canyon University
Project (Cost — $1,551,806)
7.375%
10/1/29
 $1,545,000
1,613,914
(a)
 
Convertible Bonds & Notes — 0.1%
Energy — 0.1%
Oil, Gas & Consumable Fuels — 0.1%
Crescent Energy Co., Senior Notes (Cost — $1,465,000)
2.750%
3/15/31
1,465,000
1,444,490
(a)
 
Senior Loans — 0.1%
Communication Services — 0.0%††
Media — 0.0%††
Diamond Sports Net LLC, First Lien Exit Term Loan
12.000%
1/3/28
60,196
12,611
(b)(f)(g)
 
Health Care — 0.1%
Health Care Technology — 0.1%
AthenaHealth Group Inc., Initial Term Loan (1 mo. Term SOFR + 2.750%)
6.394%
2/15/29
1,031,698
1,030,837
(e)(f)(g)
 
Materials — 0.0%††
Chemicals — 0.0%††
Hexion Holdings Corp., Second Lien Term Loan (1 mo. Term SOFR +
7.538%)
11.181%
3/15/30
280,587
261,998
(e)(f)(g)
 
Total Senior Loans (Cost — $1,366,775)
1,305,446
See Notes to Schedules of Investments.

77
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin High Yield Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 0.0%††
Financials — 0.0%††
Financial Services — 0.0%††
DSG TOPCO Inc.
442
 $165
(h)(i)
 
Health Care — 0.0%††
Pharmaceuticals — 0.0%††
Keenova Therapeutics PLC
1,445
142,092
*
Par Health Inc.
1,445
9,980
*
 
Total Health Care
152,072
Total Common Stocks (Cost — $145,603)
152,237
 
 
Expiration
Date
Rights
 
Rights — 0.0%††
Communication Services — 0.0%††
Diversified Telecommunication Services — 0.0%††
Altice France SA (Cost — $0)
501
8,014
*
Total Investments before Short-Term Investments (Cost — $1,139,858,251)
1,140,172,475
 
 
Rate
Shares
 
Short-Term Investments — 2.1%
Franklin Institutional U.S. Government Money Market Fund, Class A
Shares (Cost — $25,060,596)
3.545%
25,060,596
25,060,596
(j)(k)
Total Investments — 98.6% (Cost — $1,164,918,847)
1,165,233,071
Other Assets in Excess of Liabilities — 1.4%
16,804,254
Total Net Assets — 100.0%
$1,182,037,325
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(b)
Payment-in-kind security for which the issuer has the option at each interest payment date of making interest payments in cash or additional securities.
(c)
Securities traded on a when-issued or delayed delivery basis.
(d)
Security is exempt from registration under Regulation S of the Securities Act of 1933. Regulation S applies to securities offerings that are made outside of
the United States and do not involve direct selling efforts in the United States. This security has been deemed liquid pursuant to guidelines approved by the
Board of Trustees.
(e)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(f)
Interest rates disclosed represent the effective rates on senior loans. Ranges in interest rates are attributable to multiple contracts under the same loan.
(g)
Senior loans may be considered restricted in that the Fund ordinarily is contractually obligated to receive approval from the agent bank and/or borrower
prior to the disposition of a senior loan.
(h)
Security is fair valued in accordance with procedures approved by the Board of Trustees(Note 1).
(i)
Security is valued using significant unobservable inputs(Note 1).
(j)
Rate shown is one-day yield as of the end of the reporting period.
(k)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $25,060,596 and the cost was $25,060,596 (Note 3).
See Notes to Schedules of Investments.

78
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin High Yield Corporate ETF
Abbreviation(s) used in this schedule:
DAC
Designated Activity Company
IDA
Industrial Development Authority
PIK
Payment-In-Kind
SOFR
Secured Overnight Financing Rate
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

79
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Income Equity Focus ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 52.8%
Communication Services — 2.3%
Diversified Telecommunication Services — 2.3%
Verizon Communications Inc.
67,490
 $2,857,527
 
Consumer Discretionary — 2.7%
Hotels, Restaurants & Leisure — 1.2%
McDonald’s Corp.
5,702
1,541,308
Specialty Retail — 1.5%
Home Depot Inc.
3,409
1,202,286
Lowe’s Cos. Inc.
2,861
630,822
Total Specialty Retail
1,833,108
 
Total Consumer Discretionary
3,374,416
Consumer Staples — 9.3%
Beverages — 4.0%
Coca-Cola Co.
23,161
1,882,295
PepsiCo Inc.
23,953
3,243,236
Total Beverages
5,125,531
Food Products — 1.1%
Nestle SA, ADR
13,346
1,370,501
Household Products — 2.6%
Procter & Gamble Co.
22,159
3,249,396
Tobacco — 1.6%
Philip Morris International Inc.
11,130
2,013,528
 
Total Consumer Staples
11,758,956
Energy — 4.9%
Oil, Gas & Consumable Fuels — 4.9%
Chevron Corp.
21,439
3,553,729
Exxon Mobil Corp.
7,717
1,055,068
TotalEnergies SE
20,690
1,608,854
 
Total Energy
6,217,651
Financials — 7.5%
Banks — 5.5%
Bank of America Corp.
23,804
1,356,352
Fifth Third Bancorp
13,726
773,735
JPMorgan Chase & Co.
6,711
2,196,712
PNC Financial Services Group Inc.
2,740
674,643
US Bancorp
25,034
1,512,053
Wells Fargo & Co.
5,472
452,206
Total Banks
6,965,701
Capital Markets — 2.0%
Blackrock Inc.
1,211
1,164,449
Charles Schwab Corp.
6,513
600,955
Morgan Stanley
3,236
676,453
Total Capital Markets
2,441,857
 
Total Financials
9,407,558
Health Care — 5.4%
Biotechnology — 0.5%
Gilead Sciences Inc.
5,136
648,882
See Notes to Schedules of Investments.

80
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Income Equity Focus ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Health Care Equipment & Supplies — 1.8%
Abbott Laboratories
14,378
 $1,304,660
Medtronic PLC
12,000
938,760
Total Health Care Equipment & Supplies
2,243,420
Pharmaceuticals — 3.1%
AstraZeneca PLC
4,314
818,021
Johnson & Johnson
5,529
1,404,200
Merck & Co. Inc.
4,204
540,214
Pfizer Inc.
49,746
1,197,883
Total Pharmaceuticals
3,960,318
 
Total Health Care
6,852,620
Industrials — 8.5%
Aerospace & Defense — 3.5%
Honeywell Aerospace Inc.
2,619
579,009
*
Lockheed Martin Corp.
5,418
2,760,254
RTX Corp.
5,724
1,086,014
Total Aerospace & Defense
4,425,277
Air Freight & Logistics — 1.0%
United Parcel Service Inc., Class B Shares
12,128
1,303,760
Building Products — 1.8%
Carrier Global Corp.
17,716
1,299,469
Johnson Controls International PLC
6,866
1,003,191
Total Building Products
2,302,660
Ground Transportation — 1.7%
Union Pacific Corp.
7,662
2,084,064
Industrial Conglomerates — 0.5%
Honeywell International Inc.
2,619
586,394
 
Total Industrials
10,702,155
Information Technology — 4.0%
IT Services — 1.6%
International Business Machines Corp.
5,426
1,525,845
Snowflake Inc.
2,216
563,972
*
Total IT Services
2,089,817
Semiconductors & Semiconductor Equipment — 1.6%
Texas Instruments Inc.
6,635
1,977,694
Software — 0.5%
Palo Alto Networks Inc.
1,901
648,279
*
Technology Hardware, Storage & Peripherals — 0.3%
Dell Technologies Inc., Class C Shares
838
361,563
 
Total Information Technology
5,077,353
Materials — 2.7%
Chemicals — 1.6%
Air Products & Chemicals Inc.
6,836
2,004,179
Metals & Mining — 1.1%
Freeport-McMoRan Inc.
10,062
632,799
Rio Tinto PLC, ADR
8,544
811,082
Total Metals & Mining
1,443,881
 
Total Materials
3,448,060
See Notes to Schedules of Investments.

81
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Equity Focus ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Utilities — 5.5%
Electric Utilities — 4.0%
Duke Energy Corp.
13,435
 $1,700,602
Southern Co.
34,948
3,344,873
Total Electric Utilities
5,045,475
Multi-Utilities — 1.5%
Dominion Energy Inc.
10,855
741,288
Sempra
13,066
1,211,349
Total Multi-Utilities
1,952,637
 
Total Utilities
6,998,112
Total Common Stocks (Cost — $60,639,083)
66,694,408
 
 
Rate
Maturity
Date
 
 
Equity-Linked Securities — 35.7%
Other — 35.7%
Barclays Bank PLC into AbbVie Inc.
8.500%
12/16/26
5,000
1,195,363
(a)
Barclays Bank PLC into Analog Devices Inc.
9.000%
1/8/27
4,200
1,314,075
(a)
Barclays Bank PLC into Microsoft Corp.
9.000%
6/15/27
2,000
796,885
(a)
Barclays Bank PLC into Nike Inc.
10.000%
2/12/27
15,000
669,483
(a)
BNP Paribas Issuance BV into Freeport-McMoRan Inc.
10.000%
8/28/26
45,000
2,207,070
(a)
BNP Paribas Issuance BV into Nextera Energy Inc.
8.000%
2/10/27
20,000
1,766,547
(a)
BNP Paribas Issuance BV into Salesforce Inc.
10.000%
3/29/27
2,500
411,068
(a)
BNP Paribas Issuance BV into The Boeing Co.
9.000%
1/8/27
4,500
983,794
(a)
BNP Paribas Issuance BV into Wells Fargo & Co.
8.000%
7/14/27
10,000
832,340
(b)(c)
Citigroup Global Markets Holdings Inc. into Accenture PLC
12.000%
6/28/27
9,500
1,272,792
(a)
Citigroup Global Markets Holdings Inc. into Alphabet Inc.
9.000%
7/29/26
4,000
842,559
(a)
Citigroup Global Markets Holdings Inc. into Cisco
Systems Inc.
8.000%
10/28/26
28,000
2,270,531
(a)
Citigroup Global Markets Holdings Inc. into International
Business Machines Corp.
8.500%
8/21/26
5,000
1,330,592
(a)
JPMorgan Chase Bank NA into Marvell Technology Inc.
12.000%
1/7/27
15,000
1,733,124
(a)
JPMorgan Chase Bank NA into SLB Ltd.
10.000%
1/11/27
34,000
1,464,021
(a)
JPMorgan Structured Products BV into Microsoft Corp.
7.000%
10/15/26
2,000
778,039
(a)
Merrill Lynch BV into Microchip Technology Inc.
12.000%
12/29/26
22,000
1,634,520
(a)
Merrill Lynch BV into United Health Group Inc.
9.000%
9/25/26
6,000
2,286,418
(a)
Mizuho Markets Cayman LP into Meta Platforms Inc.
10.000%
12/7/26
1,600
913,425
(a)
Mizuho Markets Cayman LP into Microsoft Corp.
7.250%
1/7/27
2,250
885,594
(a)
Mizuho Markets Cayman LP into Schlumberger NV
10.000%
7/27/26
25,000
1,056,249
(a)
Mizuho Markets Cayman LP into Synopsys Inc.
11.000%
5/5/27
1,500
692,613
(a)
Mizuho Markets Cayman LP into The Home Depot Inc.
7.500%
7/27/26
2,500
898,253
(a)
Morgan Stanley Finance II Ltd. into Amazon.com Inc.
9.000%
1/8/27
3,777
890,130
(a)
Morgan Stanley Finance II Ltd. into Amgen Inc.
8.000%
12/16/26
3,500
1,227,107
(a)
Royal Bank of Canada into Analog Devices Inc.
10.000%
11/16/26
8,000
2,095,349
(a)
Royal Bank of Canada into Oracle Corp.
12.500%
5/12/27
1,000
154,195
(a)
Royal Bank of Canada into QUALCOMM Inc.
10.000%
2/12/27
5,000
779,787
(a)
Royal Bank of Canada into Texas Instruments Inc.
9.000%
7/21/26
11,000
2,759,531
(a)
Toronto-Dominion Bank into Amazon.com Inc.
10.000%
10/13/26
2,200
506,911
(a)
See Notes to Schedules of Investments.

82
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Income Equity Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Shares
Value
Toronto-Dominion Bank into Lowe’s Cos. Inc.
7.500%
8/19/26
4,700
 $1,047,961
(a)
Toronto-Dominion Bank into QUALCOMM Inc.
10.000%
11/25/26
3,450
589,141
(a)
Toronto-Dominion Bank into Salesforce Inc.
12.000%
7/6/27
9,000
1,403,169
(a)
Toronto-Dominion Bank into Starbucks Corp.
9.000%
1/27/27
25,300
2,535,115
(a)
Wells Fargo Bank NA into The Home Depot Inc.
7.500%
1/11/27
4,700
1,660,863
(a)
Wells Fargo Bank NA into United Parcel Service Inc.
11.000%
1/11/27
10,789
1,155,318
(a)
 
Total Equity-Linked Securities (Cost — $42,845,487)
45,039,932
 
 
 
Shares
 
Convertible Preferred Stocks — 8.8%
Communication Services — 1.2%
Interactive Media & Services — 1.2%
Alphabet Inc., Non Voting Shares
6.250%
15,000
763,350
Alphabet Inc., Non Voting Shares
6.250%
15,000
754,500
 
Total Communication Services
1,517,850
Financials — 0.8%
Capital Markets — 0.8%
Ares Management Corp., Non Voting Shares
6.750%
17,271
632,982
KKR & Co. Inc.
6.250%
8,142
324,459
 
Total Financials
957,441
Industrials — 1.1%
Aerospace & Defense — 1.1%
Boeing Co.
6.000%
21,197
1,426,558
 
Information Technology — 2.0%
Software — 1.0%
Oracle Corp., Non Voting Shares
6.500%
27,067
1,216,661
Technology Hardware, Storage & Peripherals — 1.0%
Hewlett Packard Enterprise Co.
7.625%
11,492
1,329,165
 
Total Information Technology
2,545,826
Materials — 1.4%
Chemicals — 1.4%
Albemarle Corp., Non Voting Shares
7.250%
31,561
1,746,901
 
Utilities — 2.3%
Electric Utilities — 2.3%
NextEra Energy Inc.
7.299%
31,292
1,662,857
PPL Corp., Non Voting Shares
7.000%
13,013
638,548
Southern Co.
7.125%
11,942
593,995
 
Total Utilities
2,895,400
Total Convertible Preferred Stocks (Cost — $10,188,372)
11,089,976
Total Investments before Short-Term Investments (Cost — $113,672,942)
122,824,316
 
Short-Term Investments — 3.7%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $4,652,135)
3.545%
4,652,135
4,652,135
(d)(e)
Total Investments — 101.0% (Cost — $118,325,077)
127,476,451
Liabilities in Excess of Other Assets — (1.0)%
(1,218,893
)
Total Net Assets — 100.0%
$126,257,558
See Notes to Schedules of Investments.

83
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Equity Focus ETF
*
Non-income producing security.
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(b)
Security is exempt from registration under Regulation S of the Securities Act of 1933. Regulation S applies to securities offerings that are made outside of
the United States and do not involve direct selling efforts in the United States. This security has been deemed liquid pursuant to guidelines approved by the
Board of Trustees.
(c)
Securities traded on a when-issued or delayed delivery basis.
(d)
Rate shown is one-day yield as of the end of the reporting period.
(e)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $4,652,135 and the cost was $4,652,135 (Note 3).
Abbreviation(s) used in this schedule:
ADR
American Depositary Receipts
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

84
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Corporate Bonds & Notes — 32.2%
Communication Services — 2.0%
Diversified Telecommunication Services — 0.6%
PR RNO Property Owner 1 LLC, Senior Secured Notes
6.500%
5/1/31
 $5,500,000
 $5,495,858
(a)
RD Michigan Property Owner I LLC, Senior Secured Notes
7.500%
3/30/45
2,500,000
2,494,855
(a)
Verizon Communications Inc., Junior Subordinated Notes (6.200% to 5/14/36
then 5 year Treasury Constant Maturity Rate + 2.042%)
6.200%
5/14/56
2,000,000
2,022,696
(b)
Total Diversified Telecommunication Services
10,013,409
Entertainment — 0.1%
Netflix Inc., Senior Notes
5.875%
11/15/28
945,000
975,088
Media — 1.1%
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
5.125%
5/1/27
616,000
615,070
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
5.000%
2/1/28
1,350,000
1,333,782
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
5.375%
6/1/29
1,250,000
1,223,489
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
6.375%
9/1/29
2,700,000
2,698,802
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
4.750%
3/1/30
1,200,000
1,138,405
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
7.375%
3/1/31
2,800,000
2,808,618
(a)
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
7.000%
2/1/33
6,000,000
5,889,095
(a)
Univision Communications Inc., Senior Secured Notes
9.375%
8/1/32
2,500,000
2,542,135
(a)
Total Media
18,249,396
Wireless Telecommunication Services — 0.2%
Connect Holding II LLC, Senior Secured Notes
10.500%
4/3/31
2,000,000
2,004,954
(a)
T-Mobile USA Inc., Senior Notes
5.050%
7/15/33
900,000
898,795
Total Wireless Telecommunication Services
2,903,749
 
Total Communication Services
32,141,642
Consumer Discretionary — 4.3%
Automobile Components — 0.3%
Dexko Global Inc., Senior Notes
7.500%
4/15/32
2,575,000
2,126,943
(a)
Rivian Holdings LLC/Rivian LLC/Rivian Automotive LLC, Senior Secured Notes
10.000%
1/15/31
3,000,000
2,990,493
(a)
Total Automobile Components
5,117,436
Automobiles — 1.3%
Ford Motor Co., Senior Notes
3.250%
2/12/32
1,750,000
1,543,064
Ford Motor Co., Senior Notes
6.100%
8/19/32
9,300,000
9,474,073
Ford Motor Credit Co. LLC, Senior Notes
7.350%
3/6/30
3,000,000
3,173,857
General Motors Co., Senior Notes
5.600%
10/15/32
2,700,000
2,764,573
General Motors Financial Co. Inc., Senior Notes
5.800%
1/7/29
850,000
870,726
General Motors Financial Co. Inc., Senior Notes
6.400%
1/9/33
2,000,000
2,125,521
Total Automobiles
19,951,814
Hotels, Restaurants & Leisure — 2.1%
Caesars Entertainment Inc., Senior Notes
4.625%
10/15/29
5,855,000
5,630,772
(a)
Caesars Entertainment Inc., Senior Notes
6.000%
10/15/32
5,000,000
4,534,647
(a)
Caesars Entertainment Inc., Senior Secured Notes
6.500%
2/15/32
3,500,000
3,416,808
(a)
Carnival Corp. Ltd., Senior Notes
5.750%
8/1/32
2,500,000
2,527,543
(a)
Carnival Corp. Ltd., Senior Notes
6.125%
2/15/33
2,000,000
2,025,190
(a)
Expedia Group Inc., Senior Notes
3.800%
2/15/28
525,000
518,478
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co. Inc., Senior
Notes
6.750%
1/15/30
8,000,000
7,851,170
(a)
See Notes to Schedules of Investments.

85
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Hotels, Restaurants & Leisure — continued
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co. Inc., Senior
Secured Notes
4.625%
1/15/29
 $1,315,000
 $1,279,351
(a)
NCL Corp. Ltd., Senior Notes
6.750%
2/1/32
300,000
299,537
(a)
Royal Caribbean Cruises Ltd., Senior Notes
6.250%
3/15/32
600,000
613,391
(a)
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp., Senior Notes
5.250%
5/15/27
775,000
775,090
(a)
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., Senior Notes
7.125%
2/15/31
700,000
740,149
(a)
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., Senior Notes
6.250%
3/15/33
3,800,000
3,816,325
(a)
Total Hotels, Restaurants & Leisure
34,028,451
Household Durables — 0.1%
Newell Brands Inc., Senior Notes
8.500%
6/1/28
2,000,000
2,090,596
(a)
Specialty Retail — 0.1%
Lowe’s Cos. Inc., Senior Notes
5.000%
4/15/33
1,000,000
1,004,324
Textiles, Apparel & Luxury Goods — 0.4%
Beach Acquisition Bidco LLC, Senior Notes (10.000% Cash or 10.750% PIK)
10.000%
7/15/33
5,689,170
6,462,812
(a)(c)
 
Total Consumer Discretionary
68,655,433
Consumer Staples — 0.6%
Food Products — 0.4%
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
5.750%
4/1/33
2,530,000
2,599,050
Pilgrim’s Pride Corp., Senior Notes
6.250%
7/1/33
3,000,000
3,135,912
Post Holdings Inc., Senior Secured Notes
6.250%
2/15/32
700,000
711,418
(a)
Total Food Products
6,446,380
Personal Care Products — 0.1%
Opal Bidco SAS, Senior Secured Notes
6.500%
3/31/32
2,000,000
2,041,402
(a)
Tobacco — 0.1%
BAT Capital Corp., Senior Notes
7.750%
10/19/32
850,000
969,097
BAT Capital Corp., Senior Notes
6.421%
8/2/33
500,000
540,698
Philip Morris International Inc., Senior Notes
5.375%
2/15/33
500,000
513,419
Total Tobacco
2,023,214
 
Total Consumer Staples
10,510,996
Energy — 3.0%
Energy Equipment & Services — 0.3%
Weatherford International Ltd., Senior Notes
8.625%
4/30/30
748,000
760,316
(a)
Weatherford International Ltd., Senior Notes
6.750%
10/15/33
3,000,000
3,062,552
(a)
Total Energy Equipment & Services
3,822,868
Oil, Gas & Consumable Fuels — 2.7%
Calumet Specialty Products Partners LP/Calumet Finance Corp., Senior Notes
9.750%
7/15/28
1,500,000
1,538,813
(a)
Calumet Specialty Products Partners LP/Calumet Finance Corp., Senior Notes
9.750%
2/15/31
2,500,000
2,644,957
(a)
Calumet Specialty Products Partners LP/Calumet Finance Corp., Senior
Secured Notes
9.250%
7/15/29
300,000
304,500
(a)
Cheniere Corpus Christi Holdings LLC, Senior Secured Notes
3.700%
11/15/29
800,000
773,780
Energy Transfer LP, Senior Notes
5.750%
2/15/33
2,500,000
2,589,476
Hilcorp Energy I LP/Hilcorp Finance Co., Senior Notes
7.250%
2/15/35
2,500,000
2,463,044
(a)
Kinder Morgan Inc., Senior Notes
5.200%
6/1/33
515,000
522,214
Kinder Morgan Inc., Senior Notes
5.400%
2/1/34
775,000
790,226
Matador Resources Co., Senior Notes
6.500%
4/15/32
450,000
452,696
(a)
See Notes to Schedules of Investments.

86
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Oil, Gas & Consumable Fuels — continued
Occidental Petroleum Corp., Senior Notes
6.625%
9/1/30
 $2,000,000
 $2,116,926
Venture Global LNG Inc., Senior Secured Notes
9.500%
2/1/29
3,000,000
3,230,433
(a)
Venture Global LNG Inc., Senior Secured Notes
7.000%
1/15/30
4,000,000
4,081,536
(a)
Venture Global LNG Inc., Senior Secured Notes
8.375%
6/1/31
6,000,000
6,247,819
(a)
Venture Global LNG Inc., Senior Secured Notes
9.875%
2/1/32
5,000,000
5,339,810
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
6.125%
12/15/30
3,000,000
3,070,914
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
6.500%
6/15/34
4,000,000
4,169,100
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
7.750%
5/1/35
2,000,000
2,243,894
(a)
Williams Cos. Inc., Senior Notes
3.500%
11/15/30
1,600,000
1,519,357
Total Oil, Gas & Consumable Fuels
44,099,495
 
Total Energy
47,922,363
Financials — 5.3%
Banks — 2.1%
Bank of America Corp., Senior Notes (4.571% to 4/27/32 then SOFR +
1.830%)
4.571%
4/27/33
1,500,000
1,470,817
(b)
Bank of America Corp., Subordinated Notes (5.425% to 8/15/34 then SOFR +
1.913%)
5.425%
8/15/35
1,500,000
1,505,062
(b)
Barclays PLC, Junior Subordinated Notes (7.625% to 9/15/35 then USD 5 year
SOFR ICE Swap Rate + 3.686%)
7.625%
3/15/35
1,000,000
1,045,734
(b)(d)
Barclays PLC, Senior Notes (7.437% to 11/2/32 then 1 year Treasury Constant
Maturity Rate + 3.500%)
7.437%
11/2/33
1,465,000
1,633,397
(b)
Citigroup Inc., Junior Subordinated Notes (6.875% to 8/15/30 then 5 year
Treasury Constant Maturity Rate + 2.890%)
6.875%
8/15/30
2,750,000
2,817,851
(b)(d)
Citigroup Inc., Senior Notes (6.270% to 11/17/32 then SOFR + 2.338%)
6.270%
11/17/33
500,000
533,204
(b)
Citigroup Inc., Subordinated Notes (6.020% to 1/24/35 then SOFR + 1.830%)
6.020%
1/24/36
1,000,000
1,030,386
(b)
Citigroup Inc., Subordinated Notes (6.174% to 5/25/33 then SOFR + 2.661%)
6.174%
5/25/34
5,000,000
5,219,284
(b)
JPMorgan Chase & Co., Junior Subordinated Notes (6.100% to 7/1/31 then 5
year Treasury Constant Maturity Rate + 2.080%)
6.100%
7/1/31
4,000,000
4,051,860
(b)(d)
JPMorgan Chase & Co., Junior Subordinated Notes (6.500% to 4/1/30 then 5
year Treasury Constant Maturity Rate + 2.152%)
6.500%
4/1/30
2,000,000
2,048,922
(b)(d)
JPMorgan Chase & Co., Senior Notes (5.040% to 1/23/27 then SOFR +
1.190%)
5.040%
1/23/28
980,000
983,152
(b)
Keybank National Association, Subordinated Notes
4.900%
8/8/32
615,000
602,781
PNC Financial Services Group Inc., Senior Notes (5.068% to 1/24/33 then
SOFR + 1.933%)
5.068%
1/24/34
510,000
510,703
(b)
Truist Financial Corp., Subordinated Notes (4.916% to 7/28/32 then SOFR +
2.240%)
4.916%
7/28/33
2,540,000
2,490,755
(b)
US Bancorp, Senior Notes (5.836% to 6/10/33 then SOFR + 2.260%)
5.836%
6/12/34
2,500,000
2,609,616
(b)
Wells Fargo & Co., Junior Subordinated Notes (6.125% to 6/15/31 then 5
year Treasury Constant Maturity Rate + 2.340%)
6.125%
6/15/31
5,000,000
5,061,515
(b)(d)
Wells Fargo & Co., Senior Notes (5.389% to 4/24/33 then SOFR + 2.020%)
5.389%
4/24/34
1,101,000
1,118,133
(b)
Total Banks
34,733,172
Capital Markets — 2.0%
Ares Strategic Income Fund, Senior Notes
5.550%
4/15/31
4,000,000
3,883,710
Blackstone Private Credit Fund, Senior Notes
6.000%
1/29/32
2,500,000
2,464,875
Charles Schwab Corp., Senior Notes (5.853% to 5/19/33 then SOFR +
2.500%)
5.853%
5/19/34
490,000
512,197
(b)
See Notes to Schedules of Investments.

87
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Capital Markets — continued
Charles Schwab Corp., Senior Notes (6.196% to 11/17/28 then SOFR +
1.878%)
6.196%
11/17/29
 $500,000
 $517,242
(b)
Goldman Sachs Group Inc., Junior Subordinated Notes (6.850% to 2/10/30
then 5 year Treasury Constant Maturity Rate + 2.461%)
6.850%
2/10/30
1,000,000
1,028,654
(b)(d)
Goldman Sachs Group Inc., Senior Notes (5.065% to 1/21/36 then SOFR +
1.190%)
5.065%
1/21/37
6,000,000
5,860,294
(b)
Goldman Sachs Group Inc., Senior Notes (6.561% to 10/24/33 then SOFR +
1.950%)
6.561%
10/24/34
825,000
892,824
(b)
Goldman Sachs Group Inc., Subordinated Notes (5.387% to 2/2/36 then 5
year Treasury Constant Maturity Rate + 1.180%)
5.387%
2/2/41
7,500,000
7,308,585
(b)
Morgan Stanley, Senior Notes (5.250% to 4/21/33 then SOFR + 1.870%)
5.250%
4/21/34
3,900,000
3,925,664
(b)
Morgan Stanley, Senior Notes (6.342% to 10/18/32 then SOFR + 2.560%)
6.342%
10/18/33
1,148,000
1,224,228
(b)
Morgan Stanley, Subordinated Notes (5.948% to 1/19/33 then 5 year Treasury
Constant Maturity Rate + 2.430%)
5.948%
1/19/38
4,000,000
4,117,130
(b)
Total Capital Markets
31,735,403
Consumer Finance — 0.3%
Capital One Financial Corp., Senior Notes (4.927% to 5/10/27 then SOFR +
2.057%)
4.927%
5/10/28
765,000
766,906
(b)
Capital One Financial Corp., Senior Notes (5.817% to 2/1/33 then SOFR +
2.600%)
5.817%
2/1/34
1,000,000
1,027,774
(b)
Capital One Financial Corp., Senior Notes (7.624% to 10/30/30 then SOFR +
3.070%)
7.624%
10/30/31
2,500,000
2,742,568
(b)
Total Consumer Finance
4,537,248
Financial Services — 0.4%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
5.750%
6/6/28
500,000
509,830
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
4.950%
9/10/34
750,000
731,398
Beignet Investor LLC, Senior Secured Notes
6.581%
5/30/49
5,000,000
5,103,242
(a)
Fiserv Inc., Senior Notes
5.600%
3/2/33
400,000
404,404
Macquarie Airfinance Holdings Ltd., Senior Notes
6.400%
3/26/29
500,000
514,796
(a)
Total Financial Services
7,263,670
Insurance — 0.5%
Asurion LLC/Asurion Co-Issuer Inc., Secured Notes
8.375%
2/1/34
3,000,000
2,779,242
(a)
Asurion LLC/Asurion Co-Issuer Inc., Senior Secured Notes
8.000%
12/31/32
4,000,000
4,033,486
(a)
Brown & Brown Inc., Senior Notes
2.375%
3/15/31
615,000
546,205
Five Corners Funding Trust III, Senior Notes
5.791%
2/15/33
490,000
508,969
(a)
Total Insurance
7,867,902
 
Total Financials
86,137,395
Health Care — 6.0%
Biotechnology — 0.1%
AbbVie Inc., Senior Notes
4.550%
3/15/35
520,000
504,509
Genmab A/S/Genmab Finance LLC, Senior Notes
7.250%
12/15/33
500,000
521,629
(a)
Genmab A/S/Genmab Finance LLC, Senior Secured Notes
6.250%
12/15/32
1,500,000
1,529,495
(a)
Total Biotechnology
2,555,633
Health Care Equipment & Supplies — 0.2%
Bausch & Lomb Corp., Senior Secured Notes
8.375%
10/1/28
675,000
694,406
(a)
GE HealthCare Technologies Inc., Senior Notes
5.905%
11/22/32
475,000
499,838
Medline Borrower LP, Senior Secured Notes
3.875%
4/1/29
1,135,000
1,102,816
(a)
See Notes to Schedules of Investments.

88
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Health Care Equipment & Supplies — continued
Medline Borrower LP/Medline Co-Issuer Inc., Senior Secured Notes
6.250%
4/1/29
 $300,000
 $306,554
(a)
Total Health Care Equipment & Supplies
2,603,614
Health Care Providers & Services — 5.1%
Centene Corp., Senior Notes
4.625%
12/15/29
1,600,000
1,552,938
Centene Corp., Senior Notes
2.500%
3/1/31
2,030,000
1,774,424
CHS/Community Health Systems Inc., Secured Notes
6.875%
4/15/29
2,000,000
1,968,772
(a)
CHS/Community Health Systems Inc., Secured Notes
6.125%
4/1/30
9,500,000
8,538,148
(a)
CHS/Community Health Systems Inc., Senior Secured Notes
4.750%
2/15/31
3,147,000
2,897,310
(a)
CHS/Community Health Systems Inc., Senior Secured Notes
10.875%
1/15/32
8,000,000
8,625,528
(a)
CHS/Community Health Systems Inc., Senior Secured Notes
9.750%
1/15/34
18,000,000
18,815,958
(a)
CVS Health Corp., Junior Subordinated Notes (6.750% to 12/10/34 then 5
year Treasury Constant Maturity Rate + 2.516%)
6.750%
12/10/54
2,500,000
2,605,637
(b)
CVS Health Corp., Junior Subordinated Notes (7.000% to 3/10/30 then 5 year
Treasury Constant Maturity Rate + 2.886%)
7.000%
3/10/55
5,000,000
5,193,210
(b)
CVS Health Corp., Senior Notes
5.250%
2/21/33
1,000,000
1,016,952
DaVita Inc., Senior Notes
4.625%
6/1/30
2,520,000
2,442,818
(a)
DaVita Inc., Senior Notes
6.875%
9/1/32
500,000
515,947
(a)
DaVita Inc., Senior Notes
6.750%
7/15/33
1,000,000
1,032,444
(a)
Fresenius Medical Care US Finance III Inc., Senior Notes
2.375%
2/16/31
645,000
572,141
(a)
HCA Inc., Senior Notes
5.625%
9/1/28
2,935,000
2,981,357
Medline Borrower LP/Medline Co-Issuer Inc., Senior Secured Notes
5.250%
6/15/33
4,000,000
3,978,673
(a)
Tenet Healthcare Corp., Senior Notes
6.125%
10/1/28
2,363,000
2,373,749
Tenet Healthcare Corp., Senior Notes
6.000%
11/15/33
2,500,000
2,523,658
(a)
Tenet Healthcare Corp., Senior Secured Notes
4.250%
6/1/29
6,000,000
5,834,665
Tenet Healthcare Corp., Senior Secured Notes
6.125%
6/15/30
3,500,000
3,530,023
Tenet Healthcare Corp., Senior Secured Notes
6.750%
5/15/31
2,500,000
2,562,265
UnitedHealth Group Inc., Senior Notes
5.350%
2/15/33
500,000
513,248
Total Health Care Providers & Services
81,849,865
Pharmaceuticals — 0.6%
1261229 BC Ltd., Senior Secured Notes
10.000%
4/15/32
4,000,000
4,054,024
(a)
Endo Finance Holdings LP, Senior Secured Notes
8.500%
4/15/31
500,000
525,855
(a)
Organon & Co./Organon Foreign Debt Co-Issuer BV, Senior Notes
5.125%
4/30/31
3,000,000
2,969,357
(a)
Organon & Co./Organon Foreign Debt Co-Issuer BV, Senior Secured Notes
4.125%
4/30/28
2,000,000
1,976,072
(a)
Teva Pharmaceutical Finance Netherlands III BV, Senior Notes
6.750%
3/1/28
600,000
614,325
Total Pharmaceuticals
10,139,633
 
Total Health Care
97,148,745
Industrials — 3.0%
Aerospace & Defense — 1.0%
Boeing Co., Senior Notes
5.150%
5/1/30
3,060,000
3,097,868
Boeing Co., Senior Notes
6.528%
5/1/34
1,500,000
1,632,411
Bombardier Inc., Senior Notes
7.250%
7/1/31
600,000
628,544
(a)
TransDigm Inc., Senior Notes
6.375%
5/31/33
4,000,000
4,040,732
(a)
TransDigm Inc., Senior Secured Notes
6.750%
8/15/28
600,000
606,725
(a)
TransDigm Inc., Senior Secured Notes
6.000%
1/15/33
2,500,000
2,526,060
(a)
TransDigm Inc., Subordinated Notes
6.750%
1/31/34
3,000,000
3,079,272
(a)
Total Aerospace & Defense
15,611,612
See Notes to Schedules of Investments.

89
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Building Products — 0.1%
Carrier Global Corp., Senior Notes
2.722%
2/15/30
 $850,000
 $794,963
Emerald Borrower LP/Emerald Co-Issuer Inc., Senior Secured Notes
6.625%
12/15/30
500,000
511,792
(a)
Quikrete Holdings Inc., Senior Secured Notes
6.375%
3/1/32
1,000,000
1,021,657
(a)
Total Building Products
2,328,412
Commercial Services & Supplies — 0.1%
RR Donnelley & Sons Co., Senior Secured Notes
9.500%
8/1/29
2,000,000
2,075,592
(a)
Electrical Equipment — 0.1%
Regal Rexnord Corp., Senior Notes
6.300%
2/15/30
1,000,000
1,043,945
Regal Rexnord Corp., Senior Notes
6.400%
4/15/33
500,000
530,967
Total Electrical Equipment
1,574,912
Passenger Airlines — 0.9%
American Airlines Inc./AAdvantage Loyalty IP Ltd., Senior Secured Notes
5.750%
4/20/29
5,000,000
5,012,660
(a)
Delta Air Lines Inc./SkyMiles IP Ltd., Senior Secured Notes
4.750%
10/20/28
1,583,333
1,582,231
(a)
JetBlue Airways Corp./JetBlue Loyalty LP, Senior Secured Notes
9.875%
9/20/31
5,250,000
4,762,107
(a)
United Airlines Inc., Senior Secured Notes
4.625%
4/15/29
2,500,000
2,466,940
(a)
Total Passenger Airlines
13,823,938
Trading Companies & Distributors — 0.8%
Ashtead Capital Inc., Senior Notes
4.250%
11/1/29
550,000
538,888
(a)
Ashtead Capital Inc., Senior Notes
5.550%
5/30/33
2,000,000
2,021,379
(a)
EquipmentShare.com Inc., Secured Notes
7.125%
7/1/34
2,500,000
2,459,471
(a)(e)
Herc Holdings Inc., Senior Notes
7.000%
6/15/30
3,000,000
3,108,758
(a)
QXO Building Products Inc., Senior Notes
6.500%
7/15/31
2,000,000
2,039,452
(a)
QXO Building Products Inc., Senior Notes
6.875%
7/15/34
2,000,000
2,054,351
(a)
United Rentals North America Inc., Senior Secured Notes
6.000%
12/15/29
485,000
493,220
(a)
Total Trading Companies & Distributors
12,715,519
 
Total Industrials
48,129,985
Information Technology — 1.9%
IT Services — 0.1%
CoreWeave Inc., Senior Notes
9.000%
2/1/31
2,000,000
1,978,929
(a)
Semiconductors & Semiconductor Equipment — 0.2%
Broadcom Inc., Senior Notes
3.469%
4/15/34
1,315,000
1,181,250
NXP BV/NXP Funding LLC, Senior Notes
5.550%
12/1/28
500,000
509,123
Qnity Electronics Inc., Senior Notes
6.250%
8/15/33
750,000
764,014
(a)
Qnity Electronics Inc., Senior Secured Notes
5.750%
8/15/32
750,000
754,932
(a)
Total Semiconductors & Semiconductor Equipment
3,209,319
Software — 1.5%
Cloud Software Group Inc., Secured Notes
9.000%
9/30/29
6,000,000
5,828,351
(a)
Cloud Software Group Inc., Senior Secured Notes
6.500%
3/31/29
2,900,000
2,815,962
(a)
McAfee Corp., Senior Notes
7.375%
2/15/30
3,400,000
2,891,928
(a)
Oracle Corp., Senior Notes
2.875%
3/25/31
650,000
580,901
Oracle Corp., Senior Notes
6.250%
11/9/32
3,220,000
3,310,841
Oracle Corp., Senior Notes
5.700%
2/4/36
4,000,000
3,875,226
Salesforce Inc., Senior Notes
5.550%
3/15/36
4,250,000
4,248,529
Total Software
23,551,738
Technology Hardware, Storage & Peripherals — 0.1%
Dell International LLC/EMC Corp., Senior Notes
5.750%
2/1/33
300,000
311,858
See Notes to Schedules of Investments.

90
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Technology Hardware, Storage & Peripherals — continued
Hewlett Packard Enterprise Co., Senior Notes
5.000%
10/15/34
 $750,000
 $735,073
HP, Inc., Senior Notes
5.500%
1/15/33
750,000
766,072
Total Technology Hardware, Storage & Peripherals
1,813,003
 
Total Information Technology
30,552,989
Materials — 3.2%
Chemicals — 1.1%
ARC Falcon I Inc./Arclin USA LLC/New Arclin US Holding Corp., Senior
Secured Notes
9.750%
3/1/33
3,000,000
2,889,105
(a)
Celanese US Holdings LLC, Senior Notes
7.550%
11/15/30
2,500,000
2,651,500
Celanese US Holdings LLC, Senior Notes
7.379%
7/15/32
2,500,000
2,630,753
Rain Carbon Inc., Senior Secured Notes
12.250%
9/1/29
500,000
533,917
(a)
SCIH Salt Holdings Inc., Senior Notes
6.625%
5/1/29
1,250,000
1,240,138
(a)
SCIH Salt Holdings Inc., Senior Secured Notes
4.875%
5/1/28
1,155,000
1,139,994
(a)
Tronox Inc., Senior Notes
4.625%
3/15/29
3,000,000
2,102,667
(a)
Tronox Inc., Senior Secured Notes
9.125%
9/30/30
5,000,000
5,026,841
(a)
Total Chemicals
18,214,915
Containers & Packaging — 1.4%
Ardagh Group SA, Senior Secured Notes
9.500%
12/1/30
4,702,000
5,029,523
(a)
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance
PLC, Senior Notes
4.000%
9/1/29
675,000
641,984
(a)
Clydesdale Acquisition Holdings Inc., Senior Secured Notes
6.750%
4/15/32
3,000,000
2,914,051
(a)
Mauser Packaging Solutions Holding Co., Secured Notes
9.250%
4/15/30
3,000,000
2,953,836
(a)
Mauser Packaging Solutions Holding Co., Senior Secured Notes
7.875%
4/15/30
6,500,000
6,648,557
(a)
Sword Purchaser LLC, Senior Secured Notes
8.250%
4/15/33
3,750,000
3,882,525
(a)
Total Containers & Packaging
22,070,476
Metals & Mining — 0.7%
Alcoa Nederland Holding BV, Senior Notes
4.125%
3/31/29
825,000
804,068
(a)
ArcelorMittal SA, Senior Notes
6.800%
11/29/32
485,000
532,403
Cleveland-Cliffs Inc., Senior Notes
6.750%
4/15/30
1,000,000
1,001,605
(a)
Cleveland-Cliffs Inc., Senior Notes
7.000%
3/15/32
3,000,000
2,980,036
(a)
Cleveland-Cliffs Inc., Senior Notes
7.625%
1/15/34
3,500,000
3,497,919
(a)
Fortescue Treasury Pty Ltd., Senior Notes
4.375%
4/1/31
1,000,000
952,331
(a)
Fortescue Treasury Pty Ltd., Senior Notes
6.125%
4/15/32
770,000
792,148
(a)
Freeport-McMoRan Inc., Senior Notes
5.400%
11/14/34
775,000
788,655
Total Metals & Mining
11,349,165
 
Total Materials
51,634,556
Real Estate — 0.7%
Diversified REITs — 0.3%
Healthpeak OP LLC, Senior Notes
5.250%
12/15/32
500,000
504,772
VICI Properties LP, Senior Notes
5.125%
5/15/32
3,300,000
3,273,760
Total Diversified REITs
3,778,532
Specialized REITs — 0.4%
American Tower Corp., Senior Notes
5.550%
7/15/33
1,250,000
1,282,894
Crown Castle Inc., Senior Notes
5.100%
5/1/33
300,000
297,623
Millrose Properties Inc., Senior Notes
6.375%
8/1/30
1,500,000
1,521,300
(a)
See Notes to Schedules of Investments.

91
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Specialized REITs — continued
QTS Fayetteville I DC1-2 LLC/QTS TRS Fayetteville I DC1-2 LLC, Senior
Secured Notes
5.700%
4/15/36
 $4,000,000
 $3,804,627
(a)
Total Specialized REITs
6,906,444
 
Total Real Estate
10,684,976
Utilities — 2.2%
Electric Utilities — 2.1%
American Electric Power Co. Inc., Senior Notes
5.625%
3/1/33
300,000
311,000
NextEra Energy Capital Holdings Inc., Senior Notes
5.250%
3/15/34
500,000
506,221
NRG Energy Inc., Senior Notes
3.625%
2/15/31
1,320,000
1,226,370
(a)
NRG Energy Inc., Senior Notes
6.000%
2/1/33
6,000,000
6,034,350
(a)
NRG Energy Inc., Senior Notes
6.250%
11/1/34
1,500,000
1,519,445
(a)
NRG Energy Inc., Senior Notes
6.000%
1/15/36
3,500,000
3,490,827
(a)
NRG Energy Inc., Senior Notes
6.125%
5/15/36
2,306,000
2,308,059
(a)
NRG Energy Inc., Senior Secured Notes
7.000%
3/15/33
750,000
814,014
(a)
PG&E Corp., Senior Secured Notes
5.250%
7/1/30
1,000,000
985,207
Southern Co., Junior Subordinated Notes (6.000% to 4/1/33 then 5 year
Treasury Constant Maturity Rate + 1.993%)
6.000%
4/1/58
3,500,000
3,509,404
(b)
Southern Co., Junior Subordinated Notes (6.375% to 3/15/35 then 5 year
Treasury Constant Maturity Rate + 2.069%)
6.375%
3/15/55
1,000,000
1,029,635
(b)
Southern Co., Senior Notes
5.700%
10/15/32
480,000
499,402
Talen Energy Supply LLC, Senior Notes
6.125%
5/1/31
4,000,000
4,001,736
(a)
Vistra Operations Co. LLC, Senior Notes
3.700%
1/30/27
535,000
532,186
(a)
Vistra Operations Co. LLC, Senior Notes
4.375%
5/1/29
1,500,000
1,474,328
(a)
Vistra Operations Co. LLC, Senior Notes
7.750%
10/15/31
1,500,000
1,569,997
(a)
Vistra Operations Co. LLC, Senior Notes
6.875%
4/15/32
2,900,000
3,004,789
(a)
Vistra Operations Co. LLC, Senior Notes
6.950%
10/15/33
800,000
870,906
(a)
Total Electric Utilities
33,687,876
Independent Power and Renewable Electricity Producers — 0.1%
Vistra Corp., Junior Subordinated Notes (8.000% to 10/15/26 then 5 year
Treasury Constant Maturity Rate + 6.930%)
8.000%
10/15/26
2,000,000
2,021,340
(a)(b)(d)
Multi-Utilities — 0.0%††
Dominion Energy Inc., Senior Notes
3.375%
4/1/30
300,000
286,488
 
Total Utilities
35,995,704
Total Corporate Bonds & Notes (Cost — $513,495,602)
519,514,784
 
 
 
Shares
 
Common Stocks — 26.6%
Communication Services — 1.5%
Diversified Telecommunication Services — 1.5%
Verizon Communications Inc.
564,453
23,898,940
 
Consumer Discretionary — 1.0%
Broadline Retail — 0.2%
Amazon.com Inc.
11,795
2,811,221
*
Hotels, Restaurants & Leisure — 0.2%
McDonald’s Corp.
14,746
3,985,991
Specialty Retail — 0.6%
Home Depot Inc.
26,076
9,196,484
See Notes to Schedules of Investments.

92
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Specialty Retail — continued
Lowe’s Cos. Inc.
256
 $56,445
Total Specialty Retail
9,252,929
 
Total Consumer Discretionary
16,050,141
Consumer Staples — 6.6%
Beverages — 2.1%
Coca-Cola Co.
180,125
14,638,759
PepsiCo Inc.
141,662
19,181,035
Total Beverages
33,819,794
Consumer Staples Distribution & Retail — 0.3%
Target Corp.
36,721
4,796,130
Food Products — 1.6%
Mondelez International Inc., Class A Shares
147,015
8,503,347
Nestle SA, ADR
162,026
16,638,450
Total Food Products
25,141,797
Household Products — 1.9%
Procter & Gamble Co.
209,476
30,717,561
Tobacco — 0.7%
Philip Morris International Inc.
63,617
11,508,951
 
Total Consumer Staples
105,984,233
Energy — 3.6%
Oil, Gas & Consumable Fuels — 3.6%
Chevron Corp.
109,615
18,169,782
ConocoPhillips
48,920
5,085,723
Exxon Mobil Corp.
149,980
20,505,266
Shell PLC, ADR
179,974
13,955,184
 
Total Energy
57,715,955
Financials — 2.9%
Banks — 2.3%
Bank of America Corp.
202,597
11,543,977
Fifth Third Bancorp
100,836
5,684,125
Truist Financial Corp.
213,757
10,649,374
US Bancorp
148,254
8,954,542
Total Banks
36,832,018
Capital Markets — 0.6%
Morgan Stanley
44,843
9,373,981
 
Total Financials
46,205,999
Health Care — 1.4%
Health Care Equipment & Supplies — 0.0%††
Abbott Laboratories
216
19,600
Medtronic PLC
106
8,292
Total Health Care Equipment & Supplies
27,892
Pharmaceuticals — 1.4%
Pfizer Inc.
317,228
7,638,850
Roche Holding AG, ADR
291,554
14,971,298
Total Pharmaceuticals
22,610,148
 
Total Health Care
22,638,040
See Notes to Schedules of Investments.

93
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Industrials — 1.6%
Aerospace & Defense — 0.5%
Lockheed Martin Corp.
17,094
 $8,708,709
Ground Transportation — 0.3%
Union Pacific Corp.
17,636
4,796,992
Industrial Conglomerates — 0.8%
Siemens AG, Registered Shares
39,416
12,662,073
 
Total Industrials
26,167,774
Information Technology — 2.2%
Communications Equipment — 0.5%
Cisco Systems Inc.
66,879
7,855,607
IT Services — 0.7%
Accenture PLC, Class A Shares
16,196
2,015,430
International Business Machines Corp.
32,323
9,089,551
Total IT Services
11,104,981
Semiconductors & Semiconductor Equipment — 0.5%
Texas Instruments Inc.
25,749
7,675,005
Software — 0.1%
Microsoft Corp.
6,836
2,549,965
Technology Hardware, Storage & Peripherals — 0.4%
Dell Technologies Inc., Class C Shares
16,303
7,034,092
 
Total Information Technology
36,219,650
Materials — 1.4%
Chemicals — 1.4%
Air Products & Chemicals Inc.
47,084
13,804,087
LyondellBasell Industries NV, Class A Shares
169,106
8,903,431
 
Total Materials
22,707,518
Utilities — 4.4%
Electric Utilities — 2.3%
Duke Energy Corp.
152,787
19,339,778
Southern Co.
139,456
13,347,334
Xcel Energy Inc.
65,090
5,226,727
Total Electric Utilities
37,913,839
Multi-Utilities — 2.1%
Dominion Energy Inc.
141,873
9,688,507
DTE Energy Co.
128,908
19,641,712
Sempra
48,152
4,464,172
Total Multi-Utilities
33,794,391
 
Total Utilities
71,708,230
Total Common Stocks (Cost — $394,673,313)
429,296,480
 
 
Rate
Maturity
Date
 
 
Equity-Linked Securities — 20.2%
Other — 20.2%
Barclays Bank PLC into AbbVie Inc.
8.500%
12/16/26
60,000
14,344,360
(a)
Barclays Bank PLC into Capital One Financial Corp.
8.000%
3/15/27
33,000
6,648,480
(a)
Barclays Bank PLC into Hewlett Packard Enterprise Co.
10.000%
7/29/26
200,000
5,037,825
(a)
See Notes to Schedules of Investments.

94
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Shares
Value
Barclays Bank PLC into Micron Technology Inc.
10.000%
9/8/26
25,000
 $3,781,131
(a)
Barclays Bank PLC into Microsoft Corp.
9.000%
6/15/27
10,000
3,984,423
(a)
Barclays Bank PLC into Nike Inc.
10.000%
2/12/27
125,000
5,579,022
(a)
Barclays Bank PLC into Snowflake Inc.
12.500%
4/27/27
25,000
4,359,359
(a)
BNP Paribas Issuance BV into AstraZeneca PLC
7.500%
10/14/26
110,000
9,184,729
(a)
BNP Paribas Issuance BV into Freeport-McMoRan Inc.
10.000%
8/28/26
97,000
4,757,462
(a)
BNP Paribas Issuance BV into Oracle Corp.
12.500%
5/10/27
50,000
7,748,456
(a)
BNP Paribas Issuance BV into Salesforce Inc.
10.000%
3/29/27
42,000
6,905,939
(a)
BNP Paribas Issuance BV into Target Corp.
11.000%
10/7/26
25,000
2,746,880
(a)
BNP Paribas Issuance BV into Wells Fargo & Co.
8.000%
7/14/27
80,000
6,658,722
(e)(f)
BNP Paribas SA into Texas Instruments Inc.
9.000%
7/1/26
25,000
5,861,733
(a)
Citigroup Global Markets Holdings Inc. into Alphabet Inc.
9.000%
7/29/26
20,000
4,212,793
(a)
Citigroup Global Markets Holdings Inc. into Cisco
Systems Inc.
8.000%
10/28/26
165,000
13,379,914
(a)
Citigroup Global Markets Holdings Inc. into International
Business Machines Corp.
8.500%
8/21/26
30,000
7,983,551
(a)
Citigroup Global Markets Holdings Inc. into Workday Inc.
10.000%
2/24/27
20,000
2,530,109
(a)
JPMorgan Chase Bank NA into Blackrock Inc.
8.000%
4/1/27
6,000
5,915,379
(a)
JPMorgan Chase Bank NA into Marvell Technology Inc.
12.000%
1/7/27
110,000
12,709,574
(a)
JPMorgan Chase Bank NA into SLB Ltd.
10.000%
1/11/27
75,000
3,229,458
(a)
JPMorgan Structured Products BV into The Home
Depot Inc.
8.000%
10/20/26
11,500
4,186,891
(a)
Merrill Lynch BV into Bank of America Corp.
10.000%
7/1/26
11,000
4,384,558
(a)
Merrill Lynch BV into Bank of America Corp.
11.000%
9/3/26
50,000
3,855,135
(a)
Merrill Lynch BV into Bank of America Corp.
8.000%
3/3/27
50,000
4,695,393
(f)
Merrill Lynch BV into United Health Group Inc.
9.000%
9/25/26
7,500
2,858,022
(a)
Mizuho Markets Cayman LP into Meta Platforms Inc.
10.000%
12/7/26
7,250
4,138,955
(a)
Mizuho Markets Cayman LP into Microsoft Corp.
7.250%
1/7/27
10,900
4,290,210
(a)
Mizuho Markets Cayman LP into Palo Alto Networks Inc.
10.000%
4/28/27
27,000
5,410,875
(a)
Mizuho Markets Cayman LP into Schlumberger NV
10.000%
7/27/26
110,000
4,647,496
(a)
Mizuho Markets Cayman LP into Synopsys Inc.
11.000%
5/5/27
10,000
4,617,421
(a)
Mizuho Markets Cayman LP into The Home Depot Inc.
7.500%
7/27/26
14,500
5,209,866
(a)
Morgan Stanley Finance II Ltd. into Amazon.com Inc.
9.000%
1/8/27
24,000
5,656,111
(a)
Morgan Stanley Finance LLC into JP Morgan Chase &
Co.
8.000%
3/30/27
40,000
12,321,441
(a)
Morgan Stanley Into International Business Machines
Corp.
8.000%
4/8/27
14,000
3,793,244
(a)
Royal Bank of Canada into Analog Devices Inc.
10.000%
11/16/26
23,500
6,155,088
(a)
Royal Bank of Canada into Oracle Corp.
12.500%
5/12/27
20,000
3,083,905
(a)
Royal Bank of Canada into QUALCOMM Inc.
10.000%
2/12/27
30,000
4,678,723
(a)
Royal Bank of Canada into Texas Instruments Inc.
8.500%
8/20/26
20,000
4,320,490
(a)
Toronto-Dominion Bank into Amazon.com Inc.
10.000%
10/13/26
11,000
2,534,554
(a)
Toronto-Dominion Bank into Lowe’s Cos. Inc.
7.500%
8/19/26
20,000
4,459,409
(a)
Toronto-Dominion Bank into QUALCOMM Inc.
10.000%
11/25/26
24,000
4,098,373
(a)
Toronto-Dominion Bank into Starbucks Corp.
9.000%
1/27/27
55,000
5,511,119
(a)
UBS AG into Abbott Laboratories
8.000%
4/12/27
150,000
14,344,908
(a)
UBS AG into Accenture PLC
8.000%
7/13/26
7,500
977,355
(a)
See Notes to Schedules of Investments.

95
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Shares
Value
UBS AG into Bank of America Corp.
8.000%
3/3/27
100,000
 $5,568,910
(a)
UBS AG into Exxon Mobil Corp.
7.500%
12/4/26
87,000
10,960,823
(a)
UBS AG into Medtronic PLC
8.000%
7/14/27
180,000
14,176,800
(a)(e)
UBS AG into Texas Instruments Inc.
10.000%
2/24/27
30,000
7,238,054
(a)
Wells Fargo Bank NA into Amazon.com
9.000%
2/26/27
25,000
5,458,485
(a)
Wells Fargo Bank NA into Microsoft Corp.
8.000%
3/8/27
28,000
10,570,239
(a)
Wells Fargo Bank NA into NextEra Energy Inc.
9.500%
10/22/26
50,000
4,417,150
(a)
Wells Fargo Bank NA into Starbucks Corp.
9.000%
8/10/26
20,000
2,063,734
(a)
Wells Fargo Bank NA into The Home Depot Inc.
7.500%
1/11/27
23,000
8,127,628
(a)
 
Total Equity-Linked Securities (Cost — $313,948,400)
326,370,664
 
 
 
 
Face
Amount
 
U.S. Government & Agency Obligations — 7.3%
U.S. Government Obligations — 7.3%
U.S. Treasury Bonds
5.000%
5/15/45
 $7,000,000
7,061,523
U.S. Treasury Bonds
4.500%
11/15/54
2,000,000
1,862,148
U.S. Treasury Bonds
4.750%
5/15/55
17,000,000
16,493,320
U.S. Treasury Bonds
4.625%
11/15/55
6,000,000
5,708,906
U.S. Treasury Bonds
5.000%
5/15/56
11,500,000
11,623,086
U.S. Treasury Notes
3.375%
11/30/27
6,000,000
5,936,016
U.S. Treasury Notes
4.625%
4/30/29
2,500,000
2,530,274
U.S. Treasury Notes
4.250%
1/31/30
7,000,000
7,016,133
U.S. Treasury Notes
3.500%
2/28/31
15,000,000
14,561,133
U.S. Treasury Notes
3.750%
11/30/32
6,000,000
5,820,703
U.S. Treasury Notes
4.000%
2/15/34
4,000,000
3,908,594
U.S. Treasury Notes
4.250%
11/15/34
4,000,000
3,961,328
U.S. Treasury Notes
4.250%
5/15/35
10,000,000
9,883,203
U.S. Treasury Notes
4.000%
11/15/35
22,500,000
21,768,750
 
Total U.S. Government & Agency Obligations (Cost — $118,564,402)
118,135,117
 
 
 
Shares
 
Convertible Preferred Stocks — 5.5%
Communication Services — 0.8%
Interactive Media & Services — 0.8%
Alphabet Inc., Non Voting Shares
6.250%
119,710
6,092,042
Alphabet Inc., Non Voting Shares
6.250%
119,710
6,021,413
 
Total Communication Services
12,113,455
Financials — 1.0%
Capital Markets — 1.0%
Ares Management Corp., Non Voting Shares
6.750%
211,209
7,740,810
KKR & Co. Inc.
6.250%
200,267
7,980,640
 
Total Financials
15,721,450
Industrials — 0.6%
Aerospace & Defense — 0.6%
Boeing Co.
6.000%
134,636
9,061,003
See Notes to Schedules of Investments.

96
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Shares
Value
 
Information Technology — 0.7%
Software — 0.7%
Oracle Corp., Non Voting Shares
6.500%
268,308
 $12,060,444
 
Materials — 0.8%
Chemicals — 0.8%
Albemarle Corp., Non Voting Shares
7.250%
247,419
13,694,642
 
Utilities — 1.6%
Electric Utilities — 1.6%
NextEra Energy Inc.
7.299%
139,762
7,426,952
NextEra Energy Inc.
7.234%
147,001
7,305,950
PPL Corp., Non Voting Shares
7.000%
100,000
4,907,000
Southern Co.
7.125%
128,850
6,408,999
 
Total Utilities
26,048,901
Total Convertible Preferred Stocks (Cost — $88,613,835)
88,699,895
 
 
 
Maturity
Date
Face
Amount
 
Mortgage-Backed Securities — 4.4%
FHLMC — 1.4%
Federal Home Loan Mortgage Corp. (FHLMC)
5.000%
5/1/53-
11/1/54
 $4,877,386
4,816,421
Federal Home Loan Mortgage Corp. (FHLMC)
5.500%
7/1/53-
3/1/56
16,203,433
16,281,030
Federal Home Loan Mortgage Corp. (FHLMC)
6.000%
9/1/55
2,088,703
2,138,127
Total FHLMC
23,235,578
FNMA — 0.8%
Federal National Mortgage Association (FNMA)
5.000%
5/1/53-
11/1/53
2,111,946
2,089,251
Federal National Mortgage Association (FNMA)
5.500%
11/1/54-
1/1/56
9,333,555
9,373,858
Federal National Mortgage Association (FNMA)
6.000%
8/1/55
1,843,387
1,887,006
Total FNMA
13,350,115
GNMA — 2.2%
Government National Mortgage Association (GNMA) II
5.000%
9/20/54-
12/20/55
5,470,431
5,400,594
Government National Mortgage Association (GNMA) II
5.500%
5/20/55-
3/20/56
25,606,115
25,764,968
Government National Mortgage Association (GNMA) II
6.000%
8/20/55-
1/20/56
3,726,738
3,809,829
Total GNMA
34,975,391
 
Total Mortgage-Backed Securities (Cost — $71,548,327)
71,561,084
Senior Loans — 0.9%
Energy — 0.3%
Oil, Gas & Consumable Fuels — 0.3%
Venture Global Calcasieu Pass LLC, Initial Term Loan (6 mo. Term SOFR +
3.250%)
6.954%
4/11/33
6,000,000
6,024,600
(b)(g)(h)
 
Health Care — 0.4%
Health Care Equipment & Supplies — 0.4%
Hologic Inc., Initial Term Loan (3 mo. Term SOFR + 5.000%)
8.745%
4/7/32
4,500,000
4,463,460
(b)(g)(h)
See Notes to Schedules of Investments.

97
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Income Focus ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Health Care Equipment & Supplies — continued
Hologic Inc., USD Initial Term Loan B (3 mo. Term SOFR + 2.250%)
5.995%
4/7/33
 $1,500,000
 $1,469,693
(b)(g)(h)
Total Health Care Equipment & Supplies
5,933,153
Health Care Technology — 0.0%††
MPH Acquisition Holdings LLC, First Out Term Loan (3 mo. Term SOFR +
3.750%)
7.413%
12/31/30
163,627
164,172
(b)(g)(h)
 
Total Health Care
6,097,325
Industrials — 0.2%
Passenger Airlines — 0.2%
American Airlines Inc., 2026 Term Loan (3 mo. Term SOFR + 3.000%)
6.666%
5/20/33
3,000,000
2,968,125
(b)(g)(h)
 
Total Senior Loans (Cost — $14,998,016)
15,090,050
Total Investments before Short-Term Investments (Cost — $1,515,841,895)
1,568,668,074
 
 
 
Shares
 
Short-Term Investments — 3.4%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $55,244,047)
3.545%
55,244,047
55,244,047
(i)(j)
Total Investments — 100.5% (Cost — $1,571,085,942)
1,623,912,121
Liabilities in Excess of Other Assets — (0.5)%
(8,808,350
)
Total Net Assets — 100.0%
$1,615,103,771
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(b)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(c)
Payment-in-kind security for which the issuer has the option at each interest payment date of making interest payments in cash or additional securities.
(d)
Security has no maturity date. The date shown represents the next call date.
(e)
Securities traded on a when-issued or delayed delivery basis.
(f)
Security is exempt from registration under Regulation S of the Securities Act of 1933. Regulation S applies to securities offerings that are made outside of
the United States and do not involve direct selling efforts in the United States. This security has been deemed liquid pursuant to guidelines approved by the
Board of Trustees.
(g)
Interest rates disclosed represent the effective rates on senior loans. Ranges in interest rates are attributable to multiple contracts under the same loan.
(h)
Senior loans may be considered restricted in that the Fund ordinarily is contractually obligated to receive approval from the agent bank and/or borrower
prior to the disposition of a senior loan.
(i)
Rate shown is one-day yield as of the end of the reporting period.
(j)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $55,244,047 and the cost was $55,244,047 (Note 3).
Abbreviation(s) used in this schedule:
ADR
American Depositary Receipts
ICE
Intercontinental Exchange
PIK
Payment-In-Kind
SOFR
Secured Overnight Financing Rate
USD
United States Dollar
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

98
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Intelligent Machines ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 97.2%
Communication Services — 1.0%
Interactive Media & Services — 1.0%
Alphabet Inc., Class A Shares
3,423
 $1,223,278
 
Consumer Discretionary — 3.5%
Automobile Components — 0.4%
Hesai Group, ADR
24,201
440,942
*
Automobiles — 2.7%
Tesla Inc.
7,527
3,165,856
*
Household Durables — 0.4%
Garmin Ltd.
2,263
537,553
 
Total Consumer Discretionary
4,144,351
Energy — 2.4%
Energy Equipment & Services — 1.8%
Baker Hughes Co.
11,063
613,996
Oceaneering International Inc.
12,801
518,697
*
TechnipFMC PLC
14,769
979,185
Total Energy Equipment & Services
2,111,878
Oil, Gas & Consumable Fuels — 0.6%
Cameco Corp.
6,513
663,414
 
Total Energy
2,775,292
Health Care — 1.0%
Health Care Equipment & Supplies — 0.9%
Hoya Corp.
3,693
589,653
Intuitive Surgical Inc.
1,225
487,158
*
Total Health Care Equipment & Supplies
1,076,811
Health Care Technology — 0.1%
HeartFlow Inc.
2,554
74,934
*
 
Total Health Care
1,151,745
Industrials — 19.9%
Aerospace & Defense — 3.5%
Axon Enterprise Inc.
1,338
750,096
*
Curtiss-Wright Corp.
789
597,873
Elbit Systems Ltd.
830
629,737
Karman Holdings Inc.
3,226
161,042
*
Kratos Defense & Security Solutions Inc.
3,248
161,945
*
Rocket Lab Corp.
17,835
1,812,928
*
Total Aerospace & Defense
4,113,621
Construction & Engineering — 4.3%
Argan Inc.
657
524,647
Comfort Systems USA Inc.
290
574,766
Dycom Industries Inc.
620
313,466
*
Legence Corp., Class A Shares
10,997
937,274
*
Quanta Services Inc.
3,098
2,230,684
Valmont Industries Inc.
744
429,734
Total Construction & Engineering
5,010,571
Electrical Equipment — 11.9%
Amprius Technologies Inc.
19,066
264,255
*
See Notes to Schedules of Investments.

99
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Intelligent Machines ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Electrical Equipment — continued
Bloom Energy Corp., Class A Shares
13,950
 $4,222,665
*
Contemporary Amperex Technology Co. Ltd., Class H Shares
7,898
707,008
Forgent Power Solutions Inc., Class A Shares
19,034
1,063,239
*
GE Vernova Inc.
3,394
3,987,475
Nextpower Inc., Class A Shares
4,458
531,126
*
nVent Electric PLC
5,324
903,004
Siemens Energy AG
2,609
494,560
Vertiv Holdings Co., Class A Shares
5,496
1,840,171
Total Electrical Equipment
14,013,503
Machinery — 0.2%
ESCO Technologies Inc.
480
168,019
Symbotic Inc.
2,585
116,196
*
Total Machinery
284,215
 
Total Industrials
23,421,910
Information Technology — 69.4%
Communications Equipment — 3.7%
Arista Networks Inc.
13,344
2,266,879
*
Ciena Corp.
1,875
919,800
*
Lumentum Holdings Inc.
1,293
1,109,472
*
Total Communications Equipment
4,296,151
Electronic Equipment, Instruments & Components — 12.3%
Advanced Energy Industries Inc.
2,440
909,803
Amphenol Corp., Class A Shares
8,600
1,516,352
Celestica Inc.
13,827
5,044,090
*
Coherent Corp.
3,767
1,485,968
*
Fabrinet
2,098
1,179,244
*
Keysight Technologies Inc.
1,724
603,521
*
Murata Manufacturing Co. Ltd.
12,400
869,392
Samsung Electro-Mechanics Co. Ltd.
671
945,888
TE Connectivity PLC
678
136,691
TTM Technologies Inc.
9,539
1,783,984
*
Total Electronic Equipment, Instruments & Components
14,474,933
IT Services — 1.2%
Cloudflare Inc., Class A Shares
5,065
1,242,343
*
CoreWeave Inc., Class A Shares
1,750
174,195
*
Total IT Services
1,416,538
Semiconductors & Semiconductor Equipment — 38.6%
Advanced Micro Devices Inc.
3,015
1,751,444
*
Advantest Corp.
2,475
492,487
Analog Devices Inc.
240
95,321
Applied Materials Inc.
4,058
2,933,934
ASM International NV
1,207
1,380,653
ASML Holding NV, Registered Shares
1,010
2,009,334
AXT Inc.
2,423
174,650
*
Broadcom Inc.
12,578
4,751,340
Infineon Technologies AG
4,184
390,674
KLA Corp.
10,713
3,232,219
See Notes to Schedules of Investments.

100
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Intelligent Machines ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Semiconductors & Semiconductor Equipment — continued
Lam Research Corp.
7,972
 $3,454,507
Marvell Technology Inc.
4,950
1,474,556
Monolithic Power Systems Inc.
758
1,047,829
NVIDIA Corp.
38,682
7,739,881
SiTime Corp.
1,579
1,177,239
*
SK hynix Inc.
1,362
2,329,633
Taiwan Semiconductor Manufacturing Co. Ltd., ADR
14,909
7,120,091
Teradyne Inc.
7,336
3,549,450
Tower Semiconductor Ltd.
1,272
331,534
*
Total Semiconductors & Semiconductor Equipment
45,436,776
Software — 1.6%
Cadence Design Systems Inc.
1,409
528,826
*
Nebius Group NV
4,955
1,368,422
*
Total Software
1,897,248
Technology Hardware, Storage & Peripherals — 12.0%
Apple Inc.
12,262
3,548,132
Samsung Electronics Co. Ltd.
6,257
1,348,892
Sandisk Corp.
2,832
6,439,203
*
Seagate Technology Holdings PLC
1,058
1,020,970
Western Digital Corp.
2,794
1,784,584
Total Technology Hardware, Storage & Peripherals
14,141,781
 
Total Information Technology
81,663,427
Total Common Stocks (Cost — $70,896,397)
114,380,003
 
 
 
Expiration
Date
Warrants
 
Warrants — 0.0%††
Information Technology — 0.0%††
Software — 0.0%††
Constellation Software Inc. (Cost — $0)
3/31/40
225
CAD
0
*(a)(b)(c)
Total Investments before Short-Term Investments (Cost — $70,896,397)
114,380,003
 
 
Rate
Shares
 
Short-Term Investments — 2.8%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $3,294,835)
3.545%
3,294,835
3,294,835
(d)(e)
Total Investments — 100.0% (Cost — $74,191,232)
117,674,838
Liabilities in Excess of Other Assets — (0.0)%††
(26,358
)
Total Net Assets — 100.0%
$117,648,480
See Notes to Schedules of Investments.

101
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Intelligent Machines ETF
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Security is fair valued in accordance with procedures approved by the Board of Trustees(Note 1).
(b)
Security is valued using significant unobservable inputs(Note 1).
(c)
Value is less than $1.
(d)
Rate shown is one-day yield as of the end of the reporting period.
(e)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $3,294,835 and the cost was $3,294,835 (Note 3).
Abbreviation(s) used in this schedule:
ADR
American Depositary Receipts
CAD
Canadian Dollar
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

102
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin International Aggregate Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
Sovereign Bonds — 77.9%
Australia — 3.4%
Australia Government Bond, Senior Notes
2.250%
5/21/28
9,000,000
AUD
 $5,989,133
(a)
Australia Government Bond, Senior Notes
3.750%
5/21/34
8,000,000
AUD
5,225,083
(a)
New South Wales Treasury Corp., Senior Notes
3.000%
5/20/27
6,000,000
AUD
4,097,646
(a)
Queensland Treasury Corp., Senior Notes
3.250%
8/21/29
7,500,000
AUD
4,993,593
(a)
Western Australian Treasury Corp., Senior Notes
3.000%
10/21/26
8,000,000
AUD
5,513,876
(a)
Total Australia
25,819,331
Belgium — 3.1%
Kingdom of Belgium Government Bond, Senior Notes
1.000%
6/22/31
9,000,000
EUR
9,405,930
(a)
Kingdom of Belgium Government Bond, Senior Notes
2.250%
6/22/57
20,000,000
EUR
14,842,545
(a)
Total Belgium
24,248,475
Canada — 3.5%
Canadian Government Bond
1.250%
6/1/30
18,000,000
CAD
11,899,735
Canadian Government Bond
5.000%
6/1/37
14,500,000
CAD
11,687,721
Canadian Government Bond
2.000%
12/1/51
6,000,000
CAD
3,012,544
Total Canada
26,600,000
China — 13.7%
China Government Bond
2.850%
6/4/27
120,000,000
CNH
17,977,444
China Government Bond
1.500%
4/15/31
100,000,000
CNH
14,788,024
China Government Bond
2.670%
5/25/33
120,000,000
CNH
19,000,150
China Government Bond
2.520%
8/25/33
120,000,000
CNH
18,848,067
China Government Bond
2.350%
2/25/34
120,000,000
CNH
18,667,458
China Government Bond
4.280%
10/23/47
80,000,000
CNH
15,945,677
Total China
105,226,820
Finland — 1.3%
 
Finland Government Bond, Senior Notes
2.750%
7/4/28
8,500,000
EUR
9,749,398
(a)
France — 2.7%
 
French Republic Government Bond OAT
0.000%
11/25/29
20,000,000
EUR
20,805,573
(a)
Germany — 3.6%
 
Bundesrepublik Deutschland Bundesanleihe, Bonds
2.500%
2/15/35
25,000,000
EUR
27,911,210
(a)
Greece — 2.0%
 
Hellenic Republic Government Bond, Senior Notes
3.375%
6/16/36
13,400,000
EUR
15,111,173
(a)
Ireland — 2.1%
 
Ireland Government Bond, Senior Notes
1.350%
3/18/31
15,000,000
EUR
16,173,265
(a)
Italy — 1.2%
 
Italy Buoni Poliennali Del Tesoro, Senior Notes
2.450%
9/1/50
11,000,000
EUR
9,121,409
(a)
Japan — 9.2%
Japan Government Five Year Bond
0.300%
6/20/28
700,000,000
JPY
4,215,671
Japan Government Ten Year Bond
0.100%
12/20/26
3,500,000,000
JPY
21,435,038
Japan Government Twenty Year Bond
1.500%
3/20/33
4,000,000,000
JPY
23,574,403
Japan Government Twenty Year Bond
0.400%
6/20/41
3,850,000,000
JPY
15,700,361
Japan Government Twenty Year Bond
0.500%
12/20/41
1,500,000,000
JPY
6,110,105
Total Japan
71,035,578
Mexico — 1.0%
 
Mexican Bonos, Bonds
8.000%
11/7/47
150,000,000
MXN
7,371,374
See Notes to Schedules of Investments.

103
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin International Aggregate Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
 
Poland — 3.4%
Republic of Poland Government Bond
2.750%
10/25/29
50,000,000
PLN
 $12,688,920
Republic of Poland Government Bond
5.000%
10/25/34
50,000,000
PLN
13,217,776
Total Poland
25,906,696
Romania — 1.9%
 
Romanian Government International Bond, Senior Notes
2.000%
1/28/32
15,000,000
EUR
14,907,656
(a)
South Korea — 2.0%
Korea Treasury Bond
5.250%
3/10/27
8,000,000,000
KRW
5,233,179
Korea Treasury Bond
4.750%
12/10/30
7,000,000,000
KRW
4,665,386
Korea Treasury Bond
4.250%
12/10/32
8,200,000,000
KRW
5,361,116
Total South Korea
15,259,681
Spain — 4.8%
Spain Government Bond, Senior Notes
1.400%
7/30/28
15,000,000
EUR
16,738,780
(a)
Spain Government Bond, Senior Notes
1.250%
10/31/30
18,900,000
EUR
20,301,411
(a)
Total Spain
37,040,191
Supranational — 6.6%
Asian Development Bank, Senior Notes
2.350%
6/21/27
240,000,000
JPY
1,494,961
European Union, Senior Notes
2.625%
7/4/28
15,000,000
EUR
17,138,518
(a)
European Union, Senior Notes
2.750%
2/4/33
20,000,000
EUR
22,602,146
(a)
European Union, Senior Notes
0.300%
11/4/50
18,000,000
EUR
9,411,449
(a)
Total Supranational
50,647,074
Sweden — 3.3%
 
Sweden Government Bond
0.750%
5/12/28
250,000,000
SEK
25,146,704
(a)
United Kingdom — 9.1%
United Kingdom Gilt, Bonds
4.750%
12/7/30
19,490,000
GBP
26,434,682
(a)
United Kingdom Gilt, Bonds
0.875%
7/31/33
24,000,000
GBP
24,854,311
(a)
United Kingdom Gilt, Bonds
4.500%
3/7/35
6,000,000
GBP
7,846,322
(a)
United Kingdom Gilt, Bonds
3.750%
1/29/38
9,000,000
GBP
10,655,781
(a)
Total United Kingdom
69,791,096
 
Total Sovereign Bonds (Cost — $588,561,779)
597,872,704
Corporate Bonds & Notes — 8.4%
Communication Services — 0.7%
Diversified Telecommunication Services — 0.7%
Orange SA, Senior Notes
1.375%
3/20/28
1,500,000
EUR
1,672,552
(a)
Verizon Communications Inc., Senior Notes
4.750%
2/17/34
3,000,000
GBP
3,807,159
 
Total Communication Services
5,479,711
Consumer Staples — 0.9%
Beverages — 0.5%
Coca-Cola Europacific Partners PLC, Senior Notes
0.200%
12/2/28
3,500,000
EUR
3,746,866
(a)
Personal Care Products — 0.4%
Unilever Capital Corp., Senior Notes
3.400%
6/6/33
2,800,000
EUR
3,223,943
(a)
 
Total Consumer Staples
6,970,809
Financials — 4.6%
Banks — 2.9%
Banco Santander SA, Senior Notes
4.875%
10/18/31
1,800,000
EUR
2,199,741
(a)
Bank of America Corp., Senior Notes (3 mo. EURIBOR + 0.900%)
3.261%
1/28/31
2,000,000
EUR
2,283,754
(a)(b)
See Notes to Schedules of Investments.

104
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin International Aggregate Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
 
Banks — continued
Bank of Ireland Group PLC, Senior Notes (5.000% to 7/4/30 then 1 Year EUR
Mid-Market Swap Rate + 2.050%)
5.000%
7/4/31
3,500,000
EUR
 $4,249,897
(a)(b)
Bank of New Zealand, Senior Notes
3.050%
11/20/30
1,400,000
EUR
1,590,568
(a)
Commerzbank AG, Senior Notes (3 mo. EURIBOR + 1.380%)
3.625%
1/14/32
2,000,000
EUR
2,297,853
(a)(b)
Credit Agricole Assurances SA, Subordinated Notes
1.500%
10/6/31
2,200,000
EUR
2,265,812
(a)
Nykredit Realkredit A/S, Senior Notes
3.375%
1/10/30
3,000,000
EUR
3,431,174
(a)
US Bancorp, Senior Notes (3 mo. EURIBOR + 1.200%)
4.009%
5/21/32
3,000,000
EUR
3,515,466
(b)
Total Banks
21,834,265
Capital Markets — 1.0%
Goldman Sachs Group Inc., Senior Notes
1.250%
2/7/29
3,000,000
EUR
3,275,770
(a)
UBS Group AG, Senior Notes (4.750% to 3/17/31 then 1 Year EUR Mid-
Market Swap Rate + 1.600%)
4.750%
3/17/32
3,500,000
EUR
4,221,606
(a)(b)
Total Capital Markets
7,497,376
Financial Services — 0.4%
Fiserv Inc., Senior Notes
1.625%
7/1/30
3,000,000
EUR
3,179,624
Insurance — 0.3%
ASR Nederland NV, Subordinated Notes (7.000% to 12/7/33 then 5 yr. EUR
Swap + 5.300%)
7.000%
12/7/43
1,700,000
EUR
2,285,400
(a)(b)
 
Total Financials
34,796,665
Industrials — 0.7%
Commercial Services & Supplies — 0.2%
RELX Finance BV, Senior Notes
0.500%
3/10/28
1,500,000
EUR
1,647,316
(a)
Construction & Engineering — 0.5%
Heathrow Funding Ltd., Senior Secured Notes
1.125%
10/8/30
3,500,000
EUR
3,644,993
(a)
 
Total Industrials
5,292,309
Information Technology — 0.7%
Technology Hardware, Storage & Peripherals — 0.7%
Apple Inc., Senior Notes
1.625%
11/10/26
1,500,000
EUR
1,709,224
Apple Inc., Senior Notes
3.050%
7/31/29
3,000,000
GBP
3,847,786
 
Total Information Technology
5,557,010
Utilities — 0.8%
Electric Utilities — 0.8%
Amprion GmbH, Senior Notes
3.625%
5/21/31
1,900,000
EUR
2,197,853
(a)
Electricite de France SA, Senior Notes
5.875%
7/18/31
3,000,000
GBP
4,120,803
 
Total Utilities
6,318,656
Total Corporate Bonds & Notes (Cost — $65,606,489)
64,415,160
Total Investments before Short-Term Investments (Cost — $654,168,268)
662,287,864
 
 
 
Shares
 
Short-Term Investments — 3.2%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $24,713,732)
3.545%
24,713,732
24,713,732
(c)(d)
Total Investments — 89.5% (Cost — $678,882,000)
687,001,596
Other Assets in Excess of Liabilities — 10.5%
80,780,001
Total Net Assets — 100.0%
$767,781,597
See Notes to Schedules of Investments.

105
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin International Aggregate Bond ETF
Face amount denominated in U.S. dollars, unless otherwise noted.
(a)
Security is exempt from registration under Regulation S of the Securities Act of 1933. Regulation S applies to securities offerings that are made outside of
the United States and do not involve direct selling efforts in the United States. This security has been deemed liquid pursuant to guidelines approved by the
Board of Trustees.
(b)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(c)
Rate shown is one-day yield as of the end of the reporting period.
(d)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $24,713,732 and the cost was $24,713,732 (Note 3).
Abbreviation(s) used in this schedule:
AUD
Australian Dollar
CAD
Canadian Dollar
CNH
Chinese Offshore Yuan
EUR
Euro
EURIBOR
Euro Interbank Offered Rate
GBP
British Pound
JPY
Japanese Yen
KRW
South Korean Won
MXN
Mexican Peso
OAT
Obligations Assimilables du Trésor (French Treasury Bonds)
PLN
Polish Zloty
SEK
Swedish Krona
At June 30, 2026, the Fund had the following open forward foreign currency contracts:
Currency
Purchased
Currency
Sold
Counterparty
Settlement
Date
Unrealized
Appreciation
(Depreciation)
KRW
1,300,000,000
USD
845,720
BNP Paribas SA
7/30/26
 $(5,094)
USD
1,220,024
AUD
1,710,000
BNP Paribas SA
7/30/26
36,693
USD
11,043,171
AUD
15,390,000
BNP Paribas SA
7/30/26
393,193
USD
12,485,457
AUD
17,400,000
BNP Paribas SA
7/30/26
444,546
USD
758,225
CAD
1,050,000
BNP Paribas SA
7/30/26
16,981
USD
8,964,385
CAD
12,150,000
BNP Paribas SA
7/30/26
387,134
USD
45,438,760
EUR
40,000,000
BNP Paribas SA
7/30/26
(317,153)
USD
135,897,423
EUR
115,300,000
BNP Paribas SA
7/30/26
4,006,004
USD
336,774
GBP
250,000
BNP Paribas SA
7/30/26
5,168
USD
41,517,724
GBP
30,650,000
BNP Paribas SA
7/30/26
862,810
USD
1,903,137
JPY
300,000,000
BNP Paribas SA
7/30/26
53,999
USD
28,471,248
JPY
4,500,000,000
BNP Paribas SA
7/30/26
734,179
USD
17,778,905
KRW
26,100,000,000
BNP Paribas SA
7/30/26
901,706
USD
1,193,989
MXN
20,711,853
BNP Paribas SA
7/30/26
12,327
USD
4,928,791
MXN
86,288,147
BNP Paribas SA
7/30/26
5,841
USD
10,032,513
PLN
36,300,000
BNP Paribas SA
7/30/26
383,366
USD
11,663,368
SEK
106,800,000
BNP Paribas SA
7/30/26
632,191
USD
2,142,945
AUD
3,000,000
Citibank N.A.
7/30/26
66,926
USD
18,022,872
CAD
24,420,000
Citibank N.A.
7/30/26
783,658
USD
111,575,086
CNH
756,700,000
Citibank N.A.
7/30/26
(55,824)
USD
3,499,023
EUR
3,000,000
Citibank N.A.
7/30/26
67,329
USD
145,960,819
EUR
123,800,000
Citibank N.A.
7/30/26
4,346,269
USD
7,933,749
GBP
5,870,000
Citibank N.A.
7/30/26
147,636
USD
34,544,722
GBP
25,500,000
Citibank N.A.
7/30/26
720,895
USD
48,709,197
JPY
7,699,000,000
Citibank N.A.
7/30/26
1,254,154
See Notes to Schedules of Investments.

106
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin International Aggregate Bond ETF
Currency
Purchased
Currency
Sold
Counterparty
Settlement
Date
Unrealized
Appreciation
(Depreciation)
USD
1,433,271
MXN
25,100,000
Citibank N.A.
7/30/26
 $1,255
USD
536,072
PLN
1,950,000
Citibank N.A.
7/30/26
17,730
USD
2,639,075
PLN
9,550,000
Citibank N.A.
7/30/26
100,525
USD
13,895,219
PLN
50,000,000
Citibank N.A.
7/30/26
604,382
USD
332,877
SEK
3,100,000
Citibank N.A.
7/30/26
12,684
USD
14,577,509
SEK
133,500,000
Citibank N.A.
7/30/26
788,538
Net unrealized appreciation on open forward foreign currency contracts
$17,410,048
Abbreviation(s) used in this table:
AUD
Australian Dollar
CAD
Canadian Dollar
CNH
Chinese Offshore Yuan
EUR
Euro
GBP
British Pound
JPY
Japanese Yen
KRW
South Korean Won
MXN
Mexican Peso
PLN
Polish Zloty
SEK
Swedish Krona
USD
United States Dollar
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

107
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Investment Grade Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Corporate Bonds & Notes — 97.3%
Communication Services — 7.5%
Diversified Telecommunication Services — 3.6%
AT&T Inc., Senior Notes
3.500%
6/1/41
 $9,000,000
 $6,929,438
Comcast Corp., Senior Notes
3.750%
4/1/40
2,200,000
1,759,451
Comcast Corp., Senior Notes
4.950%
10/15/58
1,000,000
801,137
RD Michigan Property Owner I LLC, Senior Secured Notes
7.500%
3/30/45
2,300,000
2,300,424
(a)
Space Exploration Technologies Corp., Senior Notes
5.350%
7/15/31
2,725,000
2,718,601
(a)
Verizon Communications Inc., Junior Subordinated Notes (6.050% to 5/14/33
then 5 year Treasury Constant Maturity Rate + 1.813%)
6.050%
5/14/58
485,000
489,618
(b)
Verizon Communications Inc., Senior Notes
5.250%
4/2/35
2,600,000
2,600,207
Verizon Communications Inc., Senior Notes
3.400%
3/22/41
4,400,000
3,402,666
Total Diversified Telecommunication Services
21,001,542
Entertainment — 0.2%
Flutter Treasury DAC, Senior Secured Notes
5.875%
6/4/31
1,290,000
1,286,104
(a)
Interactive Media & Services — 1.0%
Alphabet Inc., Senior Notes
4.400%
2/15/33
1,780,000
1,742,302
Alphabet Inc., Senior Notes
5.450%
11/15/55
2,500,000
2,398,192
Meta Platforms Inc., Senior Notes
6.300%
5/15/56
1,600,000
1,593,734
Total Interactive Media & Services
5,734,228
Media — 0.8%
Charter Communications Operating LLC/Charter Communications Operating
Capital Corp., Senior Secured Notes
5.375%
4/1/38
2,150,000
1,927,051
Charter Communications Operating LLC/Charter Communications Operating
Capital Corp., Senior Secured Notes
3.500%
3/1/42
3,600,000
2,489,558
Fox Corp., Senior Notes
6.500%
10/13/33
525,000
558,993
Total Media
4,975,602
Wireless Telecommunication Services — 1.9%
Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC,
Senior Secured Notes
5.152%
3/20/28
1,855,000
1,860,283
(a)
T-Mobile USA Inc., Senior Notes
2.875%
2/15/31
7,000,000
6,434,885
T-Mobile USA Inc., Senior Notes
5.300%
5/15/35
2,800,000
2,814,100
Total Wireless Telecommunication Services
11,109,268
 
Total Communication Services
44,106,744
Consumer Discretionary — 5.2%
Automobiles — 1.7%
General Motors Financial Co. Inc., Senior Notes
5.450%
9/6/34
3,540,000
3,548,048
Hyundai Capital America, Senior Notes
5.350%
3/19/29
4,200,000
4,258,935
(a)
Hyundai Capital America, Senior Notes
4.550%
9/26/29
2,400,000
2,382,181
(a)
Total Automobiles
10,189,164
Broadline Retail — 0.6%
Amazon.com Inc., Senior Notes
2.875%
5/12/41
650,000
481,636
Amazon.com Inc., Senior Notes
5.800%
3/13/56
3,100,000
3,082,387
Total Broadline Retail
3,564,023
Hotels, Restaurants & Leisure — 1.3%
1011778 BC ULC/New Red Finance Inc., Senior Secured Notes
3.500%
2/15/29
2,696,000
2,592,320
(a)
Carnival Corp. Ltd., Senior Notes
5.750%
3/15/30
1,650,000
1,671,142
(a)
See Notes to Schedules of Investments.

108
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Investment Grade Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Hotels, Restaurants & Leisure — continued
Carnival Corp. Ltd., Senior Secured Notes
4.000%
8/1/28
 $1,915,000
 $1,880,519
(a)
Royal Caribbean Cruises Ltd., Senior Notes
5.375%
1/15/36
1,400,000
1,390,395
Total Hotels, Restaurants & Leisure
7,534,376
Specialty Retail — 1.4%
Dick’s Sporting Goods Inc., Senior Notes
4.100%
1/15/52
2,850,000
2,080,184
Home Depot Inc., Senior Notes
3.625%
4/15/52
4,900,000
3,547,583
Lowe’s Cos. Inc., Senior Notes
3.000%
10/15/50
4,250,000
2,692,664
Total Specialty Retail
8,320,431
Textiles, Apparel & Luxury Goods — 0.2%
Tapestry Inc., Senior Notes
5.500%
3/11/35
885,000
891,616
 
Total Consumer Discretionary
30,499,610
Consumer Staples — 5.4%
Beverages — 1.2%
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide Inc., Senior Notes
4.900%
2/1/46
2,990,000
2,725,607
Anheuser-Busch InBev Worldwide Inc., Senior Notes
5.800%
1/23/59
1,600,000
1,630,521
Keurig Dr Pepper Inc., Senior Notes
4.050%
4/15/32
1,000,000
949,383
Keurig Dr Pepper Inc., Senior Notes
5.300%
3/15/34
1,600,000
1,604,578
Total Beverages
6,910,089
Consumer Staples Distribution & Retail — 0.3%
7-Eleven Inc., Senior Notes
1.300%
2/10/28
1,585,000
1,506,005
(a)
7-Eleven Inc., Senior Notes
1.800%
2/10/31
500,000
435,242
(a)
Total Consumer Staples Distribution & Retail
1,941,247
Food Products — 2.0%
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
3.625%
1/15/32
3,000,000
2,781,797
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
5.500%
1/15/36
1,050,000
1,049,129
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
5.625%
3/10/37
1,120,000
1,116,030
(a)
Kellanova, Senior Notes
4.500%
4/1/46
445,000
383,955
Kraft Heinz Foods Co., Senior Notes
5.000%
6/4/42
1,775,000
1,591,194
Mars Inc., Senior Notes
2.375%
7/16/40
1,360,000
967,927
(a)
Mars Inc., Senior Notes
5.700%
5/1/55
1,800,000
1,774,552
(a)
Pilgrim’s Pride Corp., Senior Notes
3.500%
3/1/32
2,225,000
2,029,726
Total Food Products
11,694,310
Tobacco — 1.9%
BAT Capital Corp., Senior Notes
4.625%
3/22/33
3,750,000
3,671,197
BAT Capital Corp., Senior Notes
4.390%
8/15/37
1,686,000
1,542,722
Philip Morris International Inc., Senior Notes
5.375%
2/15/33
5,500,000
5,647,608
Total Tobacco
10,861,527
 
Total Consumer Staples
31,407,173
Energy — 4.9%
Energy Equipment & Services — 0.1%
Baker Hughes Holdings LLC/Baker Hughes Co-Obligor Inc., Senior Notes
5.850%
6/15/56
800,000
790,850
Oil, Gas & Consumable Fuels — 4.8%
Aker BP ASA, Senior Notes
5.800%
10/1/54
1,450,000
1,350,815
(a)
See Notes to Schedules of Investments.

109
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Investment Grade Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Oil, Gas & Consumable Fuels — continued
Eastern Gas Transmission & Storage Inc., Senior Notes
3.900%
11/15/49
 $1,000,000
 $737,614
Energy Transfer LP, Senior Notes
5.150%
3/15/45
5,200,000
4,641,241
Eni SpA, Senior Notes
5.250%
5/18/36
1,705,000
1,677,390
(a)
Hess Corp., Senior Notes
5.600%
2/15/41
4,100,000
4,153,504
MPLX LP, Senior Notes
4.700%
4/15/48
2,120,000
1,762,322
Occidental Petroleum Corp., Senior Notes
6.600%
3/15/46
2,020,000
2,157,142
Targa Resources Corp., Senior Notes
6.050%
5/15/56
1,600,000
1,583,684
Targa Resources Partners LP/Targa Resources Partners Finance Corp., Senior
Notes
4.000%
1/15/32
4,000,000
3,794,856
Transcontinental Gas Pipe Line Co. LLC, Senior Notes
5.100%
3/15/36
1,200,000
1,188,434
Viper Energy Partners LLC, Senior Notes
4.900%
8/1/30
1,200,000
1,196,662
Viper Energy Partners LLC, Senior Notes
5.700%
8/1/35
1,350,000
1,372,180
Williams Cos. Inc., Senior Notes
5.300%
9/30/35
2,550,000
2,544,909
Total Oil, Gas & Consumable Fuels
28,160,753
 
Total Energy
28,951,603
Financials — 35.4%
Banks — 21.7%
Banco Santander SA, Subordinated Notes
2.749%
12/3/30
1,400,000
1,270,210
Bank of America Corp., Senior Notes (2.592% to 4/29/30 then SOFR + 2.150%)
2.592%
4/29/31
4,000,000
3,691,665
(b)
Bank of America Corp., Senior Notes (4.571% to 4/27/32 then SOFR + 1.830%)
4.571%
4/27/33
6,585,000
6,456,886
(b)
Bank of America Corp., Senior Notes (5.202% to 4/25/28 then SOFR + 1.630%)
5.202%
4/25/29
7,250,000
7,318,704
(b)
Bank of America Corp., Senior Notes (5.511% to 1/24/35 then SOFR + 1.310%)
5.511%
1/24/36
1,650,000
1,685,580
(b)
Bank of America Corp., Subordinated Notes (5.744% to 2/12/35 then SOFR +
1.697%)
5.744%
2/12/36
2,000,000
2,041,346
(b)
Barclays PLC, Senior Notes (5.086% to 2/25/28 then SOFR + 0.960%)
5.086%
2/25/29
4,795,000
4,822,598
(b)
CaixaBank SA, Senior Notes (5.402% to 4/22/36 then SOFR + 1.530%)
5.402%
4/22/37
475,000
470,510
(a)(b)
Citibank NA, Senior Notes
4.914%
5/29/30
6,300,000
6,378,839
Citigroup Inc., Junior Subordinated Notes (6.625% to 2/15/31 then 5 year
Treasury Constant Maturity Rate + 3.001%)
6.625%
2/15/31
1,700,000
1,732,771
(b)(c)
Citigroup Inc., Senior Notes (3.057% to 1/25/32 then SOFR + 1.351%)
3.057%
1/25/33
4,000,000
3,624,759
(b)
Citigroup Inc., Senior Notes (3.668% to 7/24/27 then 3 mo. Term SOFR +
1.652%)
3.668%
7/24/28
6,450,000
6,394,053
(b)
Danske Bank A/S, Senior Notes (5.427% to 3/1/27 then 1 year Treasury
Constant Maturity Rate + 0.950%)
5.427%
3/1/28
3,050,000
3,069,715
(a)(b)
JPMorgan Chase & Co., Senior Notes (2.522% to 4/22/30 then SOFR + 2.040%)
2.522%
4/22/31
6,700,000
6,177,224
(b)
JPMorgan Chase & Co., Senior Notes (2.963% to 1/25/32 then SOFR + 1.260%)
2.963%
1/25/33
7,050,000
6,384,312
(b)
JPMorgan Chase & Co., Senior Notes (4.851% to 7/25/27 then SOFR + 1.990%)
4.851%
7/25/28
2,400,000
2,407,222
(b)
JPMorgan Chase & Co., Senior Notes (5.148% to 4/23/36 then SOFR + 1.260%)
5.148%
4/23/37
1,810,000
1,797,647
(b)
JPMorgan Chase & Co., Senior Notes (6.087% to 10/23/28 then SOFR +
1.570%)
6.087%
10/23/29
6,350,000
6,544,111
(b)
JPMorgan Chase & Co., Subordinated Notes (5.576% to 7/23/35 then SOFR +
1.635%)
5.576%
7/23/36
1,600,000
1,624,980
(b)
Mitsubishi UFJ Financial Group Inc., Senior Notes (5.159% to 4/24/30 then 1
year Treasury Constant Maturity Rate + 1.170%)
5.159%
4/24/31
2,690,000
2,718,737
(b)
Mizuho Financial Group Inc., Senior Notes (5.778% to 7/6/28 then 1 year
Treasury Constant Maturity Rate + 1.650%)
5.778%
7/6/29
5,000,000
5,109,097
(b)
National Australia Bank Ltd., Subordinated Notes
2.332%
8/21/30
3,850,000
3,470,669
(a)
See Notes to Schedules of Investments.

110
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Investment Grade Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Banks — continued
NatWest Group PLC, Senior Notes (4.964% to 8/15/29 then 1 year Treasury
Constant Maturity Rate + 1.220%)
4.964%
8/15/30
 $3,050,000
 $3,059,518
(b)
PNC Financial Services Group Inc., Senior Notes (5.222% to 1/29/30 then SOFR
+ 1.072%)
5.222%
1/29/31
6,700,000
6,809,683
(b)
Royal Bank of Canada, Senior Notes (4.970% to 5/2/30 then SOFR + 1.130%)
4.970%
5/2/31
4,000,000
4,029,075
(b)
Truist Financial Corp., Senior Notes (4.597% to 1/27/31 then SOFR + 0.965%)
4.597%
1/27/32
3,000,000
2,959,326
(b)
Truist Financial Corp., Senior Notes (7.161% to 10/30/28 then SOFR + 2.446%)
7.161%
10/30/29
5,000,000
5,266,958
(b)
US Bancorp, Senior Notes (5.100% to 7/23/29 then SOFR + 1.250%)
5.100%
7/23/30
3,500,000
3,543,525
(b)
Wells Fargo & Co., Senior Notes (4.808% to 7/25/27 then SOFR + 1.980%)
4.808%
7/25/28
7,240,000
7,260,621
(b)
Wells Fargo & Co., Senior Notes (5.198% to 1/23/29 then SOFR + 1.500%)
5.198%
1/23/30
4,000,000
4,045,439
(b)
Wells Fargo & Co., Senior Notes (5.574% to 7/25/28 then SOFR + 1.740%)
5.574%
7/25/29
5,000,000
5,084,955
(b)
Total Banks
127,250,735
Capital Markets — 8.4%
Charles Schwab Corp., Senior Notes (5.493% to 5/21/36 then SOFR + 1.280%)
5.493%
5/21/37
1,000,000
1,013,874
(b)
Goldman Sachs Group Inc., Senior Notes (2.640% to 2/24/27 then SOFR +
1.114%)
2.640%
2/24/28
6,250,000
6,175,260
(b)
Goldman Sachs Group Inc., Senior Notes (5.065% to 1/21/36 then SOFR +
1.190%)
5.065%
1/21/37
1,470,000
1,435,772
(b)
Goldman Sachs Group Inc., Senior Notes (5.218% to 4/23/30 then SOFR +
1.580%)
5.218%
4/23/31
2,000,000
2,020,285
(b)
Goldman Sachs Group Inc., Senior Notes (5.330% to 7/23/34 then SOFR +
1.550%)
5.330%
7/23/35
6,000,000
6,022,462
(b)
Jackson National Life Global Funding, Secured Notes
5.550%
7/2/27
2,000,000
2,018,564
(a)
Morgan Stanley, Senior Notes (1.794% to 2/13/31 then SOFR + 1.034%)
1.794%
2/13/32
8,575,000
7,461,148
(b)
Morgan Stanley, Senior Notes (5.192% to 4/17/30 then SOFR + 1.510%)
5.192%
4/17/31
4,100,000
4,143,901
(b)
Morgan Stanley, Senior Notes (5.250% to 4/21/33 then SOFR + 1.870%)
5.250%
4/21/34
6,000,000
6,039,484
(b)
Morgan Stanley, Senior Notes (5.900% to 3/13/46 then SOFR + 1.782%)
5.900%
3/13/47
815,000
824,212
(b)
Morgan Stanley Bank NA, Senior Notes (4.788% to 5/10/29 then SOFR +
0.974%)
4.788%
5/10/30
2,000,000
2,002,245
(b)
MSCI Inc., Senior Notes
3.625%
9/1/30
1,600,000
1,514,171
(a)
UBS Group AG, Senior Notes (3.869% to 1/12/28 then 3 mo. USD LIBOR +
1.410%)
3.869%
1/12/29
5,250,000
5,190,446
(a)(b)
UBS Group AG, Senior Notes (5.428% to 2/8/29 then 1 year Treasury Constant
Maturity Rate + 1.520%)
5.428%
2/8/30
3,658,000
3,710,408
(a)(b)
Total Capital Markets
49,572,232
Consumer Finance — 1.3%
American Express Co., Senior Notes (4.804% to 10/24/35 then SOFR + 1.237%)
4.804%
10/24/36
2,050,000
1,985,895
(b)
American Express Co., Senior Notes (5.016% to 4/25/30 then SOFR + 1.440%)
5.016%
4/25/31
2,400,000
2,424,978
(b)
Capital One Financial Corp., Subordinated Notes (6.183% to 1/30/35 then SOFR
+ 2.036%)
6.183%
1/30/36
3,050,000
3,121,227
(b)
Total Consumer Finance
7,532,100
Financial Services — 1.6%
Beignet Investor LLC, Senior Secured Notes
6.581%
5/30/49
2,025,000
2,066,813
(a)
Berkshire Hathaway Energy Co., Senior Notes
5.150%
11/15/43
1,450,000
1,366,176
Berkshire Hathaway Finance Corp., Senior Notes
3.850%
3/15/52
2,310,000
1,749,130
Gabx Leasing LLC, Senior Notes
4.625%
4/15/31
510,000
503,085
(a)
Global Payments Inc., Senior Notes
5.400%
8/15/32
1,650,000
1,644,171
See Notes to Schedules of Investments.

111
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Investment Grade Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Financial Services — continued
Horseshoe Funding Trust I, Senior Notes
6.062%
2/15/36
 $2,100,000
 $2,134,123
(a)
Total Financial Services
9,463,498
Insurance — 2.4%
Aon Global Ltd., Senior Notes
4.750%
5/15/45
2,000,000
1,759,404
Arch Capital Group Ltd., Senior Notes
5.950%
6/15/56
1,700,000
1,716,791
Arthur J Gallagher & Co., Senior Notes
6.500%
2/15/34
2,510,000
2,710,240
Arthur J Gallagher & Co., Senior Notes
5.750%
3/2/53
1,200,000
1,169,654
Athene Global Funding, Senior Secured Notes
5.543%
8/22/35
1,350,000
1,329,296
(a)
Athene Holding Ltd., Senior Notes
6.250%
4/1/54
960,000
885,228
Athene Holding Ltd., Senior Notes
6.625%
5/19/55
2,000,000
1,946,393
Nippon Life Insurance Co., Subordinated Notes (6.500% to 4/30/35 then 5 year
Treasury Constant Maturity Rate + 3.189%)
6.500%
4/30/55
1,000,000
1,049,386
(a)(b)
Pricoa Global Funding I, Secured Notes
5.100%
5/30/28
1,600,000
1,616,121
(a)
Total Insurance
14,182,513
 
Total Financials
208,001,078
Health Care — 13.0%
Biotechnology — 1.6%
AbbVie Inc., Senior Notes
5.400%
3/15/54
3,900,000
3,750,375
Amgen Inc., Senior Notes
5.600%
3/2/43
3,000,000
2,983,532
Regeneron Pharmaceuticals Inc., Senior Notes
2.800%
9/15/50
4,350,000
2,662,235
Total Biotechnology
9,396,142
Health Care Equipment & Supplies — 1.5%
Abbott Laboratories, Senior Notes
5.500%
3/15/56
2,380,000
2,332,550
Medline Borrower LP, Senior Secured Notes
3.875%
4/1/29
4,050,000
3,935,158
(a)
Roche Holdings Inc., Senior Notes
2.607%
12/13/51
2,640,000
1,606,678
(a)
VSP Optical Group Inc., Senior Notes
5.400%
6/1/33
910,000
912,735
(a)
Total Health Care Equipment & Supplies
8,787,121
Health Care Providers & Services — 7.2%
Ascension Health, Senior Notes
2.532%
11/15/29
4,000,000
3,751,996
Cigna Group, Senior Notes
3.200%
3/15/40
1,420,000
1,109,419
CSL Finance PLC, Senior Notes
4.250%
4/27/32
3,700,000
3,557,882
(a)
CVS Health Corp., Senior Notes
5.550%
6/1/31
1,850,000
1,905,763
CVS Health Corp., Senior Notes
5.300%
12/5/43
4,930,000
4,600,862
HCA Inc., Senior Notes
3.500%
9/1/30
5,295,000
5,024,507
HCA Inc., Senior Notes
4.600%
11/15/32
4,600,000
4,481,796
Humana Inc., Junior Subordinated Notes (6.625% to 9/15/31 then 5 year
Treasury Constant Maturity Rate + 2.891%)
6.625%
9/15/56
995,000
992,354
(b)
Humana Inc., Senior Notes
5.950%
3/15/34
3,385,000
3,505,194
Icon Investments Six DAC, Senior Secured Notes
6.000%
5/8/34
1,000,000
1,028,143
Kaiser Foundation Hospitals, Senior Notes
3.002%
6/1/51
2,000,000
1,300,343
Mayo Clinic, Senior Notes
3.196%
11/15/61
1,950,000
1,243,259
Sutter Health, Senior Notes
5.164%
8/15/33
2,400,000
2,428,547
UnitedHealth Group Inc., Senior Notes
5.300%
6/15/35
1,455,000
1,482,414
UnitedHealth Group Inc., Senior Notes
3.050%
5/15/41
7,500,000
5,661,786
Total Health Care Providers & Services
42,074,265
See Notes to Schedules of Investments.

112
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Investment Grade Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Life Sciences Tools & Services — 0.3%
IQVIA Inc., Senior Secured Notes
6.250%
2/1/29
 $2,000,000
 $2,067,309
Pharmaceuticals — 2.4%
Bayer US Finance II LLC, Senior Notes
4.375%
12/15/28
4,000,000
3,957,945
(a)
Bristol-Myers Squibb Co., Senior Notes
4.125%
6/15/39
1,400,000
1,248,880
Bristol-Myers Squibb Co., Senior Notes
3.700%
3/15/52
500,000
366,736
Eli Lilly & Co., Senior Notes
5.650%
10/15/65
1,450,000
1,453,000
Eli Lilly & Co., Senior Notes
5.700%
5/20/66
1,200,000
1,207,489
Novartis Capital Corp., Senior Notes
4.100%
11/5/30
1,500,000
1,474,057
Novartis Capital Corp., Senior Notes
5.700%
3/18/56
1,275,000
1,300,167
Pfizer Investment Enterprises Pte Ltd., Senior Notes
5.300%
5/19/53
1,400,000
1,319,820
Royalty Pharma PLC, Senior Notes
3.350%
9/2/51
2,950,000
1,982,926
Total Pharmaceuticals
14,311,020
 
Total Health Care
76,635,857
Industrials — 7.7%
Aerospace & Defense — 5.1%
Avolon Holdings Funding Ltd., Senior Notes
4.900%
10/10/30
3,655,000
3,624,598
(a)
Boeing Co., Senior Notes
6.528%
5/1/34
3,550,000
3,863,373
Boeing Co., Senior Notes
3.500%
3/1/39
1,325,000
1,081,257
Boeing Co., Senior Notes
3.650%
3/1/47
3,250,000
2,352,478
General Dynamics Corp., Senior Notes
2.850%
6/1/41
1,000,000
745,447
General Dynamics Corp., Senior Notes
3.600%
11/15/42
2,400,000
1,929,000
Honeywell Aerospace Inc., Senior Notes
5.732%
3/16/56
3,700,000
3,702,435
(a)
Howmet Aerospace Inc., Senior Notes
5.950%
2/1/37
3,955,000
4,198,091
Lockheed Martin Corp., Senior Notes
4.070%
12/15/42
750,000
636,024
Northrop Grumman Corp., Senior Notes
4.950%
3/15/53
3,225,000
2,889,327
Spirit AeroSystems Inc., Senior Notes
4.600%
6/15/28
5,050,000
5,036,725
Total Aerospace & Defense
30,058,755
Electrical Equipment — 0.6%
Regal Rexnord Corp., Senior Notes
6.300%
2/15/30
1,800,000
1,879,101
Vertiv Holdings Co., Senior Notes
5.950%
3/15/66
1,750,000
1,734,040
Total Electrical Equipment
3,613,141
Ground Transportation — 1.0%
Burlington Northern Santa Fe LLC, Senior Notes
5.750%
5/1/40
5,700,000
5,958,773
Industrial Conglomerates — 0.5%
Siemens Funding BV, Senior Notes
5.800%
5/28/55
2,905,000
3,008,299
(a)
Machinery — 0.3%
Vertiv Group Corp., Senior Secured Notes
4.125%
11/15/28
1,375,000
1,362,278
(a)
Passenger Airlines — 0.2%
United Airlines Inc. Pass-Through Trust
3.450%
7/7/28
1,268,433
1,230,008
 
Total Industrials
45,231,254
Information Technology — 7.5%
Communications Equipment — 1.1%
Cisco Systems Inc., Senior Notes
5.300%
2/26/54
1,900,000
1,795,588
Motorola Solutions Inc., Senior Notes
5.400%
4/15/34
4,500,000
4,557,695
Total Communications Equipment
6,353,283
See Notes to Schedules of Investments.

113
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Investment Grade Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Semiconductors & Semiconductor Equipment — 4.5%
Analog Devices Inc., Senior Notes
2.800%
10/1/41
 $2,000,000
 $1,453,969
Broadcom Inc., Senior Notes
4.600%
7/15/30
4,200,000
4,186,707
Foundry JV Holdco LLC, Senior Secured Notes
5.900%
1/25/33
4,500,000
4,693,864
(a)
Intel Corp., Senior Notes
3.734%
12/8/47
2,850,000
2,053,483
Intel Corp., Senior Notes
6.125%
5/15/56
2,065,000
2,063,786
Marvell Technology Inc., Senior Notes
5.950%
9/15/33
1,820,000
1,914,388
Marvell Technology Inc., Senior Notes
5.300%
4/15/36
630,000
627,101
NVIDIA Corp., Senior Notes
4.950%
6/15/36
2,750,000
2,726,948
NVIDIA Corp., Senior Notes
5.550%
6/15/46
4,490,000
4,459,308
NVIDIA Corp., Senior Notes
5.625%
6/15/56
2,280,000
2,264,764
Total Semiconductors & Semiconductor Equipment
26,444,318
Software — 1.8%
Oracle Corp., Senior Notes
2.300%
3/25/28
4,100,000
3,925,223
Oracle Corp., Senior Notes
4.450%
9/26/30
1,000,000
965,678
Oracle Corp., Senior Notes
3.600%
4/1/40
2,450,000
1,787,493
Salesforce Inc., Senior Notes
5.200%
3/15/33
2,190,000
2,194,466
Synopsys Inc., Senior Notes
5.150%
4/1/35
591,000
587,893
Synopsys Inc., Senior Notes
5.700%
4/1/55
1,200,000
1,164,767
Total Software
10,625,520
Technology Hardware, Storage & Peripherals — 0.1%
Dell International LLC/EMC Corp., Senior Notes
5.250%
2/15/37
640,000
630,293
 
Total Information Technology
44,053,414
Materials — 1.0%
Containers & Packaging — 0.1%
AptarGroup Inc., Senior Notes
4.750%
3/30/31
500,000
495,426
Metals & Mining — 0.9%
Freeport-McMoRan Inc., Senior Notes
5.450%
3/15/43
2,500,000
2,418,567
Glencore Funding LLC, Senior Notes
5.508%
4/1/36
2,010,000
2,023,045
(a)
Newmont Corp./Newcrest Finance Pty Ltd., Senior Notes
5.350%
3/15/34
650,000
667,199
Total Metals & Mining
5,108,811
 
Total Materials
5,604,237
Real Estate — 1.9%
Diversified REITs — 0.8%
Equinix Asia Financing Corp. Pte Ltd., Senior Notes
4.400%
3/15/31
800,000
782,184
Essex Portfolio LP, Senior Notes
2.650%
3/15/32
2,600,000
2,308,535
VICI Properties LP/VICI Note Co. Inc., Senior Notes
4.125%
8/15/30
1,500,000
1,440,108
(a)
Total Diversified REITs
4,530,827
Real Estate Management & Development — 0.3%
Beacon Point DC LLC, Senior Secured Notes
6.129%
11/30/42
1,260,000
1,271,328
(a)
ERP Operating LP, Senior Notes
4.950%
6/15/32
496,000
498,802
Total Real Estate Management & Development
1,770,130
Retail REITs — 0.4%
TotalEnergies Capital SA, Senior Notes
5.275%
9/10/54
2,700,000
2,545,470
Specialized REITs — 0.4%
American Tower Corp., Senior Notes
4.700%
12/15/32
2,150,000
2,115,692
 
Total Real Estate
10,962,119
See Notes to Schedules of Investments.

114
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Investment Grade Corporate ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Utilities — 7.8%
Electric Utilities — 6.5%
Baltimore Gas and Electric Co., Senior Notes
4.550%
6/1/52
 $2,630,000
 $2,187,059
Commonwealth Edison Co., First Mortgage Bonds
4.000%
3/1/48
2,000,000
1,569,480
Constellation Energy Generation LLC, Senior Notes
6.500%
10/1/53
2,050,000
2,201,120
Consumers Energy Co., First Mortgage Bonds
4.050%
5/15/48
2,055,000
1,645,663
DTE Electric Co., Senior Secured Bonds
3.650%
3/1/52
3,400,000
2,487,506
Duke Energy Progress LLC, First Mortgage Bonds
2.500%
8/15/50
6,000,000
3,502,350
EDP Finance BV, Senior Notes
1.710%
1/24/28
3,250,000
3,113,355
(a)
Electricite de France SA, Senior Notes
5.250%
4/22/36
3,400,000
3,339,082
(a)
ENEL Finance International NV, Senior Notes
3.625%
5/25/27
3,000,000
2,975,140
(a)
Georgia Power Co., Senior Notes
4.750%
9/1/40
3,000,000
2,818,853
Georgia Power Co., Senior Notes
4.300%
3/15/42
1,350,000
1,173,184
MidAmerican Energy Co., First Mortgage Bonds
4.250%
5/1/46
1,500,000
1,240,334
Pacific Gas and Electric Co., First Mortgage Bonds
5.050%
11/15/31
1,285,000
1,284,098
Pacific Gas and Electric Co., First Mortgage Bonds
3.300%
8/1/40
2,300,000
1,726,072
Public Service Electric and Gas Co., First Mortgage Bonds
3.150%
1/1/50
2,500,000
1,688,605
Virginia Electric and Power Co., Senior Notes
4.650%
8/15/43
3,400,000
3,030,695
Vistra Operations Co. LLC, Senior Notes
5.050%
12/30/26
1,000,000
1,001,517
(a)
Vistra Operations Co. LLC, Senior Notes
5.250%
10/15/35
1,330,000
1,294,355
(a)
Total Electric Utilities
38,278,468
Gas Utilities — 1.1%
Piedmont Natural Gas Co. Inc., Senior Notes
5.050%
5/15/52
1,650,000
1,481,617
Southern California Gas Co., First Mortgage Bonds
5.600%
4/1/54
2,470,000
2,374,328
Southern Co. Gas Capital Corp., Senior Notes
4.950%
9/15/34
2,980,000
2,944,700
Total Gas Utilities
6,800,645
Multi-Utilities — 0.2%
PECO Energy Co., First Mortgage Bonds
4.875%
9/15/35
1,000,000
990,648
 
Total Utilities
46,069,761
Total Corporate Bonds & Notes (Cost — $590,515,541)
571,522,850
U.S. Government & Agency Obligations — 0.3%
U.S. Government Obligations — 0.3%
U.S. Treasury Notes (Cost — $1,598,768)
4.125%
5/31/31
1,600,000
1,594,375
Total Investments before Short-Term Investments (Cost — $592,114,309)
573,117,225
 
 
 
Shares
 
Short-Term Investments — 1.2%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $7,203,653)
3.545%
7,203,653
7,203,653
(d)(e)
Total Investments — 98.8% (Cost — $599,317,962)
580,320,878
Other Assets in Excess of Liabilities — 1.2%
7,296,654
Total Net Assets — 100.0%
$587,617,532
See Notes to Schedules of Investments.

115
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Investment Grade Corporate ETF
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(b)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(c)
Security has no maturity date. The date shown represents the next call date.
(d)
Rate shown is one-day yield as of the end of the reporting period.
(e)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $7,203,653 and the cost was $7,203,653 (Note 3).
Abbreviation(s) used in this schedule:
DAC
Designated Activity Company
LIBOR
London Interbank Offered Rate
SOFR
Secured Overnight Financing Rate
USD
United States Dollar
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

116
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Corporate Bonds & Notes — 44.8%
Communication Services — 4.0%
Diversified Telecommunication Services — 0.7%
AT&T Inc., Senior Notes
4.100%
2/15/28
 $14,000
 $13,897
Cogent Communications Group LLC/Cogent Finance Inc., Senior Secured
Notes
6.500%
7/1/32
65,000
58,565
(a)
Space Exploration Technologies Corp., Senior Notes
5.350%
7/15/31
10,000
9,977
(a)
WULF Compute LLC, Senior Secured Notes
7.750%
10/15/30
30,000
31,529
(a)
Total Diversified Telecommunication Services
113,968
Entertainment — 0.3%
Discovery Global Holdings Inc., Senior Notes
5.050%
3/15/42
30,000
22,015
OAK-Eagle Acquireco Inc., Senior Secured Notes
7.250%
7/1/33
20,000
20,933
(a)
Total Entertainment
42,948
Interactive Media & Services — 0.2%
Match Group Holdings II LLC, Senior Notes
4.125%
8/1/30
30,000
28,255
(a)
Media — 2.2%
CCO Holdings LLC/CCO Holdings Capital Corp., Senior Notes
4.750%
2/1/32
70,000
62,485
(a)
Charter Communications Operating LLC/Charter Communications Operating
Capital Corp., Senior Secured Notes
2.250%
1/15/29
20,000
18,637
Clear Channel Outdoor Holdings Inc., Senior Secured Notes
7.500%
3/15/33
65,000
68,486
(a)
News Corp., Senior Notes
5.125%
2/15/32
19,000
18,621
(a)
Nexstar Media Inc., Senior Notes
7.250%
4/15/34
20,000
19,969
(a)
Nexstar Media Inc., Senior Secured Notes
6.500%
9/15/33
20,000
20,012
(a)
Sinclair Television Group Inc., Senior Secured Notes
8.125%
2/15/33
65,000
66,847
(a)
Univision Communications Inc., Senior Secured Notes
9.375%
8/1/32
45,000
45,758
(a)
Univision Communications Inc., Senior Secured Notes
8.875%
4/15/33
10,000
9,851
(a)
Total Media
330,666
Wireless Telecommunication Services — 0.6%
Rogers Communications Inc., Senior Notes
5.000%
2/15/29
32,000
32,202
Sprint Capital Corp., Senior Notes
6.875%
11/15/28
35,000
36,673
T-Mobile USA Inc., Senior Notes
4.950%
3/15/28
17,000
17,110
Total Wireless Telecommunication Services
85,985
 
Total Communication Services
601,822
Consumer Discretionary — 4.7%
Automobiles — 0.1%
Hyundai Capital America, Senior Notes
5.000%
6/18/31
15,000
14,980
(a)
Broadline Retail — 0.1%
Amazon.com Inc., Senior Notes
4.250%
3/13/31
10,000
9,850
Hotels, Restaurants & Leisure — 3.2%
1011778 BC ULC/New Red Finance Inc., Secured Notes
4.000%
10/15/30
65,000
61,401
(a)
Airbnb Inc., Senior Notes
4.650%
3/16/31
5,000
4,969
Carnival Corp. Ltd., Senior Notes
5.125%
5/1/29
15,000
14,984
(a)
Carnival Corp. Ltd., Senior Notes
5.750%
8/1/32
65,000
65,716
(a)
Carnival Corp. Ltd., Senior Secured Notes
4.000%
8/1/28
38,000
37,316
(a)
Hilton Domestic Operating Co. Inc., Senior Notes
5.750%
9/15/33
65,000
65,276
(a)
Mohegan Tribal Gaming Authority/MS Digital Entertainment Holdings LLC,
Senior Secured Notes
8.250%
4/15/30
50,000
52,117
(a)
See Notes to Schedules of Investments.

117
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Hotels, Restaurants & Leisure — continued
NCL Corp. Ltd., Senior Notes
5.875%
1/15/31
 $35,000
 $33,994
(a)
NCL Corp. Ltd., Senior Notes
6.250%
9/15/33
15,000
14,576
(a)
Rivers Enterprise Borrower LLC, Senior Secured Notes
6.250%
10/15/30
45,000
45,588
(a)
Royal Caribbean Cruises Ltd., Senior Notes
5.500%
4/1/28
13,000
13,126
(a)
Station Casinos LLC, Senior Notes
4.625%
12/1/31
45,000
42,753
(a)
Viking Cruises Ltd., Senior Notes
5.875%
10/15/33
40,000
40,082
(a)
Total Hotels, Restaurants & Leisure
491,898
Household Durables — 0.4%
Weekley Homes LLC/Weekley Finance Corp., Senior Notes
4.875%
9/15/28
25,000
24,674
(a)
Weekley Homes LLC/Weekley Finance Corp., Senior Notes
6.750%
1/15/34
20,000
20,078
(a)
Whirlpool Corp., Senior Notes
5.750%
3/1/34
15,000
11,625
Whirlpool Corp., Senior Notes
4.500%
6/1/46
10,000
5,964
Total Household Durables
62,341
Specialty Retail — 0.8%
Dick’s Sporting Goods Inc., Senior Notes
4.000%
10/1/29
35,000
34,086
(a)
Wayfair LLC, Senior Secured Notes
7.750%
9/15/30
60,000
63,115
(a)
Wayfair LLC, Senior Secured Notes
6.750%
11/15/32
20,000
20,555
(a)
Total Specialty Retail
117,756
Textiles, Apparel & Luxury Goods — 0.1%
PVH Corp., Senior Notes
5.500%
6/13/30
19,000
19,144
 
Total Consumer Discretionary
715,969
Consumer Staples — 1.9%
Consumer Staples Distribution & Retail — 0.4%
7-Eleven Inc., Senior Notes
1.300%
2/10/28
30,000
28,505
(a)
US Foods Inc., Senior Notes
4.625%
6/1/30
30,000
29,309
(a)
Total Consumer Staples Distribution & Retail
57,814
Food Products — 1.3%
Bunge Ltd. Finance Corp., Senior Notes
3.200%
4/21/31
15,000
14,000
Chobani LLC/Chobani Finance Corp. Inc., Senior Notes
7.625%
7/1/29
60,000
61,946
(a)
Industrial F&B Investments III Inc., Senior Secured Notes
7.750%
2/11/33
60,000
61,188
(a)
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
3.000%
2/2/29
29,000
27,842
Kellanova, Senior Notes
7.450%
4/1/31
28,000
31,291
McCormick & Co. Inc., Senior Notes
4.150%
2/15/29
5,000
4,947
Total Food Products
201,214
Tobacco — 0.2%
Philip Morris International Inc., Senior Notes
4.625%
11/1/29
32,000
32,059
 
Total Consumer Staples
291,087
Energy — 6.0%
Energy Equipment & Services — 0.8%
Archrock Services LP/Archrock Partners Finance Corp., Senior Notes
6.000%
2/1/34
10,000
9,946
(a)
Nabors Industries Inc., Senior Notes
8.875%
8/15/31
25,000
25,685
(a)
Oceaneering International Inc., Senior Notes
6.875%
7/15/34
10,000
10,163
(a)(b)
Transocean International Ltd., Senior Notes
7.875%
10/15/32
40,000
41,778
(a)
Weatherford International Ltd., Senior Notes
8.625%
4/30/30
22,000
22,362
(a)
See Notes to Schedules of Investments.

118
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Energy Equipment & Services — continued
Weatherford International Ltd., Senior Notes
6.750%
10/15/33
 $15,000
 $15,313
(a)
Total Energy Equipment & Services
125,247
Oil, Gas & Consumable Fuels — 5.2%
Columbia Pipelines Operating Co. LLC, Senior Notes
5.927%
8/15/30
18,000
18,710
(a)
Crescent Energy Finance LLC, Senior Notes
8.375%
1/15/34
65,000
66,990
(a)
Ecopetrol SA, Senior Notes
6.875%
4/29/30
140,000
142,642
Energy Transfer LP, Junior Subordinated Notes (6.625% to 2/15/28 then 3
mo. Term SOFR + 4.417%)
6.625%
2/15/28
65,000
65,558
(c)(d)
Energy Transfer LP, Senior Notes
5.500%
6/1/27
13,000
13,087
Hess Midstream Operations LP, Senior Notes
4.250%
2/15/30
55,000
53,083
(a)
Hilcorp Energy I LP/Hilcorp Finance Co., Senior Notes
8.375%
11/1/33
60,000
62,510
(a)
Kinder Morgan Inc., Senior Notes
5.000%
2/1/29
13,000
13,119
Kinetik Holdings LP, Senior Notes
5.875%
6/15/30
60,000
60,376
(a)
Murphy Oil Corp., Senior Notes
6.000%
10/1/32
10,000
9,965
Murphy Oil Corp., Senior Notes
6.500%
2/15/34
5,000
4,956
Petroleos Mexicanos, Senior Notes
6.700%
2/16/32
50,000
50,474
Sunoco LP, Senior Notes
6.250%
7/1/33
35,000
35,331
(a)
Sunoco LP, Senior Notes
5.625%
7/15/34
10,000
9,766
(a)
Targa Resources Corp., Senior Notes
4.350%
4/15/31
5,000
4,886
Venture Global Calcasieu Pass LLC, Senior Secured Notes
6.000%
5/1/36
30,000
30,341
(a)
Venture Global LNG Inc., Senior Secured Notes
9.875%
2/1/32
60,000
64,078
(a)
Venture Global Plaquemines LNG LLC, Senior Secured Notes
7.500%
5/1/33
45,000
49,408
(a)
Viper Energy Partners LLC, Senior Notes
4.900%
8/1/30
19,000
18,947
Total Oil, Gas & Consumable Fuels
774,227
 
Total Energy
899,474
Financials — 8.4%
Banks — 1.2%
Bank of America Corp., Senior Notes (3.194% to 7/23/29 then 3 mo. Term
SOFR + 1.442%)
3.194%
7/23/30
39,000
37,279
(d)
Bank of America Corp., Senior Notes (4.695% to 4/23/31 then SOFR +
1.040%)
4.695%
4/23/32
20,000
19,836
(d)
Citigroup Inc., Senior Notes (4.542% to 9/19/29 then SOFR + 1.338%)
4.542%
9/19/30
38,000
37,739
(d)
JPMorgan Chase & Co., Senior Notes (4.603% to 10/22/29 then SOFR +
1.040%)
4.603%
10/22/30
38,000
37,837
(d)
JPMorgan Chase & Co., Senior Notes (4.622% to 4/23/31 then SOFR +
0.990%)
4.622%
4/23/32
20,000
19,774
(d)
Wells Fargo & Co., Senior Notes (5.574% to 7/25/28 then SOFR + 1.740%)
5.574%
7/25/29
31,000
31,527
(d)
Total Banks
183,992
Capital Markets — 1.8%
Ares Capital Corp., Senior Notes
7.000%
1/15/27
36,000
36,370
Blackstone Private Credit Fund, Senior Notes
3.250%
3/15/27
19,000
18,767
Cipher Compute LLC, Senior Secured Notes
7.125%
11/15/30
20,000
20,816
(a)
Goldman Sachs Group Inc., Senior Notes (4.594% to 4/20/29 then SOFR +
0.990%)
4.594%
4/20/30
5,000
4,973
(d)
Goldman Sachs Group Inc., Senior Notes (4.972% to 6/3/31 then SOFR +
1.030%)
4.972%
6/3/32
10,000
9,996
(d)
Morgan Stanley, Senior Notes (4.493% to 1/16/31 then SOFR + 0.950%)
4.493%
1/16/32
10,000
9,808
(d)
See Notes to Schedules of Investments.

119
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Capital Markets — continued
Morgan Stanley, Senior Notes (4.654% to 10/18/29 then SOFR + 1.100%)
4.654%
10/18/30
 $38,000
 $37,801
(d)
Morgan Stanley, Senior Notes (4.708% to 3/12/31 then SOFR + 1.195%)
4.708%
3/12/32
15,000
14,818
(d)
MSCI Inc., Senior Notes
3.625%
9/1/30
20,000
18,927
(a)
Nasdaq Inc., Senior Notes
5.350%
6/28/28
8,000
8,109
Osaic Holdings Inc., Senior Secured Notes
6.750%
8/1/32
50,000
50,114
(a)
StoneX Group Inc., Secured Notes
7.875%
3/1/31
35,000
36,770
(a)
Total Capital Markets
267,269
Consumer Finance — 1.4%
Ally Financial Inc., Senior Notes
2.200%
11/2/28
20,000
18,889
American Express Co., Senior Notes (5.098% to 2/16/27 then SOFR +
1.000%)
5.098%
2/16/28
14,000
14,057
(d)
FirstCash Inc., Senior Notes
6.875%
3/1/32
60,000
61,730
(a)
FirstCash Inc., Senior Notes
6.125%
5/1/34
10,000
9,959
(a)
OneMain Finance Corp., Senior Notes
7.125%
11/15/31
60,000
61,264
PROG Holdings Inc., Senior Notes
6.000%
11/15/29
45,000
43,890
(a)
Total Consumer Finance
209,789
Financial Services — 2.3%
Freedom Mortgage Corp., Senior Notes
12.250%
10/1/30
50,000
53,984
(a)
Freedom Mortgage Holdings LLC, Senior Notes
9.250%
2/1/29
5,000
5,185
(a)
Gabx Leasing LLC, Senior Notes
4.625%
4/15/31
15,000
14,797
(a)
Global Payments Inc., Senior Notes
2.150%
1/15/27
19,000
18,757
Jane Street Group/JSG Finance Inc., Senior Secured Notes
6.750%
5/1/33
60,000
61,735
(a)
Jefferson Capital Holdings LLC, Senior Notes
8.250%
5/15/30
60,000
63,124
(a)
LPL Holdings Inc., Senior Notes
6.750%
11/17/28
18,000
18,730
LPL Holdings Inc., Senior Notes
5.200%
3/15/30
18,000
18,123
Macquarie Airfinance Holdings Ltd., Senior Notes
6.400%
3/26/29
37,000
38,095
(a)
Rocket Cos. Inc., Senior Notes
6.125%
8/1/31
15,000
15,331
(a)
Rocket Cos. Inc., Senior Notes
6.375%
8/1/33
40,000
40,728
(a)
Total Financial Services
348,589
Insurance — 1.7%
Acrisure LLC/Acrisure Finance Inc., Senior Secured Notes
7.500%
11/6/30
45,000
42,711
(a)
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, Senior Secured
Notes
6.750%
4/15/28
45,000
45,382
(a)
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, Senior Secured
Notes
7.000%
1/15/31
15,000
15,252
(a)
Arthur J Gallagher & Co., Senior Notes
4.850%
12/15/29
13,000
13,100
Asurion LLC/Asurion Co-Issuer Inc., Senior Secured Notes
8.000%
12/31/32
20,000
20,167
(a)
Athene Global Funding, Senior Secured Notes
5.349%
7/9/27
32,000
32,229
(a)
Brown & Brown Inc., Senior Notes
4.700%
6/23/28
19,000
18,999
Brown & Brown Inc., Senior Notes
4.900%
6/23/30
19,000
18,976
Fairfax Financial Holdings Ltd., Senior Notes
4.850%
4/17/28
14,000
14,051
HUB International Ltd., Senior Secured Notes
7.250%
6/15/30
40,000
41,070
(a)
Total Insurance
261,937
 
Total Financials
1,271,576
See Notes to Schedules of Investments.

120
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Health Care — 2.7%
Biotechnology — 0.3%
AbbVie Inc., Senior Notes
4.125%
3/15/31
 $10,000
 $9,790
Amgen Inc., Senior Notes
5.150%
3/2/28
32,000
32,312
Total Biotechnology
42,102
Health Care Equipment & Supplies — 0.6%
Insulet Corp., Senior Notes
6.500%
4/1/33
60,000
60,903
(a)
Medline Borrower LP, Senior Secured Notes
3.875%
4/1/29
40,000
38,866
(a)
Total Health Care Equipment & Supplies
99,769
Health Care Providers & Services — 0.9%
CHS/Community Health Systems Inc., Senior Secured Notes
9.750%
1/15/34
50,000
52,266
(a)
CVS Health Corp., Senior Notes
1.875%
2/28/31
5,000
4,387
DaVita Inc., Senior Notes
6.875%
9/1/32
60,000
61,914
(a)
HCA Inc., Senior Notes
4.125%
6/15/29
14,000
13,787
Total Health Care Providers & Services
132,354
Life Sciences Tools & Services — 0.4%
Illumina Inc., Senior Notes
4.650%
9/9/26
19,000
19,007
IQVIA Inc., Senior Notes
6.250%
6/1/32
45,000
45,807
(a)
Total Life Sciences Tools & Services
64,814
Pharmaceuticals — 0.5%
Novartis Capital Corp., Senior Notes
4.400%
3/18/31
25,000
24,823
Royalty Pharma PLC, Senior Notes
2.200%
9/2/30
37,000
33,446
Viatris Inc., Senior Notes
2.300%
6/22/27
20,000
19,534
Total Pharmaceuticals
77,803
 
Total Health Care
416,842
Industrials — 6.7%
Aerospace & Defense — 2.5%
Avolon Holdings Funding Ltd., Senior Notes
5.750%
11/15/29
18,000
18,411
(a)
Avolon Holdings Funding Ltd., Senior Notes
4.900%
10/10/30
19,000
18,842
(a)
Boeing Co., Senior Notes
6.298%
5/1/29
86,000
89,546
Boeing Co., Senior Notes
2.950%
2/1/30
30,000
28,233
Boeing Co., Senior Notes
3.750%
2/1/50
90,000
65,713
Bombardier Inc., Senior Notes
7.000%
6/1/32
35,000
36,301
(a)
Honeywell Aerospace Inc., Senior Notes
4.300%
3/16/31
15,000
14,745
(a)
Howmet Aerospace Inc., Senior Notes
3.000%
1/15/29
29,000
27,935
Spirit AeroSystems Inc., Senior Notes
4.600%
6/15/28
20,000
19,947
TransDigm Inc., Subordinated Notes
6.750%
1/31/34
60,000
61,585
(a)
Total Aerospace & Defense
381,258
Building Products — 0.3%
Quikrete Holdings Inc., Senior Secured Notes
6.375%
3/1/32
35,000
35,758
(a)
Commercial Services & Supplies — 1.6%
Republic Services Inc., Senior Notes
5.000%
11/15/29
31,000
31,421
RR Donnelley & Sons Co., Senior Secured Notes
9.500%
8/1/29
60,000
62,268
(a)
Veritiv Operating Co., Senior Secured Notes
10.500%
11/30/30
25,000
25,600
(a)
Waste Pro USA Inc., Senior Notes
7.000%
2/1/33
60,000
61,547
(a)
Wrangler Holdco Corp., Senior Notes
6.625%
4/1/32
60,000
61,549
(a)
Total Commercial Services & Supplies
242,385
See Notes to Schedules of Investments.

121
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Construction & Engineering — 0.3%
Arcosa Inc., Senior Notes
4.375%
4/15/29
 $45,000
 $44,292
(a)
Electrical Equipment — 0.2%
Gates Corp., Senior Notes
6.875%
7/1/29
30,000
30,721
(a)
Ground Transportation — 0.4%
Watco Cos. LLC/Watco Finance Corp., Senior Notes
7.125%
8/1/32
60,000
61,648
(a)
Machinery — 0.3%
Esab Corp., Senior Notes
5.625%
4/1/31
45,000
45,161
(a)
Passenger Airlines — 0.3%
AS Mileage Plan IP Ltd., Senior Secured Notes
5.021%
10/20/29
37,000
36,705
(a)
United Airlines Inc., Senior Secured Notes
4.625%
4/15/29
10,000
9,868
(a)
Total Passenger Airlines
46,573
Professional Services — 0.3%
CACI International Inc., Senior Notes
6.375%
6/15/33
45,000
45,667
(a)
Trading Companies & Distributors — 0.5%
EquipmentShare.com Inc., Secured Notes
8.625%
5/15/32
50,000
52,074
(a)
Herc Holdings Inc., Senior Notes
5.750%
3/15/31
20,000
19,991
(a)
Total Trading Companies & Distributors
72,065
 
Total Industrials
1,005,528
Information Technology — 3.2%
Communications Equipment — 0.1%
Motorola Solutions Inc., Senior Notes
2.300%
11/15/30
16,000
14,438
IT Services — 0.4%
APLD ComputeCo LLC, Senior Secured Notes
9.250%
12/15/30
50,000
53,968
(a)
CoreWeave Inc., Senior Notes
9.750%
10/1/31
5,000
4,992
(a)
Total IT Services
58,960
Semiconductors & Semiconductor Equipment — 1.0%
Intel Corp., Senior Notes
2.450%
11/15/29
15,000
13,960
Marvell Technology Inc., Senior Notes
4.750%
7/15/30
19,000
18,963
NVIDIA Corp., Senior Notes
4.500%
6/15/31
50,000
49,834
Qnity Electronics Inc., Senior Notes
6.250%
8/15/33
60,000
61,121
(a)
Total Semiconductors & Semiconductor Equipment
143,878
Software — 1.1%
Atlassian Corp., Senior Notes
5.250%
5/15/29
37,000
37,099
Gen Digital Inc., Senior Notes
6.250%
4/1/33
40,000
39,452
(a)
Oracle Corp., Senior Notes
4.550%
2/4/29
35,000
34,509
Oracle Corp., Senior Notes
4.950%
2/4/31
15,000
14,688
Salesforce Inc., Senior Notes
4.500%
3/15/28
15,000
14,986
Synopsys Inc., Senior Notes
4.850%
4/1/30
32,000
32,062
Total Software
172,796
Technology Hardware, Storage & Peripherals — 0.6%
Black Pearl Compute LLC, Senior Secured Notes
6.125%
2/15/31
15,000
15,211
(a)
Dell International LLC/EMC Corp., Senior Notes
4.750%
7/15/31
5,000
4,971
Hewlett Packard Enterprise Co., Senior Notes
4.550%
10/15/29
14,000
13,921
Seagate Data Storage Technology Pte Ltd., Senior Notes
5.875%
7/15/30
60,000
61,102
Total Technology Hardware, Storage & Peripherals
95,205
 
Total Information Technology
485,277
See Notes to Schedules of Investments.

122
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Materials — 3.0%
Chemicals — 0.4%
Element Solutions Inc., Senior Notes
3.875%
9/1/28
 $40,000
 $39,055
(a)
Rain Carbon Inc., Senior Secured Notes
12.250%
9/1/29
25,000
26,696
(a)
Total Chemicals
65,751
Construction Materials — 0.7%
Cemex SAB de CV, Senior Notes
5.750%
6/5/36
30,000
29,940
Smyrna Ready Mix Concrete LLC, Senior Secured Notes
8.875%
11/15/31
25,000
26,374
(a)
Standard Building Solutions Inc., Senior Notes
6.250%
8/1/33
45,000
44,727
(a)
Total Construction Materials
101,041
Containers & Packaging — 0.5%
Berry Global Inc., Senior Secured Notes
1.650%
1/15/27
14,000
13,791
Clydesdale Acquisition Holdings Inc., Senior Secured Notes
6.750%
4/15/32
60,000
58,281
(a)
Total Containers & Packaging
72,072
Metals & Mining — 1.1%
Cleveland-Cliffs Inc., Senior Notes
7.000%
3/15/32
15,000
14,900
(a)
Commercial Metals Co., Senior Notes
5.750%
11/15/33
35,000
34,812
(a)
Glencore Funding LLC, Senior Notes
4.000%
3/27/27
14,000
13,955
(a)
Mineral Resources Ltd., Senior Notes
7.000%
4/1/31
30,000
31,075
(a)
Novelis Corp., Senior Notes
6.375%
8/15/33
65,000
65,515
(a)
Total Metals & Mining
160,257
Paper & Forest Products — 0.3%
Georgia-Pacific LLC, Senior Notes
4.600%
5/15/31
25,000
24,799
(a)
Magnera Corp., Senior Secured Notes
4.750%
11/15/29
25,000
23,355
(a)
Total Paper & Forest Products
48,154
 
Total Materials
447,275
Real Estate — 2.0%
Diversified REITs — 0.3%
VICI Properties LP/VICI Note Co. Inc., Senior Notes
3.750%
2/15/27
38,000
37,769
(a)
Health Care REITs — 0.2%
Diversified Healthcare Trust, Senior Secured Notes
7.250%
10/15/30
30,000
30,915
(a)
Hotel & Resort REITs — 0.6%
RHP Hotel Properties LP/RHP Finance Corp., Senior Notes
6.500%
4/1/32
60,000
61,427
(a)
XHR LP, Senior Notes
6.625%
5/15/30
35,000
35,851
(a)
Total Hotel & Resort REITs
97,278
Specialized REITs — 0.9%
American Tower Corp., Senior Notes
3.550%
7/15/27
28,000
27,761
Crown Castle Inc., Senior Notes
4.900%
9/1/29
18,000
18,072
Equinix Inc., Senior Notes
3.200%
11/18/29
15,000
14,289
Iron Mountain Inc., Senior Notes
6.250%
1/15/35
10,000
10,052
(a)
Millrose Properties Inc., Senior Notes
6.375%
8/1/30
40,000
40,568
(a)
SV RNO Property Owner 1 LLC, Senior Secured Notes
5.875%
3/1/31
20,000
19,724
(a)
Total Specialized REITs
130,466
 
Total Real Estate
296,428
Utilities — 2.2%
Electric Utilities — 1.9%
Constellation Energy Generation LLC, Senior Notes
5.600%
3/1/28
13,000
13,207
See Notes to Schedules of Investments.

123
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Electric Utilities — continued
Constellation Energy Generation LLC, Senior Notes
4.400%
1/15/31
 $10,000
 $9,834
Eversource Energy, Senior Notes
5.450%
3/1/28
13,000
13,151
IPALCO Enterprises Inc., Senior Secured Notes
4.250%
5/1/30
19,000
18,460
NRG Energy Inc., Senior Notes
6.250%
11/1/34
60,000
60,778
(a)
NRG Energy Inc., Senior Notes
6.000%
1/15/36
10,000
9,974
(a)
Pacific Gas and Electric Co., First Mortgage Bonds
6.100%
1/15/29
18,000
18,537
Pacific Gas and Electric Co., First Mortgage Bonds
5.050%
11/15/31
5,000
4,996
Southern Co., Senior Notes
5.500%
3/15/29
31,000
31,708
Talen Energy Supply LLC, Senior Notes
6.125%
5/1/31
20,000
20,009
(a)
Talen Energy Supply LLC, Senior Notes
6.250%
2/1/34
35,000
34,802
(a)
Vistra Operations Co. LLC, Senior Notes
4.300%
7/15/29
38,000
37,246
(a)
Vistra Operations Co. LLC, Senior Notes
4.700%
1/31/31
10,000
9,814
(a)
Total Electric Utilities
282,516
Independent Power and Renewable Electricity Producers — 0.3%
AES Corp., Senior Notes
5.450%
6/1/28
18,000
18,203
Clearway Energy Operating LLC, Senior Notes
3.750%
1/15/32
30,000
27,317
(a)
Total Independent Power and Renewable Electricity Producers
45,520
 
Total Utilities
328,036
Total Corporate Bonds & Notes (Cost — $6,805,881)
6,759,314
Collateralized Mortgage Obligations(e) — 18.3%
A&D Mortgage Trust, 2024-NQM1 A2
6.347%
2/25/69
54,591
54,689
(a)
Banc of America Commercial Mortgage Trust, 2015-UBS7 B
4.429%
9/15/48
8,150
8,121
(d)
BANK5, 2025-5YR17 AS
5.626%
11/15/58
19,000
19,263
(d)
BBCMS Mortgage Trust, 2025-5C37 AS
5.382%
9/15/58
37,000
37,187
(d)
Benchmark Mortgage Trust, 2019-B14 A2
2.915%
12/15/62
18,007
17,545
Benchmark Mortgage Trust, 2020-B17 A2
2.211%
3/15/53
26,071
24,685
Benchmark Mortgage Trust, 2025-V17 XA, IO
1.727%
9/15/58
151,000
8,288
(d)
Benchmark Mortgage Trust, 2026-V21 AS
5.506%
3/15/59
15,000
15,133
BMO Mortgage Trust, 2024-5C8 AS
5.940%
12/15/57
37,000
37,798
(d)
BMO Mortgage Trust, 2025-5C11 AS
5.938%
7/15/58
22,000
22,415
BMO Mortgage Trust, 2025-5C12 XA, IO
1.659%
10/15/58
999,689
54,004
(d)
Cantor Commercial Real Estate Lending, 2019-CF3 A2
2.942%
1/15/53
7,779
7,390
CD Mortgage Trust, 2016-CD1 A4
2.724%
8/10/49
14,525
14,464
CFCRE Commercial Mortgage Trust, 2016-C6 B
3.804%
11/10/49
24,000
22,852
Citigroup Commercial Mortgage Trust, 2015-GC33 B
4.480%
9/10/58
15,125
14,684
(d)
Citigroup Commercial Mortgage Trust, 2015-GC33 C
4.480%
9/10/58
26,000
22,665
(d)
Commercial Mortgage Trust, 2012-CR4 AM
3.251%
10/15/45
24,000
23,309
Commercial Mortgage Trust, 2013-CR12 AM
4.300%
10/10/46
16,347
15,681
Commercial Mortgage Trust, 2014-CR14 C
3.246%
2/10/47
23,000
22,497
(d)
Commercial Mortgage Trust, 2014-CR15 C
3.961%
2/10/47
25,000
23,583
(d)
Commercial Mortgage Trust, 2014-CR17 B
4.377%
5/10/47
22,561
22,452
Commercial Mortgage Trust, 2014-CR17 C
4.941%
5/10/47
30,000
29,270
(d)
Commercial Mortgage Trust, 2017-COR2 C
4.739%
9/10/50
25,000
23,761
(d)
Commercial Mortgage Trust, 2018-COR3 AM
4.496%
5/10/51
32,000
29,687
(d)
Deephaven Residential Mortgage Trust, 2024-1 A1
5.735%
7/25/69
87,327
87,707
(a)
See Notes to Schedules of Investments.

124
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Collateralized Mortgage Obligations(e) — continued
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 4839 WS, IO (-1.000 x
30 Day Average SOFR + 5.986%)
2.393%
8/15/56
 $202,596
 $25,272
(d)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5016 PI, IO, PAC
3.000%
9/25/50
376,742
65,230
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5158 IV, IO, PAC
4.000%
1/25/49
518,200
107,426
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5164 IC, IO
4.000%
11/25/51
483,129
99,817
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5493 FK (30 Day
Average SOFR + 1.150%)
4.778%
1/25/55
59,785
60,484
(d)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5537 FC (30 Day
Average SOFR + 1.150%)
4.778%
5/25/55
100,816
102,029
(d)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, Structured Agency
Credit Risk Trust, 2022-HQA1 B2 (30 Day Average SOFR + 11.000%)
14.628%
3/25/42
104,000
111,070
(a)(d)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, Structured Agency
Credit Risk Trust, 2025-DNA3 M1 (30 Day Average SOFR + 1.100%)
4.728%
9/25/45
13,536
13,550
(a)(d)
Federal Home Loan Mortgage Corp. (FHLMC) Structured Agency Credit Risk
Trust, 2019-FTR3 B2 (30 Day Average SOFR + 4.914%)
8.527%
9/25/47
76,000
83,305
(a)(d)
Federal National Mortgage Association (FNMA) — CAS, 2021-R01 1B2 (30
Day Average SOFR + 6.000%)
9.628%
10/25/41
70,000
71,007
(a)(d)
Federal National Mortgage Association (FNMA) — CAS, 2026-R01 2M2 (30
Day Average SOFR + 1.350%)
4.978%
1/25/46
16,000
15,983
(a)(d)
Federal National Mortgage Association (FNMA) REMIC, 2020-47 ID, IO
4.000%
7/25/50
272,381
59,385
Federal National Mortgage Association (FNMA) REMIC, 2020-77 HI, IO
4.000%
11/25/50
296,041
59,889
Federal National Mortgage Association (FNMA) REMIC, 2024-49 AF (30 Day
Average SOFR + 1.100%)
4.728%
7/25/54
49,160
49,596
(d)
Federal National Mortgage Association (FNMA) REMIC, 2024-95 KF (30 Day
Average SOFR + 1.100%)
4.728%
12/25/54
84,147
84,945
(d)
Federal National Mortgage Association (FNMA) STRIPS, 438 C7, IO
3.000%
1/25/53
361,146
63,657
Government National Mortgage Association (GNMA), 2016-042 IO, IO
5.000%
2/20/46
451,430
85,425
Government National Mortgage Association (GNMA), 2021-213 PI, IO, PAC
4.500%
4/20/50
197,636
43,102
Government National Mortgage Association (GNMA), 2022-078 IO, IO
3.000%
8/20/51
636,950
110,758
Government National Mortgage Association (GNMA), 2022-081 BI, IO
2.500%
11/20/50
638,013
91,057
Government National Mortgage Association (GNMA), 2022-213 IH, IO
6.000%
12/20/52
124,389
23,423
Government National Mortgage Association (GNMA), 2023-040 CI, IO
2.000%
10/20/50
860,937
84,693
Government National Mortgage Association (GNMA), 2025-214 KI, IO, PAC
5.500%
12/20/55
267,940
57,064
GS Mortgage Securities Trust, 2014-GC24 B
4.449%
9/10/47
8,961
8,765
(d)
GS Mortgage Securities Trust, 2015-GC30 B
4.094%
5/10/50
22,808
22,266
(d)
GS Mortgage Securities Trust, 2019-GC42 A2
2.933%
9/10/52
37,246
35,630
JPMBB Commercial Mortgage Securities Trust, 2014-C25 AS
4.065%
11/15/47
30,000
29,344
JPMBB Commercial Mortgage Securities Trust, 2014-C18 C
4.659%
2/15/47
20,000
19,536
(d)
JPMorgan Chase Commercial Mortgage Securities Trust, 2016-JP2 AS
3.056%
8/15/49
17,000
16,907
JPMorgan Chase Commercial Mortgage Securities Trust, 2016-JP3 AS
3.144%
8/15/49
25,000
24,319
Morgan Stanley Bank of America Merrill Lynch Trust, 2013-C9 B
3.708%
5/15/46
13,613
13,013
(d)
Morgan Stanley Bank of America Merrill Lynch Trust, 2015-C21 B
3.854%
3/15/48
4,620
4,530
(d)
Morgan Stanley Bank of America Merrill Lynch Trust, 2015-C22 B
3.883%
4/15/48
25,000
22,891
(d)
Morgan Stanley Capital I Trust, 2016-BNK2, A4
3.049%
11/15/49
23,000
22,696
Morgan Stanley Capital I Trust, 2016-UB11 C
3.691%
8/15/49
40,000
39,722
(d)
OBX Trust, 2024-NQM8 A1
6.233%
5/25/64
75,595
76,036
(a)
UBS Commercial Mortgage Trust, 2019-C17 XA, IO
1.577%
10/15/52
898,123
33,656
(d)
See Notes to Schedules of Investments.

125
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Collateralized Mortgage Obligations(e) — continued
VEGAS, 2024-GCS D
6.424%
7/10/36
 $15,000
 $14,972
(a)(d)
VRTX Trust, 2025-HQ C
6.119%
8/5/42
31,000
30,549
(a)(d)
VRTX Trust, 2025-HQ D
6.815%
8/5/42
23,000
22,763
(a)(d)
Wells Fargo Commercial Mortgage Trust, 2016-LC24 AS
3.367%
10/15/49
39,000
38,695
Wells Fargo Commercial Mortgage Trust, 2025-5C6 XA, IO
1.580%
10/15/58
999,656
49,470
(d)
WFRBS Commercial Mortgage Trust, 2014-C21 B
4.213%
8/15/47
9,971
9,826
(d)
 
Total Collateralized Mortgage Obligations (Cost — $2,730,673)
2,762,883
Mortgage-Backed Securities — 16.4%
FNMA — 14.0%
Federal National Mortgage Association (FNMA)
2.500%
8/1/56
160,000
133,662
(f)
Federal National Mortgage Association (FNMA)
3.000%
8/1/56
60,000
52,294
(f)
Federal National Mortgage Association (FNMA)
3.500%
8/1/56
80,000
72,534
(f)
Federal National Mortgage Association (FNMA)
4.500%
8/1/56
385,000
368,532
(f)
Federal National Mortgage Association (FNMA)
5.500%
8/1/56
1,230,000
1,232,297
(f)
Federal National Mortgage Association (FNMA)
6.000%
8/1/56
160,000
163,054
(f)
Federal National Mortgage Association (FNMA)
6.500%
8/1/56
90,000
92,998
(f)
Total FNMA
2,115,371
GNMA — 2.4%
Government National Mortgage Association (GNMA) II
4.500%
8/1/56
60,000
57,586
(f)
Government National Mortgage Association (GNMA) II
5.500%
8/1/56
300,000
301,123
(f)
Total GNMA
358,709
 
Total Mortgage-Backed Securities (Cost — $2,481,040)
2,474,080
Asset-Backed Securities — 10.4%
BRAVO Residential Funding Trust, 2025-HE1 A1 (30 Day Average SOFR +
1.350%)
4.978%
9/25/72
77,500
77,738
(a)(d)
CIFC Funding Ltd., 2022-4A BR (3 mo. Term SOFR + 1.550%)
5.230%
7/16/35
300,000
300,474
(a)(d)
Compass Datacenters Issuer LLC, 2025-2A A1
4.926%
11/25/50
88,000
86,218
(a)
Lendbuzz Securitization Trust, 2026-1A C
5.740%
9/15/31
28,191
27,956
(a)
PRET LLC, 2026-NPL1 A1
5.180%
1/25/56
95,397
94,669
(a)
PRET LLC, 2026-RN2 A1
5.770%
7/25/56
100,000
100,280
(a)(b)
PRET Trust, 2026-RN1 A1
5.668%
6/25/66
100,000
100,127
(a)
RCO Mortgage LLC, 2025-3 A1
6.435%
5/25/30
49,904
49,984
(a)
RCO Mortgage LLC, 2026-2 A1
5.765%
5/25/31
96,850
96,756
(a)
Rockford Tower CLO Ltd., 2021-2A A2R (3 mo. Term SOFR + 1.500%)
5.175%
7/20/34
300,000
300,309
(a)(d)
SF ABS Issuer LLC, 2025-1A A2
5.377%
11/25/55
38,000
37,419
(a)
Trinitas CLO Ltd., 2021-17A B1R (3 mo. Term SOFR + 1.650%)
5.325%
10/20/34
300,000
300,637
(a)(d)
 
Total Asset-Backed Securities (Cost — $1,573,361)
1,572,567
Sovereign Bonds — 9.0%
Argentina — 0.1%
Provincia de Cordoba, Senior Notes
8.600%
2/3/35
10,000
9,963
(a)
Provincia del Chubut Argentina, Senior Secured Notes
9.450%
4/29/36
10,000
10,600
(a)
Total Argentina
20,563
Brazil — 1.1%
 
Brazilian Government International Bond, Senior Notes
8.250%
1/20/34
150,000
169,905
Bulgaria — 0.6%
 
Bulgaria Government International Bond, Senior Notes
5.000%
3/5/37
90,000
88,022
(g)
See Notes to Schedules of Investments.

126
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Multisector Income ETF 
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
El Salvador — 0.5%
El Salvador Government International Bond, Senior Notes
8.625%
2/28/29
 $30,000
 $31,684
(g)
El Salvador Government International Bond, Senior Notes
7.650%
6/15/35
40,000
41,479
(a)
Total El Salvador
73,163
Ghana — 0.4%
 
Ghana Government International Bond, Senior Notes, Step bond (5.000% to
7/3/28 then 6.000%)
5.000%
7/3/35
70,000
64,991
(a)
Mexico — 1.2%
 
Mexico Government International Bond, Senior Notes
6.750%
9/27/34
170,000
179,758
Peru — 1.1%
 
Peruvian Government International Bond, Senior Notes
2.783%
1/23/31
180,000
166,293
Philippines — 0.9%
 
Philippine Government International Bond, Senior Notes
9.500%
2/2/30
120,000
139,412
Poland — 0.9%
 
Republic of Poland Government International Bond
4.875%
2/12/30
130,000
131,553
Romania — 1.1%
 
Romanian Government International Bond, Senior Notes
7.125%
1/17/33
150,000
159,404
(a)
Turkey — 1.1%
Turkiye Government International Bond, Senior Notes
11.875%
1/15/30
140,000
166,071
 
Total Sovereign Bonds (Cost — $1,375,563)
1,359,135
Senior Loans — 0.9%
Consumer Staples — 0.4%
Consumer Staples Distribution & Retail — 0.4%
Froneri International Ltd., Term Loan Facility B6 (6 mo. Term SOFR + 2.500%)
6.127%
9/30/32
64,837
64,467
(d)(h)(i)(j)
 
Information Technology — 0.5%
Communications Equipment — 0.5%
Connect US Finco LLC, Amendment No. 4 Term Loan (1 mo. Term SOFR +
4.500%)
8.144%
9/27/29
64,342
64,610
(d)(h)(i)
 
Total Senior Loans (Cost — $128,536)
129,077
Total Investments before Short-Term Investments (Cost — $15,095,054)
15,057,056
 
 
 
Shares
 
Short-Term Investments — 13.6%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $2,044,220)
3.545%
2,044,220
2,044,220
(k)(l)
Total Investments — 113.4% (Cost — $17,139,274)
17,101,276
Liabilities in Excess of Other Assets — (13.4)%
(2,022,486
)
Total Net Assets — 100.0%
$15,078,790
See Notes to Schedules of Investments.

127
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Multisector Income ETF 
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(b)
Securities traded on a when-issued or delayed delivery basis.
(c)
Security has no maturity date. The date shown represents the next call date.
(d)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(e)
Collateralized mortgage obligations are secured by an underlying pool of mortgages or mortgage pass-through certificates that are structured to direct
payments on underlying collateral to different series or classes of the obligations. The interest rate may change positively or inversely in relation to one or
more interest rates, financial indices or other financial indicators and may be subject to an upper and/or lower limit.
(f)
This security is traded on a to-be-announced (“TBA”) basis. At June 30, 2026, the Fund held TBA securities with a total cost of $2,481,040.
(g)
Security is exempt from registration under Regulation S of the Securities Act of 1933. Regulation S applies to securities offerings that are made outside of
the United States and do not involve direct selling efforts in the United States. This security has been deemed liquid pursuant to guidelines approved by the
Board of Trustees.
(h)
Interest rates disclosed represent the effective rates on senior loans. Ranges in interest rates are attributable to multiple contracts under the same loan.
(i)
Senior loans may be considered restricted in that the Fund ordinarily is contractually obligated to receive approval from the agent bank and/or borrower
prior to the disposition of a senior loan.
(j)
All or a portion of this loan has not settled as of June 30, 2026. Interest rates are not effective until settlement date. Interest rates shown, if any, are for
the settled portion of the loan.
(k)
Rate shown is one-day yield as of the end of the reporting period.
(l)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $2,044,220 and the cost was $2,044,220 (Note 3).
Abbreviation(s) used in this schedule:
CAS
Connecticut Avenue Securities
CLO
Collateralized Loan Obligation
IO
Interest Only
PAC
Planned Amortization Class
REMIC
Real Estate Mortgage Investment Conduit
SOFR
Secured Overnight Financing Rate
STRIPS
Separate Trading of Registered Interest and Principal Securities
Security
 
Rate
Maturity
Date
Face
Amount
Value
Securities Sold Short‡ — (2.1)%
Mortgage-Backed Securities — (2.1)%
FNMA — (2.1)%
Federal National Mortgage Association (FNMA) (Proceeds — $(325,230))
5.000%
8/1/56
 $(330,000
)
 $(323,916
)(a)
 
Total Securities Sold Short (Proceeds — $(325,230))
$(323,916
)
Percentages indicated are based on net assets.
(a)
This security is traded on a to-be-announced (“TBA”) basis and is part of a mortgage dollar roll agreement.
At June 30, 2026, the Fund had the following open swap contracts:
 
CENTRALLY CLEARED INTEREST RATE SWAPS
 
Notional
Amount
Termination
Date
Payments
Made by
the Fund
Payments
Received by
the Fund
Market
Value
Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
 
 $5,654,000
9/16/28
4.040%
annually
Daily SOFR
Compound
annually
 $(4,558)
 $(13,139)
 $8,581
See Notes to Schedules of Investments.

128
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Multisector Income ETF 
CENTRALLY CLEARED INTEREST RATE SWAPS (cont’d)
 
Notional
Amount
Termination
Date
Payments
Made by
the Fund
Payments
Received by
the Fund
Market
Value
Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
 
 $6,317,000
9/16/33
Daily SOFR
Compound
annually
4.060%
annually
 $49,590
 $37,638
 $11,952
 
754,000
9/16/36
4.160%
annually
Daily SOFR
Compound
annually
(9,102)
(7,934)
(1,168)
 
303,000
9/16/56
4.300%
annually
Daily SOFR
Compound
annually
(6,850)
(2,450)
(4,400)
Total
$13,028,000
$29,080
$14,115
$14,965
 
OTC TOTAL RETURN SWAPS
Swap
Counterparty
Notional
Amount
Termination
Date
Periodic
Payments
Made by
the Fund
Periodic
Payments
Received by
the Fund
Market
Value
Upfront
Premiums
Paid
(Received)
Unrealized
Appreciation
Morgan Stanley & Co. LLC
 $530,000
9/20/26
0.00%
At Maturity
 $713
$713
Morgan Stanley & Co. LLC
750,001
9/20/26
0.00%
At Maturity
1,009
1,009
Total
$1,280,001
$1,722
$1,722
Percentage shown is an annual percentage rate.
Periodic payments made/received by the Fund are based on the total return of the referenced entity.
Reference rate(s) and their value(s) as of period end used in this table:
Reference Index
Reference
Rate
Daily SOFR Compound
3.680%
Abbreviation(s) used in this table:
SOFR
Secured Overnight Financing Rate
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

129
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Municipal Green Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Municipal Bonds — 98.2%
Alabama — 0.4%
 
Mobile County, AL, Revenue, Gomesa Project, Series 2020
4.000%
11/1/45
 $300,000
 $280,989
(a)
Arkansas — 0.7%
Arkansas State Development Finance Authority, Environmental Improvement
Revenue:
Hybar Steel Project, Series A, Green Bonds
7.000%
7/1/48
250,000
277,123
(a)(b)
United States Steel Corp. Project, Green Bonds
5.700%
5/1/53
275,000
285,088
(b)
Total Arkansas
562,211
California — 33.6%
Alameda, CA, Community Facilities District, Special Tax Revenue, Green Bonds
5.000%
9/1/48
1,000,000
1,021,868
California State Community Choice Financing Authority Revenue:
Clean Energy Project, Green Bonds, Series A
5.000%
8/1/29
1,000,000
1,046,743
(c)(d)
Clean Energy Project, Green Bonds, Series C
5.250%
10/1/31
3,160,000
3,347,635
(c)(d)
Clean Energy Project, Green Bonds, Series E-1
5.000%
3/1/31
3,500,000
3,714,582
(c)(d)
Clean Energy Project, Green Bonds, Series F
5.500%
11/1/30
985,000
1,075,555
(c)(d)
Clean Energy Project, Green Bonds, Series G
5.250%
4/1/30
500,000
528,882
(c)(d)
California State Infrastructure & Economic Development Bank Revenue:
Science Center Phase III Project, Sustainability Bonds, Series B
4.000%
5/1/46
865,000
853,842
Science Center Phase III Project, Sustainability Bonds, Series B
4.000%
5/1/51
1,000,000
949,125
California State MFA Revenue:
CHF-Davis II LLC, Orchard Park Student Housing Project, Green Bonds,
Series 2018
5.000%
5/15/51
1,000,000
1,006,807
CHF-Davis II LLC, Orchard Park Student Housing Project, Green Bonds,
Series 2021, BAM
4.000%
5/15/39
3,445,000
3,507,863
CHF-Riverside II LLC, UCR North District Phase I Student Housing Project,
Green Bonds, Series 2019
5.000%
5/15/37
1,495,000
1,551,165
California State Public Works Board, Lease Revenue:
Southern California Headquarters, Series D
4.000%
5/1/44
1,000,000
1,003,781
Southern California Headquarters, Series D
4.000%
5/1/47
1,500,000
1,470,550
California State School Finance Authority Revenue, River Springs Charter
School, Series A, State Intercept Program
5.750%
7/1/42
250,000
259,266
(a)
Perris Joint Powers Authority, CA, Special Tax Revenue, Series B, Refunding
5.000%
9/1/37
100,000
101,357
San Diego County, CA, Regional Airport Authority Revenue, Series B
5.000%
7/1/51
2,300,000
2,336,474
(b)
Santa Cruz County, CA, Capital Financing Authority Revenue, Green Bonds
4.000%
6/1/42
1,500,000
1,520,100
Three Rivers Levee Improvement Authority, CA, Special Tax Revenue:
Community Facilities District Nos 2006-1 & 2006-2, Refunding
4.000%
9/1/27
250,000
252,236
Community Facilities District Nos 2006-1 & 2006-2, Refunding
4.000%
9/1/29
250,000
254,240
Community Facilities District Nos 2006-1 & 2006-2, Refunding
4.000%
9/1/31
200,000
201,837
Community Facilities District Nos 2006-1 & 2006-2, Refunding
4.000%
9/1/32
100,000
100,384
Transbay Joint Powers Authority, CA, Tax Allocation Revenue, Green Bonds
5.000%
10/1/34
150,000
155,725
Total California
26,260,017
District of Columbia — 4.7%
District of Columbia Revenue:
Smart Street Lighting Project Series A
5.500%
2/28/35
535,000
596,293
(b)
Smart Street Lighting Project Series A
5.500%
8/31/35
125,000
140,126
(b)
Smart Street Lighting Project, Series A
5.500%
8/31/33
905,000
998,668
(b)
See Notes to Schedules of Investments.

130
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Municipal Green Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
District of Columbia — continued
Smart Street Lighting Project, Series A
5.500%
2/28/37
 $845,000
 $953,968
(b)
District of Columbia Water & Sewer Authority Revenue, Public Utility
Subordinate Lien, Series A
4.000%
10/1/49
1,090,000
1,032,050
Total District of Columbia
3,721,105
Florida — 2.0%
Babcock Ranch, FL, Community Independent Special District, Special
Assessment Revenue, Assessment Area 3A
4.000%
5/1/40
840,000
817,235
Palm Beach County, FL, Water & Sewer Revenue, Series 2019, Refunding
4.000%
10/1/31
105,000
109,667
Somerset, FL, Community Development District, Capital Improvement Revenue:
Series 2022, Refunding
4.000%
5/1/32
415,000
414,312
Series 2022, Refunding
4.200%
5/1/37
205,000
201,044
Total Florida
1,542,258
Georgia — 3.3%
 
Atlanta, GA, Airport Passenger Facility Charge & Subordinate Lien General
Revenue, Series E
5.250%
7/1/43
2,355,000
2,548,879
(b)
Illinois — 5.4%
Illinois State Finance Authority Revenue:
Bondana-Champaign, Learning Facility
5.250%
10/1/53
3,000,000
3,140,907
Clean Water Initiative Revolving Fund, Series 2020
4.000%
7/1/38
575,000
580,978
Northern Illinois State University, Energy Savings Projects, BAM
5.500%
4/1/49
500,000
527,341
Total Illinois
4,249,226
Louisiana — 2.5%
Louisiana State Local Government Environmental Facilities & CDA Revenue:
St. Bernard Parish Gomesa Project
4.000%
11/1/45
800,000
744,404
(a)
St. Charles Parish Gomesa Project
4.500%
11/1/47
900,000
867,997
(a)
St. John The Baptist Parish Gomesa Project
3.900%
11/1/44
360,000
333,816
(a)
Total Louisiana
1,946,217
Maine — 0.3%
 
Portland, ME, General Airport Revenue, Series 2019, Refunding
4.000%
1/1/35
245,000
248,412
Maryland — 2.7%
Maryland State EDC, Private Activity Revenue, Series B, Green Bonds
5.250%
6/30/47
2,000,000
2,035,863
(b)
Washington, MD, Suburban Sanitary Commission Revenue, Green Bonds,
County GTD
3.000%
6/1/35
100,000
98,120
Total Maryland
2,133,983
Massachusetts — 4.2%
Massachusetts State DFA Revenue:
Boston Medical Center, Series F, Green Bonds
4.000%
7/1/47
135,000
119,318
Springfield College, Series B, Green Bonds
5.000%
6/1/27
440,000
442,712
Massachusetts State Housing Finance Agency, Housing Revenue:
Series A-1
4.900%
12/1/59
1,000,000
1,014,903
Series B-1
2.600%
12/1/41
2,000,000
1,605,213
Series C-1
2.650%
12/1/34
100,000
88,646
Total Massachusetts
3,270,792
Minnesota — 2.0%
Minneapolis, MN, GO, Green Bonds, Series 2019
3.000%
12/1/40
100,000
88,916
See Notes to Schedules of Investments.

131
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Municipal Green Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Minnesota — continued
Minnesota State HEFA Revenue, Series A
5.000%
10/1/52
 $1,500,000
 $1,520,456
Total Minnesota
1,609,372
Mississippi — 0.4%
 
Mississippi State Development Bank Special Obligation, Jackson County
Gomesa Project
3.625%
11/1/36
300,000
290,229
(a)
New Jersey — 3.7%
New Jersey State EFA Revenue, Stevens Institute of Technology, Series A
5.000%
7/1/32
645,000
692,394
Newark Board of Education, NJ, School Energy Savings Obligation Bonds,
Refunding, BAM
5.000%
7/15/28
571,000
597,177
Newark, NJ, Mass Transit Access Tax Revenue, Mulberry Pedestrian Bridge
Redevelopment Project, Series 2022, AG
6.000%
11/15/62
1,460,000
1,612,812
Total New Jersey
2,902,383
New York — 3.6%
MTA, NY, Transportation Revenue:
Green Bonds, Series A-1, Refunding, AG
4.000%
11/15/41
600,000
595,944
Green Bonds, Series E, Refunding
5.000%
11/15/32
105,000
114,442
New York State HFA Revenue, Series N, SONYMA FNMA/FHLMC
2.600%
11/1/34
100,000
89,447
New York State Liberty Development Corp. Revenue, Tax-Exempt Bonds, Series
A, Refunding
2.500%
11/15/36
2,000,000
1,735,689
New York State Transportation Development Corp., Special Facilities Revenue,
John F. Kennedy International Airport New Terminal One Project, Green Bonds
5.500%
6/30/38
250,000
266,757
(b)
Total New York
2,802,279
Ohio — 2.9%
American Municipal Power Inc., OH, Revenue, Meldahl Hydroelectric Project,
Green Bonds, Series A, Unrefunded
4.000%
2/15/41
570,000
566,549
American Municipal Power Inc., OH, Solar Electricity Prepayment Project
Revenue, Series A
5.000%
2/15/44
1,660,000
1,703,680
Total Ohio
2,270,229
Oregon — 4.3%
Multnomah County, OR, Hospital Facilities Authority Revenue, Series A,
Refunding
4.000%
12/1/51
530,000
426,390
Port of Portland, OR, Airport Revenue:
International Airport, Series 28, Refunding
4.000%
7/1/47
630,000
592,291
(b)
Portland International Airport, Series 29, Refunding
5.500%
7/1/53
2,250,000
2,372,790
(b)
Total Oregon
3,391,471
Pennsylvania — 2.9%
Philadelphia, PA, Energy Authority City Service Agreement Revenue,
Philadelphia Street Lighting Project, Series A
5.000%
11/1/43
1,130,000
1,213,856
Philadelphia, PA, School District, GO, State Aid Withholding, Series B
5.000%
9/1/48
1,000,000
1,046,183
Total Pennsylvania
2,260,039
Puerto Rico — 0.7%
 
Puerto Rico Sales Tax Financing Corp., Sales Tax Revenue, Restructured, Series
A-1
5.000%
7/1/58
525,000
525,050
Rhode Island — 0.2%
 
Rhode Island State Housing & Mortgage Finance Corp. Revenue, Sustainable
Bonds, FHA, HUD Section 8, Series 1-B
2.750%
10/1/34
150,000
137,449
See Notes to Schedules of Investments.

132
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Municipal Green Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Texas — 1.5%
 
Harris County, TX, GO, Flood Control District Improvement, Series A, Refunding
4.250%
10/1/47
 $1,200,000
 $1,196,727
Utah — 7.9%
Central Valley, UT, Water Reclamation Facility, Sewer Revenue, Series C
4.000%
3/1/47
3,110,000
2,978,224
Utah State Intermountain Power Agency, Series 2022-A, Refunding
5.000%
7/1/44
3,000,000
3,174,245
Total Utah
6,152,469
Vermont — 3.8%
Vermont State Educational & Health Buildings Financing Agency Revenue:
The University of Vermont Medical Center Project, Green Bonds
5.000%
12/1/38
2,015,000
2,015,970
The University of Vermont Medical Center Project, Green Bonds
4.000%
12/1/42
1,000,000
978,057
Total Vermont
2,994,027
Washington — 2.5%
 
Central Puget Sound, WA, Regional Transit Authority Revenue, Sales Tax &
Motor Vehicle Excise Tax Improvement, Green Bonds, Series S-1, Refunding
4.000%
11/1/46
2,000,000
1,968,487
Wisconsin — 2.0%
Public Finance Authority, WI, Revenue, Fargo-Moorhead Metropolitan Area
Flood Risk Management Project
4.000%
3/31/56
600,000
503,918
(b)
University of Wisconsin Hospitals & Clinics, WI, Hospital Revenue,
Series 2021, Refunding
4.000%
4/1/46
1,120,000
1,067,313
Total Wisconsin
1,571,231
 
Total Municipal Bonds (Cost — $75,939,110)
76,835,531
Collateralized Mortgage Obligations(e) — 0.1%
California Housing Finance Agency, 2019-N A (Cost — $82,172)
2.350%
12/1/35
88,908
76,790
Total Investments before Short-Term Investments (Cost — $76,021,282)
76,912,321
 
Short-Term Investments — 0.4%
Municipal Bonds — 0.4%
Oregon — 0.4%
Oregon State Facilities Authority Revenue, Peacehealth, Series A, Refunding,
LOC - U.S. Bank N.A. (Cost — $300,000)
3.200%
8/1/34
300,000
300,000
(f)(g)
Total Investments — 98.7% (Cost — $76,321,282)
77,212,321
Other Assets in Excess of Liabilities — 1.3%
1,033,648
Total Net Assets — 100.0%
$78,245,969
See Notes to Schedules of Investments.

133
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Municipal Green Bond ETF
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(b)
Income from this issue is considered a preference item for purposes of calculating the alternative minimum tax (AMT).
(c)
Maturity date shown represents the mandatory tender date.
(d)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(e)
Collateralized mortgage obligations are secured by an underlying pool of mortgages or mortgage pass-through certificates that are structured to direct
payments on underlying collateral to different series or classes of the obligations. The interest rate may change positively or inversely in relation to one or
more interest rates, financial indices or other financial indicators and may be subject to an upper and/or lower limit.
(f)
Variable rate demand obligations (“VRDOs”) have a demand feature under which the Fund can tender them back to the issuer or liquidity provider on no
more than 7 days notice. The interest rate generally resets on a daily or weekly basis and is determined on the specific interest rate reset date by the
remarketing agent, pursuant to a formula specified in official documents for the VRDO, or set at the highest rate allowable as specified in official
documents for the VRDO. VRDOs are benchmarked to the Securities Industry and Financial Markets Association (“SIFMA”) Municipal Swap Index. The
SIFMA Municipal Swap Index is compiled from weekly interest rate resets of tax-exempt VRDOs reported to the Municipal Securities Rulemaking Board’s
Short-term Obligation Rate Transparency System.
(g)
Maturity date shown is the final maturity date. The security may be sold back to the issuer before final maturity.
Abbreviation(s) used in this schedule:
AG
Assured Guaranty — Insured Bonds
BAM
Build America Mutual — Insured Bonds
CDA
Communities Development Authority
DFA
Development Finance Agency
EDC
Economic Development Corporation
EFA
Educational Facilities Authority
FHA
Federal Housing Administration — Insured Bonds
GO
General Obligation
GTD
Guaranteed
HEFA
Health & Educational Facilities Authority
HFA
Housing Finance Agency
HUD
Housing & Urban Development
LOC
Letter of Credit
MFA
Municipal Finance Authority
MTA
Metropolitan Transportation Authority
SONYMA
State of New York Mortgage Agency
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

134
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Senior Loans — 85.6%
Communication Services — 5.7%
Diversified Telecommunication Services — 0.3%
Guardian US Holdco LLC, Initial Term Loan (3 mo. Term SOFR +
3.250%)
6.982%
1/31/30
 $2,194,486
 $2,169,524
(a)(b)(c)
Entertainment — 2.4%
Discovery Global Holdings Inc., Initial Dollar Term Loan (1 mo. Term
SOFR + 2.500%)
6.144%
6/3/33
2,908,694
2,913,115
(a)(b)(c)
Ontario Gaming GTA LP, Term Loan B (3 mo. Term SOFR + 4.250%)
7.950%
8/1/30
2,856,606
2,727,502
(a)(b)(c)
Playtika Holding Corp., Term Loan B1 (1 mo. Term SOFR + 2.864%)
6.508%
3/13/28
6,063,472
5,899,425
(a)(b)(c)
TKO Worldwide Holdings LLC, Term Loan B7 (3 mo. Term SOFR +
1.750%)
5.412%
11/21/31
9,181,592
9,163,136
(a)(b)(c)
Total Entertainment
20,703,178
Interactive Media & Services — 0.3%
Delta TopCo Inc., Fourth Amendment Refinancing Term Loan (3 mo.
Term SOFR + 2.750%)
6.402%
11/30/29
3,084,090
2,925,552
(a)(b)(c)
Media — 2.4%
Cengage Learning Inc., Term Loan
6.638-6.653%
3/24/31
3,536,836
3,504,898
(a)(b)(c)
Charter Communications Operating LLC, Term Loan B5 (3 mo. Term
SOFR + 2.250%)
5.942%
12/15/31
3,904,949
3,855,904
(a)(b)(c)
Dotdash Meredith Inc., Term Loan B2
6/17/32
1,800,000
1,702,683
(d)
MH Sub I LLC, 2023 New Term Loan (1 mo. Term SOFR + 4.250%)
7.894%
5/3/28
6,326,990
6,166,158
(a)(b)(c)
MH Sub I LLC, 2024 New Term Loan (1 mo. Term SOFR + 4.250%)
7.894%
12/31/31
3,558,109
3,092,886
(a)(b)(c)
Nexstar Media Inc., Term Loan B7
3/18/33
1,917,143
1,900,540
(d)
Total Media
20,223,069
Wireless Telecommunication Services — 0.3%
Crown Subsea Communications Holding Inc., 2026 Term Loan (1 mo.
Term SOFR + 3.000%)
6.644%
1/30/31
1,130,834
1,135,737
(a)(b)(c)
Gogo Intermediate Holdings LLC, Initial Term Loan (1 mo. Term SOFR
+ 3.864%)
7.508%
4/30/28
1,400,000
1,296,316
(a)(b)(c)
Total Wireless Telecommunication Services
2,432,053
 
Total Communication Services
48,453,376
Consumer Discretionary — 11.3%
Automobile Components — 1.3%
Clarios Global LP, 2026 Term Loan (1 mo. Term SOFR + 2.500%)
6.144%
1/28/32
1,967,773
1,972,082
(a)(b)(c)
DexKo Global Inc., 2026 Refinancing Term Loan Facility (3 mo. Term
SOFR + 5.000%)
8.663%
10/6/31
702,874
684,202
(a)(b)(c)
DexKo Global Inc., Refinancing Dollar Term Loan Facility (3 mo. Term
SOFR + 4.500%)
8.163%
10/4/31
4,645,095
4,512,385
(a)(b)(c)
RealTruck Goup Inc., Second Out Term Loan A (3 mo. Term SOFR +
5.012%)
8.648%
1/31/31
3,134,814
1,956,124
(a)(b)(c)
Wand NewCo 3 Inc., Term Loan B2 (1 mo. Term SOFR + 2.500%)
6.144%
1/30/31
2,045,366
2,045,366
(a)(b)(c)
Total Automobile Components
11,170,159
Broadline Retail — 0.5%
Peer Holding III BV, Term Loan B4 (3 mo. Term SOFR + 2.500%)
6.232%
10/26/30
393,955
395,235
(a)(b)(c)
Peer Holding III BV, Term Loan B5 (3 mo. Term SOFR + 2.500%)
6.232%
7/1/31
1,978,104
1,984,533
(a)(b)(c)
Peer Holding III BV, Term Loan B8 (3 mo. Term SOFR + 2.250%)
5.982%
9/29/32
2,052,335
2,056,399
(a)(b)(c)
Total Broadline Retail
4,436,167
See Notes to Schedules of Investments.

135
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Distributors — 0.6%
Windsor Holdings III LLC, 2025 Refinancing Term Loan B (1 mo. Term
SOFR + 2.750%)
6.394%
8/1/30
 $4,921,259
 $4,927,411
(a)(b)(c)
Diversified Consumer Services — 0.8%
ABG Intermediate Holdings 2 LLC, 2024 Refinancing Term Loan (1 mo.
Term SOFR + 2.250%)
5.894%
12/21/28
3,989,721
3,995,726
(a)(b)(c)
Prime Security Services Borrower LLC, 2025 Incremental Term Loan
B2 (1 mo. Term SOFR + 1.750%)
5.369%
3/7/32
2,493,687
2,459,922
(a)(b)(c)
Total Diversified Consumer Services
6,455,648
Hotels, Restaurants & Leisure — 3.6%
1011778 BC Unlimited Liability Co., Term Loan B6 (1 mo. Term SOFR +
1.750%)
5.394%
9/20/30
1,961,579
1,960,765
(a)(b)(c)
Caesars Entertainment Inc., Term Loan B, Tranche B (1 mo. Term SOFR
+ 2.250%)
5.894%
2/6/30
5,870,755
5,695,572
(a)(b)(c)
Fertitta Entertainment LLC, Initial Term Loan B (1 mo. Term SOFR +
3.250%)
6.894%
1/27/29
6,520,426
6,521,143
(a)(b)(c)
Flutter Entertainment PLC, 2024 Term Loan B (3 mo. Term SOFR +
1.750%)
5.482%
11/30/30
2,094,629
2,079,443
(a)(b)(c)
Gaia Purchaser Inc., Term Loan B
6/25/33
793,612
794,604
(d)
IRB Holding Corp., 2025 Replacement Term Loan B (1 mo. Term SOFR
+ 2.500%)
6.144%
12/15/30
4,854,084
4,860,734
(a)(b)(c)
Light & Wonder International Inc., Term Loan B3 (1 mo. Term SOFR +
2.000%)
5.639%
4/16/29
1,273,935
1,277,119
(a)(b)(c)
Raising Canes Restaurants LLC, Second Amendment New Term Loan
(1 mo. Term SOFR + 2.000%)
5.613%
6/6/33
1,592,920
1,585,951
(a)(b)(c)
Whatabrands LLC, 2024 Refinancing Term Loan B (1 mo. Term SOFR +
2.500%)
6.144%
8/3/28
5,422,794
5,421,927
(a)(b)(c)
Total Hotels, Restaurants & Leisure
30,197,258
Household Durables — 1.7%
AI Aqua Merger Sub Inc., 2026 Term Loan B
6.119-6.164%
7/30/28
5,808,891
5,810,314
(a)(b)(c)
AI Aqua Merger Sub Inc., Term Loan B
7/5/33
3,379,303
3,381,213
(d)
Chariot Buyer LLC, 2025 New Term Loan B (1 mo. Term SOFR +
3.000%)
6.644%
9/8/32
5,143,884
5,152,885
(a)(b)(c)
Lavender Dutch Borrowerco BV, USD Term Loan Facility B
12/30/32
523,684
520,903
(d)
Total Household Durables
14,865,315
Specialty Retail — 2.0%
Flynn Restaurant Group LP, 2025 Term Loan (1 mo. Term SOFR +
3.750%)
7.394%
1/28/32
3,779,489
3,747,439
(a)(b)(c)
LS Group OPCO Acquisition LLC, Term Loan B (3 mo. Term SOFR +
2.500%)
6.166%
4/23/31
2,094,697
2,090,078
(a)(b)(c)
Petco Health & Wellness Co. Inc., 2026 Term Loan (3 mo. Term SOFR
+ 4.250%)
7.982%
2/3/31
2,194,500
2,171,414
(a)(b)(c)
PetsMart LLC, Term Loan B (1 mo. Term SOFR + 4.000%)
7.652%
8/18/32
2,294,250
2,294,732
(a)(b)(c)
Victra Holdings LLC, Fifth Amendment Incremental Term Loan (3 mo.
Term SOFR + 3.750%)
7.482%
3/29/29
1,677,922
1,663,240
(a)(b)(c)
White Cap Supply Holdings LLC, Term Loan C (1 mo. Term SOFR +
3.250%)
6.894%
10/19/29
5,091,223
5,089,543
(a)(b)(c)
Total Specialty Retail
17,056,446
See Notes to Schedules of Investments.

136
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Textiles, Apparel & Luxury Goods — 0.8%
Great Outdoors Group LLC, Term Loan B3 (1 mo. Term SOFR + 3.250%)
6.894%
1/23/32
 $6,695,517
 $6,724,810
(a)(b)(c)
 
Total Consumer Discretionary
95,833,214
Consumer Staples — 2.9%
Beverages — 0.5%
Triton Water Holdings Inc., 2026 Refinancing Term Loan (3 mo. Term
SOFR + 2.750%)
6.482%
3/31/31
4,644,964
4,671,511
(a)(b)(c)
Consumer Staples Distribution & Retail — 0.8%
Froneri International Ltd., Term Loan Facility B4 (6 mo. Term SOFR +
2.250%)
5.877%
9/30/31
4,549,764
4,522,648
(a)(b)(c)
Froneri International Ltd., Term Loan Facility B6 (6 mo. Term SOFR +
2.500%)
6.127%
9/30/32
2,119,734
2,107,630
(a)(b)(c)
Total Consumer Staples Distribution & Retail
6,630,278
Food Products — 0.6%
Primary Products Finance LLC, 2024 Replacement Term Loan B (3 mo.
Term SOFR + 3.250%)
6.929%
4/1/29
4,985,552
4,987,521
(a)(b)(c)
Household Products — 0.1%
Prestige Brands Inc., Term Loan B (1 mo. Term SOFR + 2.000%)
5.621%
6/13/33
516,529
517,660
(a)(b)(c)(e)
Personal Care Products — 0.9%
KDC/ONE Development Corp. Inc., 2025 Refinancing Dollar Term Loan
(1 mo. Term SOFR + 3.500%)
7.144%
8/15/28
1,600,000
1,601,224
(a)(b)(c)
Opal Bidco SAS, Term Loan Facility B6 (3 mo. Term SOFR + 2.500%)
6.232%
4/28/32
6,252,829
6,256,174
(a)(b)(c)
Total Personal Care Products
7,857,398
 
Total Consumer Staples
24,664,368
Energy — 1.5%
Energy Equipment & Services — 0.1%
Stonepeak Motion Finco LLC, Term Loan B
6/24/33
1,016,129
1,016,235
(d)
Oil, Gas & Consumable Fuels — 1.4%
Colossus Acquireco LLC, Initial Term Loan (3 mo. Term SOFR +
1.750%)
5.370%
2/1/33
2,200,000
2,188,549
(a)(b)(c)
CQP Holdco LP, Amendment No. 7 Term Loan (3 mo. Term SOFR +
1.750%)
5.482%
12/31/32
2,200,000
2,190,276
(a)(b)(c)
Parexel International Inc., Term Loan B (1 mo. Term SOFR + 2.500%)
6.144%
12/12/31
4,552,901
4,559,071
(a)(b)(c)
Venture Global Calcasieu Pass LLC, Initial Term Loan (6 mo. Term
SOFR + 3.250%)
6.954%
4/11/33
2,500,000
2,510,250
(a)(b)(c)
Total Oil, Gas & Consumable Fuels
11,448,146
 
Total Energy
12,464,381
Financials — 13.4%
Banks — 0.5%
Ascensus Group Holdings Inc., 2024 Term Loan B (1 mo. Term SOFR +
3.000%)
6.644%
11/24/32
4,566,074
4,467,150
(a)(b)(c)
Capital Markets — 1.5%
Edelman Financial Engines Center LLC, Term Loan B (1 mo. Term SOFR
+ 4.000%)
7.644%
12/1/31
4,055,620
4,071,782
(a)(b)(c)
First Eagle Holdings Inc., Delayed Draw Term Loan
8/16/32
541,228
541,466
(e)
First Eagle Holdings Inc., Initial Term Loan (3 mo. Term SOFR +
3.500%)
7.232%
8/16/32
3,154,199
3,155,586
(a)(b)(c)
See Notes to Schedules of Investments.

137
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Capital Markets — continued
Osaic Holdings Inc., Term Loan B1 (3 mo. Term SOFR + 2.500%)
6.232%
7/30/32
 $5,183,487
 $5,123,229
(a)(b)(c)
Total Capital Markets
12,892,063
Consumer Finance — 0.3%
OneDigital Borrower LLC, 2025 Refinancing Term Loan (1 mo. Term
SOFR + 3.000%)
6.644%
7/2/31
2,947,295
2,863,298
(a)(b)(c)
Financial Services — 4.1%
Apex Group Treasury Ltd., Term Loan B (3 mo. Term SOFR + 3.500%)
7.153%
2/27/32
5,847,138
5,553,874
(a)(b)(c)
Citadel Securities LP, 2026 Term Loan (3 mo. Term SOFR + 2.000%)
5.661%
6/10/33
2,910,439
2,907,412
(a)(b)(c)
CPI Holdco B LLC, 2025 Fourth Amendment Incremental Term Loan (1
mo. Term SOFR + 2.000%)
5.644%
5/17/31
2,969,773
2,961,725
(a)(b)(c)
Grant Thornton Advisors LLC, 2025 Incremental Term Loan (1 mo.
Term SOFR + 2.750%)
6.394%
6/2/31
3,092,191
2,950,152
(a)(b)(c)
GTCR Everest Borrower LLC, 2026 Term Loan (3 mo. Term SOFR +
2.500%)
6.232%
9/5/31
3,300,169
3,291,160
(a)(b)(c)
Hudson River Trading LLC, Term Loan B2 (1 mo. Term SOFR + 2.500%)
6.139%
3/18/30
3,097,381
3,079,819
(a)(b)(c)
Jane Street Group LLC, Extended Term Loan (3 mo. Term SOFR +
2.000%)
5.666%
12/15/31
7,707,014
7,646,630
(a)(b)(c)
Nexus Buyer LLC, Amendment No. 10 Term Loan (1 mo. Term SOFR +
4.000%)
7.644%
7/31/31
3,385,706
3,284,744
(a)(b)(c)
Nexus Buyer LLC, Amendment No. 9 Refinancing Term Loan
7/31/31
797,980
771,048
(d)
Osttra Group Ltd., First Lien Term Loan (3 mo. Term SOFR + 3.500%)
7.169%
10/8/32
1,846,900
1,850,113
(a)(b)(c)
Total Financial Services
34,296,677
Insurance — 7.0%
Acrisure LLC, 2024 Repricing Term Loan B6 (1 mo. Term SOFR +
3.000%)
6.644%
11/6/30
7,737,887
7,018,921
(a)(b)(c)
Acrisure LLC, 2025 Term Loan B7 (1 mo. Term SOFR + 3.250%)
6.894%
6/21/32
1,156,205
1,048,388
(a)(b)(c)
Alliant Holdings Intermediate LLC, 2025 Replacement Term Loan (1
mo. Term SOFR + 2.500%)
6.144%
9/19/31
7,775,238
7,680,730
(a)(b)(c)
AmWINS Group Inc., 2026 Refinancing Term Loan (3 mo. Term SOFR +
2.000%)
5.732%
1/30/32
10,609,720
10,403,308
(a)(b)(c)
Asurion LLC, New Term Loan B10 (3 mo. Term SOFR + 4.100%)
7.763%
8/19/28
3,474,110
3,294,203
(a)(b)(c)
Asurion LLC, New Term Loan B4 (1 mo. Term SOFR + 5.512%)
9.175%
1/20/29
1,883,196
1,866,247
(a)(b)(c)
Broadstreet Partners Inc., 2024 Term Loan B (1 mo. Term SOFR +
2.500%)
6.144%
6/13/31
7,339,653
7,103,940
(a)(b)(c)
HUB International Ltd., 2025 Incremental Term Loan (3 mo. Term SOFR
+ 2.250%)
5.922%
6/20/30
9,107,665
9,108,531
(a)(b)(c)
Medrisk Inc., Initial Term Loan (1 mo. Term SOFR + 3.250%)
6.894%
6/10/33
1,422,441
1,412,363
(a)(b)(c)
Sedgwick Claims Management Services Inc., 2024 Term Loan (1 mo.
Term SOFR + 2.500%)
6.144%
7/31/31
9,972,154
9,863,707
(a)(b)(c)
Total Insurance
58,800,338
 
Total Financials
113,319,526
Health Care — 10.6%
Biotechnology — 0.1%
Biomarin Pharmaceutical Inc., Term Loan B (6 mo. Term SOFR +
1.750%)
5.428%
4/27/33
880,829
881,710
(a)(b)(c)
Health Care Equipment & Supplies — 3.8%
Bausch & Lomb Corp., 2025 Refinancing Term Loan (1 mo. Term SOFR
+ 3.750%)
7.394%
1/15/31
4,975,602
4,993,639
(a)(b)(c)
See Notes to Schedules of Investments.

138
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Health Care Equipment & Supplies — continued
Charlotte Buyer Inc., Third Refinancing Term Loan (3 mo. Term SOFR +
4.500%)
8.148%
6/17/31
 $6,202,837
 $6,205,195
(a)(b)(c)
Hologic Inc., USD Initial Term Loan B (3 mo. Term SOFR + 2.250%)
5.995%
4/7/33
6,300,000
6,172,708
(a)(b)(c)
Medline Borrower LP, 2030 Refinancing Term Loan (1 mo. Term SOFR
+ 1.500%)
5.144%
5/16/33
6,261,294
6,228,924
(a)(b)(c)
Quidelortho Corp., Term Loan B (1 mo. Term SOFR + 4.000%)
7.644%
8/20/32
3,191,960
3,147,272
(a)(b)(c)
U.S. Anesthesia Partners Inc., Initial Term Loan (1 mo. Term SOFR +
4.114%)
7.735%
10/1/28
5,277,444
5,291,402
(a)(b)(c)
Total Health Care Equipment & Supplies
32,039,140
Health Care Providers & Services — 2.5%
ADMI Corp., Amendment No. 10 Extended Term Loan (1 mo. Term
SOFR + 5.750%)
9.394%
12/23/27
227,922
214,959
(a)(b)(c)
ADMI Corp., Amendment No. 5 Term Loan (1 mo. Term SOFR +
3.864%)
7.508%
12/23/27
5,198,788
4,676,206
(a)(b)(c)
ADMI Corp., Incremental Term Loan (1 mo. Term SOFR + 3.489%)
7.133%
12/23/27
726,839
653,247
(a)(b)(c)
Global Medical Response Inc., Initial Term Loan (1 mo. Term SOFR +
3.250%)
6.889%
10/1/32
1,055,073
1,059,029
(a)(b)(c)
LifePoint Health Inc., Term Loan B2 (3 mo. Term SOFR + 3.500%)
7.177%
5/16/31
1,515,410
1,491,171
(a)(b)(c)
Mckesson Medical-Surgical Top Holdings Inc., Amendment No. 1
Term Loan B (3 mo. Term SOFR + 2.250%)
5.982%
6/9/32
637,435
638,365
(a)(b)(c)
Medical Solutions Holdings Inc., Initial First Out Term Loan A1
11/1/30
365,817
278,935
(d)
Medical Solutions Holdings Inc., Initial Term Loan (3 mo. Term SOFR +
3.600%)
7.263%
11/1/28
1,689,967
187,299
(a)(b)(c)
Phoenix Guarantor Inc., Term Loan B6 (1 mo. Term SOFR + 2.000%)
5.644%
2/21/31
5,429,562
5,425,625
(a)(b)(c)
Raven Acquisition Holdings LLC, 2024 Delayed Draw Commitment
Term Loan
11/19/31
192,863
190,557
(e)
Raven Acquisition Holdings LLC, Initial Term Loan (1 mo. Term SOFR +
3.000%)
6.644%
11/19/31
2,666,336
2,634,447
(a)(b)(c)
Star Parent Inc., Term Loan B (3 mo. Term SOFR + 4.000%)
7.732%
9/27/30
3,414,783
3,423,235
(a)(b)(c)
Total Health Care Providers & Services
20,873,075
Health Care Technology — 2.6%
AthenaHealth Group Inc., Fourth Amendment Term Loan (1 mo. Term
SOFR + 3.250%)
6.894%
2/17/32
7,998,945
7,925,954
(a)(b)(c)
Cotiviti Inc., Amendment No. 2 Term Loan (1 mo. Term SOFR +
2.750%)
6.370%
3/26/32
2,868,271
2,611,030
(a)(b)(c)
Cotiviti Inc., Initial Term Loan (1 mo. Term SOFR + 2.750%)
6.370%
5/1/31
9,982,686
9,156,020
(a)(b)(c)
MPH Acquisition Holdings LLC, First Out Term Loan (3 mo. Term SOFR
+ 3.750%)
7.413%
12/31/30
305,615
306,635
(a)(b)(c)
MPH Acquisition Holdings LLC, Second Out Term Loan (3 mo. Term
SOFR + 4.600%)
8.263%
12/31/30
2,533,367
2,237,102
(a)(b)(c)
Total Health Care Technology
22,236,741
Pharmaceuticals — 1.6%
Endo Finance Holdings Inc., Term Loan B (1 mo. Term SOFR + 3.750%)
7.394%
4/23/31
3,229,512
3,235,567
(a)(b)(c)
Organon & Co., Dollar Term Loan (1 mo. Term SOFR + 2.250%)
5.894%
5/19/31
932,331
932,914
(a)(b)(c)
Padagis LLC, Term Loan B
7/6/28
1,300,000
1,235,000
(d)
Paradigm Parent LLC, Initial Term Loan (3 mo. Term SOFR + 4.500%)
8.232%
4/16/32
3,282,885
2,827,401
(a)(b)(c)
See Notes to Schedules of Investments.

139
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Pharmaceuticals — continued
Southern Veterinary Partners LLC, 2025 New Term Loan (3 mo. Term
SOFR + 2.500%)
6.156%
12/4/31
 $5,611,486
 $5,612,805
(a)(b)(c)
Total Pharmaceuticals
13,843,687
 
Total Health Care
89,874,353
Industrials — 18.2%
Aerospace & Defense — 1.6%
Dynasty Acquisition Co. Inc., Initial Term Loan B1 (1 mo. Term SOFR +
2.000%)
5.644%
10/31/31
2,842,528
2,852,506
(a)(b)(c)
Dynasty Acquisition Co. Inc., Initial Term Loan B2 (1 mo. Term SOFR +
2.000%)
5.644%
10/31/31
1,081,207
1,085,002
(a)(b)(c)
Signia Aerospace LLC, 2025 Delayed Draw Term Loan
12/11/31
99,394
99,581
(e)
Signia Aerospace LLC, 2026 Initial Term Loan
6.196%
12/11/31
2,847,119
2,852,471
(a)(b)(c)
TransDigm Inc., Term Loan L (1 mo. Term SOFR + 2.500%)
6.120%
1/19/32
2,840,382
2,843,904
(a)(b)(c)
TransDigm Inc., Term Loan M (1 mo. Term SOFR + 2.500%)
6.120%
8/19/32
2,391,210
2,394,294
(a)(b)(c)
TransDigm Inc., Term Loan N (1 mo. Term SOFR + 2.500%)
6.120%
2/13/33
1,046,511
1,047,689
(a)(b)(c)
Total Aerospace & Defense
13,175,447
Air Freight & Logistics — 1.5%
Clue Opco LLC, Term Loan B (3 mo. Term SOFR + 4.500%)
8.163%
12/19/30
2,872,000
2,715,662
(a)(b)(c)
First Student Bidco Inc., Term Loan B (3 mo. Term SOFR + 2.250%)
5.982%
8/15/30
5,604,696
5,615,582
(a)(b)(c)
Kenan Advantage Group Inc., Term Loan B4 (1 mo. Term SOFR +
3.250%)
6.894%
1/25/29
4,527,411
4,542,487
(a)(b)(c)
LaserShip Inc., Term Loan D (3 mo. Term SOFR + 4.762%)
8.494%
8/10/29
1,126,712
105,911
(a)(b)(c)
Total Air Freight & Logistics
12,979,642
Building Products — 2.1%
Cornerstone Building Brands Inc., New Term Loan B (3 mo. Term SOFR
+ 3.350%)
7.014%
4/12/28
3,294,609
2,026,184
(a)(b)(c)
Cornerstone Building Brands Inc., Term Loan C (3 mo. Term SOFR +
4.500%)
8.164%
5/15/31
3,462,325
1,796,947
(a)(b)(c)
Hunter Douglas Holding BV, Term Loan B1 (3 mo. Term SOFR +
3.000%)
6.732%
1/17/32
5,448,442
5,454,707
(a)(b)(c)
Quikrete Holdings Inc., New Term Loan B1 (1 mo. Term SOFR +
2.250%)
5.894%
4/14/31
4,784,590
4,786,360
(a)(b)(c)
Quikrete Holdings Inc., Term Loan B3 (1 mo. Term SOFR + 2.250%)
5.894%
2/10/32
3,582,241
3,583,728
(a)(b)(c)
Total Building Products
17,647,926
Commercial Services & Supplies — 5.8%
AlixPartners LLP, 2025 Refinanced Dollar Term Loan (1 mo. Term SOFR
+ 2.000%)
5.644%
8/12/32
2,487,500
2,475,535
(a)(b)(c)
Allied Universal Holdco LLC, Amendment No.7 Replacement US
Dollar Term Loan (1 mo. Term SOFR + 3.250%)
6.894%
8/20/32
7,767,520
7,780,298
(a)(b)(c)
API Group DE Inc., Term Loan B (1 mo. Term SOFR + 1.750%)
5.394%
5/16/33
589,075
588,636
(a)(b)(c)
BradyPLUS Holdings LLC, Amendment No. 10 Term Loan (1 mo. Term
SOFR + 3.500%)
7.144%
12/29/32
1,995,000
1,974,222
(a)(b)(c)
Camelot US Acquisition I Co., Term Loan B1 (1 mo. Term SOFR +
2.750%)
6.394%
1/31/31
5,100,000
4,713,241
(a)(b)(c)
CHG Healthcare Services Inc., Amendment No. 8 Refinancing Term
Loan (3 mo. Term SOFR + 3.000%)
6.657%
9/29/31
3,765,407
3,771,111
(a)(b)(c)
Ensemble RCM LLC, Term Loan B (3 mo. Term SOFR + 3.000%)
6.663%
2/9/33
4,799,662
4,786,463
(a)(b)(c)
See Notes to Schedules of Investments.

140
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Commercial Services & Supplies — continued
Mavis Tire Express Services Topco Corp., 2025 First Lien Incremental
Term Loan (6 mo. Term SOFR + 3.000%)
6.669%
5/4/28
 $6,213,385
 $6,211,428
(a)(b)(c)
Neon Maple Purchaser Inc., First Amendment Term Loan B1 (1 mo.
Term SOFR + 2.500%)
6.144%
11/17/31
6,102,908
5,960,039
(a)(b)(c)
Neptune Bidco US Inc., 2026 Dollar Term Loan B (3 mo. Term SOFR +
5.100%)
8.769%
2/3/33
3,400,000
3,377,084
(a)(b)(c)
Priority Holdings LLC, 2025 Refinancing Term Loan (1 mo. Term SOFR
+ 3.750%)
7.394%
8/2/32
1,653,843
1,633,583
(a)(b)(c)
Speed Midco 3 Sarl, USD Term Loan Facility B (6 mo. Term SOFR +
2.500%)
6.195%
10/7/32
1,695,739
1,683,547
(a)(b)(c)
Tempo Acquisition LLC, Term Loan B (1 mo. Term SOFR + 1.750%)
5.394%
8/31/28
629,671
534,040
(a)(b)(c)
Verde Purchaser LLC, Initial Term Loan (3 mo. Term SOFR + 4.000%)
7.732%
11/29/30
4,223,985
4,002,923
(a)(b)(c)
Total Commercial Services & Supplies
49,492,150
Construction & Engineering — 1.5%
Aretec Group Inc., Term Loan B4 (1 mo. Term SOFR + 3.000%)
6.644%
8/9/30
4,842,169
4,837,496
(a)(b)(c)
Brand Industrial Services Inc., Term Loan C (3 mo. Term SOFR +
4.500%)
8.163%
8/1/30
1,596,819
1,258,062
(a)(b)(c)
DG Investment Intermediate Holdings 2 Inc., Term Loan (1 mo. Term
SOFR + 3.250%)
6.894%
7/9/32
2,723,228
2,731,738
(a)(b)(c)
Red SPV LLC, Initial Term Loan (1 mo. Term SOFR + 2.250%)
5.902%
3/15/32
3,831,136
3,839,105
(a)(b)(c)
Total Construction & Engineering
12,666,401
Ground Transportation — 0.3%
Genesee & Wyoming Inc., Initial Term Loan B (3 mo. Term SOFR +
1.750%)
5.482%
4/10/31
2,194,416
2,187,833
(a)(b)(c)
Machinery — 1.5%
CSC Serviceworks East LLC, Initial Term Loan (3 mo. Term SOFR +
4.000%)
7.928%
9/4/30
465,508
352,578
(a)(b)(c)
Indicor LLC, Dollar Term Loan E (1 mo. Term SOFR + 2.500%)
6.144%
11/22/29
3,064,981
3,066,989
(a)(b)(c)
TK Elevator Midco Gmbh, USD Term Loan B (6 mo. Term SOFR +
2.750%)
6.377%
4/30/30
3,607,601
3,627,515
(a)(b)(c)
WEC US Holdings Ltd., Initial Term Loan (1 mo. Term SOFR + 2.000%)
5.620%
1/27/31
6,079,244
6,081,129
(a)(b)(c)
Total Machinery
13,128,211
Passenger Airlines — 0.3%
American Airlines Inc., 2024 Replacement Term Loan (3 mo. Term
SOFR + 2.250%)
5.907%
6/4/29
2,790,203
2,747,038
(a)(b)(c)
Professional Services — 2.7%
CoreLogic Inc., First Lien Initial Term Loan (1 mo. Term SOFR +
3.614%)
7.258%
6/2/28
9,715,329
9,618,175
(a)(b)(c)
Dayforce Bidco LLC, Initial Term Loan (3 mo. Term SOFR + 3.000%)
6.663%
2/4/33
10,500,000
9,604,560
(a)(b)(c)
Genuine Financial Holdings LLC, 2025 Incremental Term Loan
9/27/30
1,496,202
1,452,566
(d)
Ryan LLC, 2025 Refinancing Term Loan (1 mo. Term SOFR + 3.500%)
7.144%
11/5/32
2,194,500
2,180,784
(a)(b)(c)
Total Professional Services
22,856,085
Trading Companies & Distributors — 0.9%
Adi Global Distribution Funding LLC, Term Loan B
6/17/33
307,061
308,212
(d)
BCPE Empire Holdings Inc., Amendment No. 8 Refinancing Term Loan
(1 mo. Term SOFR + 3.250%)
6.894%
12/11/30
4,388,335
4,336,246
(a)(b)(c)
QXO Building Products Inc., 2025 Refinancing Term Loan B (1 mo.
Term SOFR + 2.000%)
5.644%
4/30/32
299,823
299,711
(a)(b)(c)
See Notes to Schedules of Investments.

141
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Trading Companies & Distributors — continued
QXO Building Products Inc., Term Loan B
6/3/33
 $2,666,667
 $2,664,067
(d)
Total Trading Companies & Distributors
7,608,236
 
Total Industrials
154,488,969
Information Technology — 15.7%
Electronic Equipment, Instruments & Components — 0.2%
Belden Inc., Term Loan
6/10/33
1,327,869
1,331,189
(d)
IT Services — 2.3%
Mcafee Corp., Refinancing Term Loan B1 (1 mo. Term SOFR + 3.000%)
6.644%
3/1/29
11,509,293
10,260,535
(a)(b)(c)
NAB Holdings LLC, 2025 Refinancing Term Loan (3 mo. Term SOFR +
2.500%)
6.200%
11/24/28
2,700,000
2,525,351
(a)(b)(c)
Nielsen Consumer Inc., 2025 Term Loan (1 mo. Term SOFR + 2.250%)
5.894%
10/31/30
2,982,292
2,952,469
(a)(b)(c)
Trilon Group LLC, Delayed Draw Term Loan
6/6/33
97,035
97,156
(e)
Trilon Group LLC, Term Loan (1 mo. Term SOFR + 3.500%)
7.124%
6/6/33
1,091,644
1,093,009
(a)(b)(c)
VT Topco Inc., Second Amendment Term Loan
8/9/30
2,992,386
2,940,258
(d)
Total IT Services
19,868,778
Semiconductors & Semiconductor Equipment — 0.3%
Altar Bidco Inc., Initial Term Loan (3 mo. Term SOFR + 3.350%)
6.858%
2/1/29
2,200,000
2,201,606
(a)(b)(c)
Software — 11.9%
Ascend Learning LLC, Amendment No. 5 Term Loan (1 mo. Term SOFR
+ 3.000%)
6.644%
12/11/28
5,049,219
4,934,223
(a)(b)(c)
BMC Software Inc., 2031 Replacement Dollar Term Loan (3 mo. Term
SOFR + 2.750%)
6.416%
7/30/31
11,263,216
10,180,314
(a)(b)(c)
Central Parent LLC, 2024 Refinance Term Loan (3 mo. Term SOFR +
3.250%)
6.982%
7/6/29
11,576,681
6,011,191
(a)(b)(c)
Cloud Software Group Inc., Tenth Amendment Term Loan B2 (3 mo.
Term SOFR + 3.250%)
6.982%
3/21/31
7,517,348
6,615,266
(a)(b)(c)
Cloudera Inc., Term Loan (1 mo. Term SOFR + 3.850%)
7.494%
10/8/28
6,391,105
4,988,482
(a)(b)(c)
Coreweave Compute Acquisition Co. IV LLC, Additional Delayed Draw
Term Loan (1 mo. Term SOFR + 4.500%)
8.120%
11/6/31
349,272
356,776
(a)(b)(c)(e)
Epicor Software Corp., Term Loan F (1 mo. Term SOFR + 2.750%)
6.394%
5/30/31
8,753,810
8,386,150
(a)(b)(c)
Flash Charm Inc., 2024 Term Loan B2 (3 mo. Term SOFR + 3.500%)
7.163%
3/2/28
5,571,749
4,349,697
(a)(b)(c)
Genesys Cloud Services Holdings II LLC, 2025 Dollar Term Loan (1 mo.
Term SOFR + 2.500%)
6.144%
1/30/32
4,535,665
4,354,873
(a)(b)(c)
Kaseya Inc., Term Loan (3 mo. Term SOFR + 3.250%)
6.913%
3/20/32
6,272,175
4,881,822
(a)(b)(c)
Peraton Corp., First Lien Term Loan B (3 mo. Term SOFR + 3.850%)
7.513%
2/1/28
12,346,853
11,173,902
(a)(b)(c)
PointClickCare Technologies, 2025 Term Loan (3 mo. Term SOFR +
2.750%)
6.413%
11/3/31
5,366,630
5,352,757
(a)(b)(c)
Project Boost Purchaser LLC, First Lien Intial Term Loan (3 mo. Term
SOFR + 2.743%)
6.482%
7/16/31
4,671,767
4,557,636
(a)(b)(c)
Proofpoint Inc., 2025 Incremental Term Loan (3 mo. Term SOFR +
3.000%)
6.732%
8/31/28
8,320,597
8,048,431
(a)(b)(c)
Rocket Software Inc., Term Loan (1 mo. Term SOFR + 3.750%)
7.394%
11/28/28
3,093,795
2,947,134
(a)(b)(c)
Skopima Consilio Parent LLC, Amendment No. 5 Term Loan (1 mo.
Term SOFR + 3.750%)
7.394%
5/12/28
2,048,716
1,699,154
(a)(b)(c)
Sophos Holdings LLC, Dollar Term Loan (1 mo. Term SOFR + 3.614%)
7.258%
3/5/27
1,449,180
1,355,440
(a)(b)(c)
Sovos Compliance LLC, Amendment No. 3 Replacement Term Loan (1
mo. Term SOFR + 3.250%)
6.894%
8/13/29
3,712,017
3,488,720
(a)(b)(c)
See Notes to Schedules of Investments.

142
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Software — continued
UKG Inc., Term Loan B (3 mo. Term SOFR + 2.250%)
5.913%
2/10/31
 $7,933,048
 $7,489,511
(a)(b)(c)
Total Software
101,171,479
Technology Hardware, Storage & Peripherals — 1.0%
Clover Holdings 2 LLC, Initial Term Loan (1 mo. Term SOFR + 3.750%)
7.375%
12/9/31
4,172,274
3,993,200
(a)(b)(c)
Fortress Intermediate 3 Inc., 2025 Term Loan B (1 mo. Term SOFR +
3.000%)
6.624%
6/27/31
4,779,179
4,764,244
(a)(b)(c)
Total Technology Hardware, Storage & Peripherals
8,757,444
 
Total Information Technology
133,330,496
Materials — 4.9%
Chemicals — 2.5%
BASF Coatings, USD Term Loan B
5/6/33
1,221,080
1,226,422
(d)
Geon Performance Solutions LLC, 2024 Refinancing Term Loan
8/18/28
1,396,611
1,321,892
(d)
Hexion Holdings Corp., Second Lien Term Loan (1 mo. Term SOFR +
7.538%)
11.181%
3/15/30
388,235
362,515
(a)(b)(c)
Ineos Finance PLC, 2030 Dollar Term Loan (1 mo. Term SOFR +
3.250%)
6.894%
2/19/30
2,941,789
2,716,742
(a)(b)(c)
Ineos US Finance LLC, 2031 New Dollar Term Loan (1 mo. Term SOFR
+ 3.000%)
6.644%
2/7/31
2,754,756
2,453,799
(a)(b)(c)
Ineos US Finance LLC, 2032 Term Loan (1 mo. Term SOFR + 5.000%)
8.740%
2/7/31
552,170
551,565
(a)(b)(c)
Ineos US Petrochem LLC, 2030 Dollar Term Loan B (1 mo. Term SOFR
+ 3.850%)
7.494%
3/14/30
1,277,234
1,087,245
(a)(b)(c)
Ineos US Petrochem LLC, New Term Loan B (1 mo. Term SOFR +
4.350%)
7.994%
4/2/29
3,726,982
3,297,223
(a)(b)(c)
Lummus Technology Holdings V LLC, Amendment No. 4 Refinancing
Term Loan B (1 mo. Term SOFR + 2.500%)
6.144%
12/31/29
2,194,459
2,170,024
(a)(b)(c)
Nouryon Finance BV, 2024 Dollar Term Loan B1 (6 mo. Term SOFR +
3.250%)
6.938%
4/3/28
2,118,255
2,121,348
(a)(b)(c)
Nouryon Finance BV, 2024 Dollar Term Loan B2 (6 mo. Term SOFR +
3.250%)
6.937%
4/3/28
1,680,165
1,681,484
(a)(b)(c)
Olympus Water US Holding Corp., Dollar Term Loan B6
6/20/31
1,695,696
1,695,383
(d)
Total Chemicals
20,685,642
Containers & Packaging — 2.4%
Charter Next Generation Inc., Term Loan B (1 mo. Term SOFR +
2.500%)
6.114%
11/29/30
4,866,574
4,873,655
(a)(b)(c)
Clydesdale Acquisition Holdings Inc., 2025 Incremental Closing Date
Term Loan B (1 mo. Term SOFR + 3.250%)
6.894%
4/1/32
6,855,537
6,601,299
(a)(b)(c)
Graham Packaging Co. Inc., Initial Term Loan (1 mo. Term SOFR +
2.250%)
5.894%
1/26/33
1,496,250
1,498,898
(a)(b)(c)
ProAmpac PG Borrower LLC, First Lien Initial USD Term Loan (3 mo.
Term SOFR + 4.000%)
7.663-7.666%
3/7/33
4,058,825
3,997,943
(a)(b)(c)
Sword Purchaser LLC, Initial Dollar Term Loan (1 mo. Term SOFR +
4.000%)
7.644%
4/9/33
3,600,000
3,517,596
(a)(b)(c)
Total Containers & Packaging
20,489,391
 
Total Materials
41,175,033
Real Estate — 0.7%
Real Estate Management & Development — 0.7%
Cushman & Wakefield US Borrower LLC, 2026 Term Loan (1 mo. Term
SOFR + 2.250%)
5.894%
6/13/33
2,680,767
2,680,767
(a)(b)(c)
See Notes to Schedules of Investments.

143
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Real Estate Management & Development — continued
Cushman & Wakefield US Borrower LLC, Term Loan (1 mo. Term SOFR
+ 2.500%)
6.144%
1/31/30
 $3,041,634
 $3,047,337
(a)(b)(c)
 
Total Real Estate
5,728,104
Utilities — 0.7%
Electric Utilities — 0.6%
Alpha Generation LLC, Initial Term Loan B (1 mo. Term SOFR +
1.750%)
5.394%
9/30/31
2,094,670
2,079,159
(a)(b)(c)
NRG Energy Inc., 2026 New Term Loan (1 mo. Term SOFR + 1.750%)
5.394%
4/28/33
641,667
641,587
(a)(b)(c)
Talen Energy Supply LLC, 2025 Incremental Term Loan B (1 mo. Term
SOFR + 2.000%)
5.644%
11/25/32
2,194,486
2,182,482
(a)(b)(c)
Total Electric Utilities
4,903,228
Independent Power and Renewable Electricity Producers — 0.1%
Pathfinder Power LLC, Term Loan B
6/22/33
518,763
518,278
(d)
 
Total Utilities
5,421,506
Total Senior Loans (Cost — $746,205,473)
724,753,326
Corporate Bonds & Notes — 3.9%
Communication Services — 0.7%
Entertainment — 0.1%
Ontario Gaming GTA LP/OTG Co-Issuer Inc., Senior Secured Notes
8.000%
8/1/30
500,000
495,778
(f)
Media — 0.6%
Clear Channel Outdoor Holdings Inc., Senior Secured Notes
7.875%
4/1/30
3,200,000
3,335,590
(f)
DirecTV Financing LLC/DirecTV Financing Co-Obligor Inc., Senior
Secured Notes
5.875%
8/15/27
47,000
46,960
(f)
McGraw-Hill Education Inc., Senior Secured Notes
7.375%
9/1/31
1,000,000
1,017,085
(f)
Univision Communications Inc., Senior Secured Notes
8.875%
4/15/33
645,162
635,552
(f)
Total Media
5,035,187
Wireless Telecommunication Services — 0.0%††
Vmed O2 UK Financing I PLC, Senior Secured Notes
4.250%
1/31/31
210,000
172,880
(f)
 
Total Communication Services
5,703,845
Consumer Discretionary — 0.4%
Hotels, Restaurants & Leisure — 0.4%
Brightstar Lottery PLC, Senior Secured Notes
5.250%
1/15/29
1,200,000
1,196,651
(f)
Caesars Entertainment Inc., Senior Secured Notes
6.500%
2/15/32
1,500,000
1,464,347
(f)
Great Canadian Gaming Corp./Raptor LLC, Senior Secured Notes
8.750%
11/15/29
250,000
250,317
(f)
 
Total Consumer Discretionary
2,911,315
Consumer Staples — 0.1%
Consumer Staples Distribution & Retail — 0.1%
Froneri Lux FinCo SARL, Senior Secured Notes
6.000%
8/1/32
1,200,000
1,177,545
(f)
 
Energy — 0.0%††
Oil, Gas & Consumable Fuels — 0.0%††
Cheniere Energy Inc., Senior Notes
4.625%
10/15/28
150,000
149,669
 
Financials — 1.0%
Financial Services — 0.4%
Jane Street Group/JSG Finance Inc., Senior Secured Notes
4.500%
11/15/29
300,000
292,603
(f)
Jane Street Group/JSG Finance Inc., Senior Secured Notes
6.125%
11/1/32
755,000
755,508
(f)
See Notes to Schedules of Investments.

144
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Financial Services — continued
Jane Street Group/JSG Finance Inc., Senior Secured Notes
6.750%
5/1/33
 $2,600,000
 $2,675,170
(f)
Total Financial Services
3,723,281
Insurance — 0.6%
Acrisure LLC/Acrisure Finance Inc., Senior Secured Notes
4.250%
2/15/29
500,000
456,672
(f)
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, Senior
Secured Notes
6.750%
4/15/28
3,300,000
3,328,057
(f)
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, Senior
Secured Notes
7.000%
1/15/31
1,000,000
1,016,773
(f)
Total Insurance
4,801,502
 
Total Financials
8,524,783
Health Care — 0.2%
Health Care Equipment & Supplies — 0.0%††
Bausch & Lomb Corp., Senior Secured Notes
8.375%
10/1/28
360,000
370,350
(f)
Health Care Providers & Services — 0.2%
Radiology Partners Inc., Senior Secured Notes
8.500%
7/15/32
1,500,000
1,567,274
(f)
 
Total Health Care
1,937,624
Industrials — 1.1%
Aerospace & Defense — 0.4%
Goat Holdco LLC, Senior Secured Notes
6.750%
2/1/32
2,000,000
2,051,294
(f)
TransDigm Inc., Senior Secured Notes
6.000%
1/15/33
1,700,000
1,717,721
(f)
Total Aerospace & Defense
3,769,015
Building Products — 0.3%
Emerald Borrower LP/Emerald Co-Issuer Inc., Senior Secured Notes
6.625%
12/15/30
1,400,000
1,433,017
(f)
Quikrete Holdings Inc., Senior Secured Notes
6.375%
3/1/32
1,000,000
1,021,657
(f)
Total Building Products
2,454,674
Commercial Services & Supplies — 0.3%
Albion Financing 1 SARL/Aggreko Holdings Inc., Senior Secured
Notes
7.000%
5/21/30
587,200
608,403
(f)
Allied Universal Holdco LLC, Senior Secured Notes
7.875%
2/15/31
1,000,000
1,045,919
(f)
GFL Environmental Inc., Senior Secured Notes
3.500%
9/1/28
600,000
585,735
(f)
Total Commercial Services & Supplies
2,240,057
Machinery — 0.0%††
GrafTech Finance Inc., Secured Notes
4.625%
12/23/29
400,000
256,213
(f)
Passenger Airlines — 0.1%
Air Canada, Senior Secured Notes
3.875%
8/15/26
700,000
699,810
(f)
 
Total Industrials
9,419,769
Information Technology — 0.1%
Technology Hardware, Storage & Peripherals — 0.1%
Fortress Intermediate 3 Inc., Senior Secured Notes
7.500%
6/1/31
600,000
610,728
(f)
 
Materials — 0.3%
Chemicals — 0.1%
SCIH Salt Holdings Inc., Senior Secured Notes
4.875%
5/1/28
500,000
493,504
(f)
Construction Materials — 0.1%
Cemex SAB de CV, Senior Notes
5.200%
9/17/30
375,000
376,434
(f)
Smyrna Ready Mix Concrete LLC, Senior Secured Notes
8.875%
11/15/31
700,000
738,466
(f)
Total Construction Materials
1,114,900
See Notes to Schedules of Investments.

145
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Senior Loan ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Containers & Packaging — 0.1%
Clydesdale Acquisition Holdings Inc., Senior Secured Notes
6.750%
4/15/32
 $160,000
 $155,416
(f)
Mauser Packaging Solutions Holding Co., Senior Secured Notes
7.875%
4/15/30
805,000
823,398
(f)
Total Containers & Packaging
978,814
 
Total Materials
2,587,218
Total Corporate Bonds & Notes (Cost — $32,461,079)
33,022,496
 
 
 
 
Shares
 
Investments in Underlying Funds — 2.6%
Franklin Templeton ETF Trust — Franklin High Yield Corporate ETF
255,966
6,217,414
(g)
Invesco Senior Loan ETF
221,413
4,510,183
iShares iBoxx $ High Yield Corporate Bond ETF
70,000
5,597,900
Janus Henderson AAA CLO ETF
105,000
5,301,450
 
Total Investments in Underlying Funds (Cost — $21,440,576)
21,626,947
 
 
Rate
Maturity
Date
Face
Amount
 
Asset-Backed Securities — 0.1%
BlueMountain CLO Ltd., 2018-3A C (3 mo. Term SOFR + 2.462%)
6.128%
10/25/30
 $1,000,000
1,002,115
(c)(f)
LCM LP, 18A CR (3 mo. Term SOFR + 2.112%)
5.787%
4/20/31
253,194
253,673
(c)(f)
 
Total Asset-Backed Securities (Cost — $1,252,892)
1,255,788
 
 
 
Shares
 
Common Stocks — 0.0%††
Health Care — 0.0%††
Pharmaceuticals — 0.0%††
Keenova Therapeutics PLC
3,652
359,114
*
Par Health Inc.
3,652
25,222
*
 
Total Common Stocks (Cost — $356,125)
384,336
Total Investments before Short-Term Investments (Cost — $801,716,145)
781,042,893
 
 
Rate
 
 
 
Short-Term Investments — 9.8%
Franklin Institutional U.S. Government Money Market Fund, Class A
Shares (Cost — $83,064,528)
3.545%
83,064,528
83,064,528
(g)(h)
Total Investments — 102.0% (Cost — $884,780,673)
864,107,421
Liabilities in Excess of Other Assets — (2.0)%
(16,989,668
)
Total Net Assets — 100.0%
$847,117,753
See Notes to Schedules of Investments.

146
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Senior Loan ETF
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Interest rates disclosed represent the effective rates on senior loans. Ranges in interest rates are attributable to multiple contracts under the same loan.
(b)
Senior loans may be considered restricted in that the Fund ordinarily is contractually obligated to receive approval from the agent bank and/or borrower
prior to the disposition of a senior loan.
(c)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(d)
All or a portion of this loan has not settled as of June 30, 2026. Interest rates are not effective until settlement date. Interest rates shown, if any, are for
the settled portion of the loan.
(e)
All or a portion of this loan is unfunded as of June 30, 2026. The interest rate for fully unfunded term loans is to be determined. At June 30, 2026, the total
principal amount and market value of unfunded commitments totaled $1,198,788 and $1,201,961, respectively.
(f)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(g)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $89,281,942 and the cost was $89,203,011 (Note 3).
(h)
Rate shown is one-day yield as of the end of the reporting period.
Abbreviation(s) used in this schedule:
CLO
Collateralized Loan Obligation
CPI
Consumer Price Index
ETF
Exchange-Traded Fund
SOFR
Secured Overnight Financing Rate
USD
United States Dollar
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

147
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
Common Stocks — 67.5%
Communication Services — 3.8%
Diversified Telecommunication Services — 0.9%
BT Group PLC
204,296
 $515,459
Comcast Corp., Class A Shares
188,446
4,626,349
Deutsche Telekom AG, Registered Shares
131,399
3,582,950
Total Diversified Telecommunication Services
8,724,758
Entertainment — 0.8%
Electronic Arts Inc.
11,997
2,459,865
Live Nation Entertainment Inc.
3,070
562,147
*
Walt Disney Co.
44,579
4,290,729
Total Entertainment
7,312,741
Interactive Media & Services — 1.8%
Alphabet Inc., Class C Shares
49,395
17,452,736
Media — 0.1%
Fox Corp., Class A Shares
10,373
541,056
News Corp., Class A Shares
19,191
476,512
Total Media
1,017,568
Wireless Telecommunication Services — 0.2%
Vodafone Group PLC
980,498
1,296,160
 
Total Communication Services
35,803,963
Consumer Discretionary — 5.6%
Automobiles — 0.9%
Ford Motor Co.
191,226
2,658,041
General Motors Co.
47,603
3,669,239
Mercedes-Benz Group AG
31,283
1,570,837
Suzuki Motor Corp.
84,600
1,017,907
Total Automobiles
8,916,024
Broadline Retail — 0.8%
eBay Inc.
22,313
2,493,478
MercadoLibre Inc.
1,258
2,135,316
*
Next PLC
4,997
964,663
Sea Ltd., ADR
19,000
1,820,770
*
Total Broadline Retail
7,414,227
Hotels, Restaurants & Leisure — 1.7%
Airbnb Inc., Class A Shares
22,378
3,202,292
*
Booking Holdings Inc.
35,777
6,376,893
Carnival Corp. Ltd.
67,344
1,924,018
Domino’s Pizza Inc.
1,561
462,118
Expedia Group Inc.
6,193
1,584,665
Las Vegas Sands Corp.
15,415
712,019
Yum! Brands Inc.
9,019
1,441,777
Total Hotels, Restaurants & Leisure
15,703,782
Household Durables — 0.6%
Sony Group Corp.
290,800
5,868,783
Leisure Products — 0.1%
Bandai Namco Holdings Inc.
19,600
456,339
See Notes to Schedules of Investments.

148
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Specialty Retail — 1.1%
Best Buy Co. Inc.
10,375
 $787,255
Fast Retailing Co. Ltd.
900
458,569
Ross Stores Inc.
15,381
3,273,846
TJX Cos. Inc.
24,962
3,781,743
Ulta Beauty Inc.
2,267
1,022,372
*
Williams-Sonoma Inc.
6,219
1,449,649
Total Specialty Retail
10,773,434
Textiles, Apparel & Luxury Goods — 0.4%
Asics Corp.
36,000
969,081
Deckers Outdoor Corp.
7,500
744,675
*
Lululemon Athletica Inc.
4,761
543,611
*
Tapestry Inc.
10,923
1,598,909
Total Textiles, Apparel & Luxury Goods
3,856,276
 
Total Consumer Discretionary
52,988,865
Consumer Staples — 4.2%
Beverages — 1.0%
Coca-Cola European Partners PLC
10,542
1,054,938
Coca-Cola HBC AG
8,426
550,223
Kirin Holdings Co. Ltd.
42,400
733,212
Monster Beverage Corp.
36,376
3,496,461
*
PepsiCo Inc.
29,838
4,040,065
Total Beverages
9,874,899
Consumer Staples Distribution & Retail — 1.4%
Carrefour SA
29,973
556,857
Dollar General Corp.
11,134
1,281,635
Dollar Tree Inc.
9,629
1,164,628
*
George Weston Ltd.
6,300
452,046
Koninklijke Ahold Delhaize NV
46,190
1,859,934
Kroger Co.
28,891
1,604,317
Sysco Corp.
18,295
1,529,096
Target Corp.
23,702
3,095,718
Walmart Inc.
14,012
1,586,999
Total Consumer Staples Distribution & Retail
13,131,230
Food Products — 0.2%
Archer-Daniels-Midland Co.
25,291
1,932,232
WH Group Ltd.
427,500
451,920
(a)
Total Food Products
2,384,152
Household Products — 0.1%
Colgate-Palmolive Co.
12,192
1,117,763
Personal Care Products — 0.9%
Estee Lauder Cos. Inc., Class A Shares
13,225
1,044,114
Kao Corp.
41,000
813,063
Kenvue Inc.
91,686
1,752,119
L’Oreal SA
10,872
4,768,753
Total Personal Care Products
8,378,049
See Notes to Schedules of Investments.

149
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Tobacco — 0.6%
Altria Group Inc.
78,508
 $5,648,651
 
Total Consumer Staples
40,534,744
Energy — 3.0%
Energy Equipment & Services — 0.2%
TechnipFMC PLC
21,369
1,416,765
Oil, Gas & Consumable Fuels — 2.8%
ARC Resources Ltd.
30,400
638,534
Cenovus Energy Inc.
69,400
1,721,365
Devon Energy Corp.
27,934
1,154,233
ENEOS Holdings Inc.
125,500
924,310
EOG Resources Inc.
28,453
3,691,208
Imperial Oil Ltd.
6,000
673,522
Inpex Corp.
30,700
616,739
Marathon Petroleum Corp.
15,507
3,964,675
Neste oyj
14,555
476,591
Occidental Petroleum Corp.
38,948
1,891,704
Phillips 66
18,689
3,159,375
Suncor Energy Inc.
63,100
3,393,501
Valero Energy Corp.
15,703
4,089,689
Whitecap Resources Inc.
63,000
654,090
Total Oil, Gas & Consumable Fuels
27,049,536
 
Total Energy
28,466,301
Financials — 10.9%
Banks — 3.7%
AIB Group PLC
72,574
852,556
Banco Santander SA
274,004
3,785,540
Barclays PLC
274,859
1,848,109
BNP Paribas SA
12,991
1,517,046
Citigroup Inc.
78,737
11,020,030
ING Groep NV
109,605
3,467,367
KeyCorp
46,617
1,074,522
Toronto-Dominion Bank
81,300
9,881,496
UniCredit SpA
19,415
1,737,151
Total Banks
35,183,817
Capital Markets — 1.6%
Ameriprise Financial Inc.
1,401
642,723
Bank of New York Mellon Corp.
31,580
4,566,784
Daiwa Securities Group Inc.
48,200
473,177
Deutsche Bank AG, Registered Shares
84,194
2,851,673
Morgan Stanley
4,944
1,033,494
Nomura Holdings Inc.
148,400
1,290,653
Northern Trust Corp.
6,205
1,078,677
State Street Corp.
14,700
2,493,120
T. Rowe Price Group Inc.
11,228
1,276,511
Total Capital Markets
15,706,812
Consumer Finance — 1.0%
American Express Co.
23,745
8,031,746
See Notes to Schedules of Investments.

150
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Consumer Finance — continued
Synchrony Financial
18,841
 $1,432,858
Total Consumer Finance
9,464,604
Financial Services — 1.0%
Block Inc.
24,014
1,825,064
*
Mastercard Inc., Class A Shares
7,202
3,698,947
ORIX Corp.
56,900
2,152,765
PayPal Holdings Inc.
45,781
1,976,824
Total Financial Services
9,653,600
Insurance — 3.6%
Aegon Ltd.
64,508
548,567
Aflac Inc.
20,641
2,420,157
AIA Group Ltd.
513,000
4,674,014
Allstate Corp.
13,665
3,251,450
American International Group Inc.
28,324
2,110,988
AXA SA
82,304
4,126,205
Daiichi Life Group Inc.
147,900
1,618,460
Everest Group Ltd.
2,114
755,184
Hartford Insurance Group Inc.
9,869
1,307,840
Japan Post Holdings Co. Ltd.
89,500
1,194,435
Loews Corp.
7,262
822,131
MS&AD Insurance Group Holdings Inc.
63,600
1,659,215
NN Group NV
9,337
818,345
Principal Financial Group Inc.
10,657
1,148,611
Prudential PLC
131,674
1,752,885
Sompo Holdings Inc.
43,000
1,650,417
T&D Holdings Inc.
22,900
677,313
Travelers Cos. Inc.
11,201
3,697,674
Total Insurance
34,233,891
 
Total Financials
104,242,724
Health Care — 7.8%
Biotechnology — 2.4%
AbbVie Inc.
9,722
2,446,444
Biogen Inc.
7,627
1,647,890
*
Genmab A/S
2,994
821,999
*
Gilead Sciences Inc.
44,237
5,588,903
Incyte Corp.
9,037
1,024,434
*
Neurocrine Biosciences Inc.
5,146
867,281
*
Regeneron Pharmaceuticals Inc.
5,493
3,425,105
United Therapeutics Corp.
2,055
1,113,461
*
Vertex Pharmaceuticals Inc.
11,845
5,883,767
*
Total Biotechnology
22,819,284
Health Care Equipment & Supplies — 1.1%
Becton Dickinson & Co.
14,925
2,258,600
Edwards Lifesciences Corp.
24,447
2,211,476
*
GE HealthCare Technologies Inc.
17,309
1,107,949
Hoya Corp.
16,800
2,682,418
IDEXX Laboratories Inc.
2,618
1,378,220
*
See Notes to Schedules of Investments.

151
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Health Care Equipment & Supplies — continued
ResMed Inc.
2,535
 $494,021
Sonova Holding AG, Registered Shares
2,430
578,693
Total Health Care Equipment & Supplies
10,711,377
Health Care Providers & Services — 0.9%
Cardinal Health Inc.
11,632
2,763,298
Centene Corp.
25,819
1,657,321
*
Elevance Health Inc.
1,840
711,583
HCA Healthcare Inc.
7,357
2,868,421
Total Health Care Providers & Services
8,000,623
Life Sciences Tools & Services — 0.6%
Agilent Technologies Inc.
14,763
1,960,969
Illumina Inc.
7,968
1,401,014
*
Mettler-Toledo International Inc.
1,032
1,318,390
*
West Pharmaceutical Services Inc.
3,719
1,335,121
Total Life Sciences Tools & Services
6,015,494
Pharmaceuticals — 2.8%
Astellas Pharma Inc.
88,600
1,185,695
Bristol-Myers Squibb Co.
108,271
6,238,575
GSK PLC
166,524
4,378,383
Novartis AG, Registered Shares
29,456
4,622,253
Otsuka Holdings Co. Ltd.
13,800
917,453
Roche Holding AG
19,866
8,196,126
Roche Holding AG, Bearer Shares
1,525
641,269
Royalty Pharma PLC, Class A Shares
8,703
487,977
Total Pharmaceuticals
26,667,731
 
Total Health Care
74,214,509
Industrials — 10.0%
Aerospace & Defense — 3.8%
Curtiss-Wright Corp.
1,939
1,469,297
General Dynamics Corp.
10,467
3,707,830
General Electric Co.
34,324
12,827,909
Howmet Aerospace Inc.
21,281
5,721,610
L3Harris Technologies Inc.
9,958
2,893,695
RTX Corp.
47,773
9,063,971
Textron Inc.
7,651
701,826
Total Aerospace & Defense
36,386,138
Air Freight & Logistics — 0.8%
Deutsche Post AG
47,930
2,909,793
Expeditors International of Washington Inc.
5,564
906,821
FedEx Corp.
11,652
3,648,591
Total Air Freight & Logistics
7,465,205
Building Products — 0.5%
Johnson Controls International PLC
32,500
4,748,575
Masco Corp.
7,101
577,808
Total Building Products
5,326,383
Commercial Services & Supplies — 0.5%
Cintas Corp.
14,907
2,535,383
See Notes to Schedules of Investments.

152
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Commercial Services & Supplies — continued
Copart Inc.
15,869
 $447,347
*
Rollins Inc.
14,612
609,905
Veralto Corp.
13,183
1,169,068
Total Commercial Services & Supplies
4,761,703
Construction & Engineering — 0.1%
Bouygues SA
11,068
617,644
Electrical Equipment — 0.3%
Rockwell Automation Inc.
5,886
2,914,041
Ground Transportation — 0.9%
CSX Corp.
32,671
1,552,853
Uber Technologies Inc.
93,866
6,773,370
*
Total Ground Transportation
8,326,223
Industrial Conglomerates — 0.7%
3M Co.
9,549
1,546,079
CK Hutchison Holdings Ltd.
137,500
1,161,606
Hitachi Ltd.
144,800
3,983,392
Jardine Matheson Holdings Ltd.
8,000
492,000
Total Industrial Conglomerates
7,183,077
Machinery — 0.9%
Cummins Inc.
2,392
1,705,998
Daifuku Co. Ltd.
11,900
521,689
Fortive Corp.
14,870
908,408
GEA Group AG
7,814
536,472
Graco Inc.
8,394
634,670
Kubota Corp.
40,700
672,511
Nordson Corp.
2,683
809,434
Parker-Hannifin Corp.
1,188
1,162,007
Snap-on Inc.
1,214
488,514
Techtronic Industries Co. Ltd.
65,000
1,073,380
Total Machinery
8,513,083
Marine Transportation — 0.1%
Nippon Yusen KK
19,800
635,452
Professional Services — 0.7%
Broadridge Financial Solutions Inc.
3,287
450,155
Leidos Holdings Inc.
3,765
387,682
Recruit Holdings Co. Ltd.
69,800
4,865,922
SS&C Technologies Holdings Inc.
11,122
690,120
Total Professional Services
6,393,879
Trading Companies & Distributors — 0.6%
AerCap Holdings NV
7,217
1,052,094
Marubeni Corp.
73,600
2,123,882
Sumitomo Corp.
162,400
1,547,809
Toyota Tsusho Corp.
29,000
1,066,679
Total Trading Companies & Distributors
5,790,464
Transportation Infrastructure — 0.1%
Aena SME SA
24,281
740,094
(a)
 
Total Industrials
95,053,386
See Notes to Schedules of Investments.

153
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Information Technology — 16.1%
Communications Equipment — 1.8%
Ciena Corp.
7,495
 $3,676,747
*
Cisco Systems Inc.
95,234
11,186,186
F5 Inc.
2,962
1,232,073
*
Telefonaktiebolaget LM Ericsson, Class B Shares
138,929
1,552,484
Total Communications Equipment
17,647,490
Electronic Equipment, Instruments & Components — 0.8%
Jabil Inc.
3,844
1,481,785
Keysight Technologies Inc.
9,072
3,175,835
*
TE Connectivity PLC
15,269
3,078,383
Total Electronic Equipment, Instruments & Components
7,736,003
IT Services — 1.0%
Accenture PLC, Class A Shares
32,400
4,031,856
Capgemini SE
3,860
388,180
Cognizant Technology Solutions Corp., Class A Shares
21,124
818,132
Fujitsu Ltd.
90,100
1,800,060
Twilio Inc., Class A Shares
7,241
1,494,036
*
VeriSign Inc.
4,443
1,117,681
Total IT Services
9,649,945
Semiconductors & Semiconductor Equipment — 6.6%
Advantest Corp.
38,600
7,680,812
Applied Materials Inc.
23,027
16,648,521
Lam Research Corp.
35,147
15,230,250
Lasertec Corp.
3,700
1,131,457
Micron Technology Inc.
15,697
18,118,890
Teradyne Inc.
7,655
3,703,795
Total Semiconductors & Semiconductor Equipment
62,513,725
Software — 4.6%
Adobe Inc.
21,557
4,419,616
*
AppLovin Corp., Class A Shares
12,163
6,266,743
*
Autodesk Inc.
11,191
2,175,754
*
Cadence Design Systems Inc.
14,551
5,461,281
*
Fortinet Inc.
33,258
5,109,094
*
Gen Digital Inc.
20,387
507,432
Microsoft Corp.
27,526
10,267,749
PTC Inc.
6,073
689,954
*
Sage Group PLC
42,398
459,185
Salesforce Inc.
42,156
6,604,159
Trimble Inc.
12,324
630,742
*
Zoom Communications Inc.
12,449
1,074,473
*
Total Software
43,666,182
Technology Hardware, Storage & Peripherals — 1.3%
Canon Inc.
41,400
1,056,366
HP Inc.
33,078
725,731
Logitech International SA, Registered Shares
7,941
745,616
NetApp Inc.
6,161
953,476
See Notes to Schedules of Investments.

154
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Technology Hardware, Storage & Peripherals — continued
Western Digital Corp.
13,808
 $8,819,446
Total Technology Hardware, Storage & Peripherals
12,300,635
 
Total Information Technology
153,513,980
Materials — 2.6%
Chemicals — 0.6%
Asahi Kasei Corp.
42,800
471,649
CF Industries Holdings Inc.
8,309
899,532
Corteva Inc.
32,278
2,733,624
DuPont de Nemours Inc.
7,444
1,009,704
Nitto Denko Corp.
37,200
725,575
Total Chemicals
5,840,084
Construction Materials — 0.5%
CRH PLC
28,200
3,017,400
Holcim AG
22,262
2,011,349
Total Construction Materials
5,028,749
Containers & Packaging — 0.2%
Avery Dennison Corp.
4,115
668,070
Ball Corp.
12,887
804,149
Packaging Corp. of America
2,869
683,625
Total Containers & Packaging
2,155,844
Metals & Mining — 1.3%
Agnico Eagle Mines Ltd.
6,900
1,071,707
Barrick Mining Corp.
83,200
3,058,242
Endeavour Mining PLC
11,871
583,594
Kinross Gold Corp.
60,900
1,441,425
Newmont Corp.
57,246
5,346,776
Reliance Inc.
1,412
527,523
Total Metals & Mining
12,029,267
 
Total Materials
25,053,944
Real Estate — 1.1%
Real Estate Management & Development — 0.4%
CBRE Group Inc., Class A Shares
15,235
2,052,002
*
CK Asset Holdings Ltd.
95,000
535,205
Sun Hung Kai Properties Ltd.
59,500
852,054
Total Real Estate Management & Development
3,439,261
Residential REITs — 0.1%
Invitation Homes Inc.
21,431
647,431
Sun Communities Inc.
6,298
755,193
Total Residential REITs
1,402,624
Retail REITs — 0.4%
Simon Property Group Inc.
17,208
3,848,569
Specialized REITs — 0.2%
Gaming and Leisure Properties Inc.
10,520
468,456
VICI Properties Inc.
53,619
1,423,584
Total Specialized REITs
1,892,040
 
Total Real Estate
10,582,494
See Notes to Schedules of Investments.

155
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
 
Shares
Value
 
Utilities — 2.4%
Electric Utilities — 1.2%
Duke Energy Corp.
18,342
 $2,321,730
Edison International
20,739
1,544,019
Endesa SA
11,633
530,404
Enel SpA
360,400
4,142,704
Entergy Corp.
4,529
520,201
Evergy Inc.
9,111
787,464
Kansai Electric Power Co. Inc.
33,600
472,498
NRG Energy Inc.
9,365
1,367,852
Total Electric Utilities
11,686,872
Gas Utilities — 0.1%
Tokyo Gas Co. Ltd.
15,900
598,824
Independent Power and Renewable Electricity Producers — 0.5%
RWE AG
26,964
1,745,478
Vistra Corp.
17,144
2,719,553
Total Independent Power and Renewable Electricity Producers
4,465,031
Multi-Utilities — 0.6%
Centrica PLC
194,396
440,813
NiSource Inc.
22,887
1,088,277
Public Service Enterprise Group Inc.
16,198
1,314,630
Sempra
34,587
3,206,561
Total Multi-Utilities
6,050,281
 
Total Utilities
22,801,008
Total Common Stocks (Cost — $546,188,031)
643,255,918
 
 
Expiration
Date
Rights
 
Rights — 0.0%††
Financials — 0.0%††
Capital Markets — 0.0%††
TPG Inc. (Cost — $0)
12/31/49
4,504
45
*(b)(c)
 
 
 
 
Warrants
 
Warrants — 0.0%††
Information Technology — 0.0%††
Software — 0.0%††
Constellation Software Inc. (Cost — $0)
3/31/40
100
0
*(b)(c)(d)
Total Investments before Short-Term Investments (Cost — $546,188,031)
643,255,963
See Notes to Schedules of Investments.

156
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Systematic Style Premia ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Shares
Value
Short-Term Investments — 23.1%
Franklin Institutional U.S. Government Money Market Fund, Class A
Shares
3.545%
209,569,110
 $209,569,110
(e)(f)
RBC BlueBay U.S. Government Money Market Fund, Institutional
Class
3.555%
11,093,965
11,093,965
(e)
 
Total Short-Term Investments (Cost — $220,663,075)
220,663,075
Total Investments — 90.6% (Cost — $766,851,106)
863,919,038
Other Assets in Excess of Liabilities — 9.4%
89,281,610
Total Net Assets — 100.0%
$953,200,648
Consolidated Schedules of Investments (Note 2).
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(b)
Security is fair valued in accordance with procedures approved by the Board of Trustees(Note 1).
(c)
Security is valued using significant unobservable inputs(Note 1).
(d)
Value is less than $1.
(e)
Rate shown is one-day yield as of the end of the reporting period.
(f)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $209,569,110 and the cost was $209,569,110 (Note 3).
Abbreviation(s) used in this schedule:
ADR
American Depositary Receipts
See Notes to Schedules of Investments.

157
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Systematic Style Premia ETF
At June 30, 2026, the Fund had the following open futures contracts:
 
 
 
Number of
Contracts
 
Expiration
Date
 
Notional
Amount
 
Market
Value
 
Unrealized
Appreciation
(Depreciation)
Contracts to Buy:
Aluminium
128
9/26
 $11,517,481
 $9,876,640
 $(1,640,841)(a)
Brent Crude Oil
136
7/26
12,615,540
9,921,200
(2,694,340)(a)
Canadian 10-Year Bonds
4,361
9/26
368,475,977
372,271,866
3,795,889
Copper
46
9/26
7,442,524
7,192,100
(250,424)(a)
E-mini S&P 500 Index
147
9/26
55,864,788
55,479,638
(385,150)
FTSE/JSE Top 40 Index
476
9/26
31,530,579
29,800,969
(1,729,610)
Gasoline Rbob
108
8/26
13,232,143
12,388,270
(843,873)(a)
Gold 100 Oz
16
8/26
7,135,270
6,461,600
(673,670)(a)
Hang Seng Index
102
7/26
15,192,360
14,858,321
(334,039)
IBEX 35 Index
201
7/26
43,423,561
44,574,030
1,150,469
Japanese 10-Year Bonds
207
9/26
162,274,563
162,734,287
459,724
Live Cattle
75
8/26
7,238,812
7,272,750
33,938(a)
Low Sulphur Gasoil
43
9/26
4,273,836
3,795,825
(478,011)(a)
NY Harbor ULSD
30
8/26
4,404,108
3,981,726
(422,382)(a)
S&P/TSX 60 Index
573
9/26
165,951,814
166,049,847
98,033
Silver
18
9/26
6,215,281
5,392,980
(822,301)(a)
Soybean
128
11/26
7,263,441
7,320,000
56,559(a)
Soybean Oil
111
12/26
4,713,181
4,352,310
(360,871)(a)
SPI 200 Index
484
9/26
74,713,944
73,568,156
(1,145,788)
U.S. Treasury 10-Year Notes
353
9/26
38,648,486
38,791,391
142,905
United Kingdom Long Gilt Bonds
1,046
9/26
122,280,513
123,850,483
1,569,970
WTI Crude Oil
56
8/26
4,779,667
3,879,120
(900,547)(a)
Zinc
154
9/26
13,821,049
13,738,417
(82,632)(a)
 
(5,456,992)
Contracts to Sell:
CAC 40 10 Euro
390
7/26
37,655,411
37,499,100
156,311
Cocoa
300
9/26
11,999,649
15,234,000
(3,234,351)(a)
Coffee ’C’
96
9/26
8,726,715
10,672,200
(1,945,485)(a)
Corn
363
9/26
7,757,252
7,564,013
193,239(a)
DAX Index
116
9/26
83,129,060
83,340,174
(211,114)
Euro Stoxx 50 Index
714
9/26
51,215,110
51,885,062
(669,952)
Euro-BTP
965
9/26
130,339,300
131,677,015
(1,337,715)
Euro-Bund
1,893
9/26
272,839,787
275,597,769
(2,757,982)
Euro-OAT
1,647
9/26
225,164,500
225,924,169
(759,669)
FTSE/MIB Index
139
9/26
41,271,494
41,223,514
47,980
Lead
401
9/26
19,954,334
18,718,881
1,235,453(a)
Lean Hog
587
8/26
22,569,557
23,057,360
(487,803)(a)
Natural Gas
123
8/26
3,935,253
3,928,620
6,633(a)
Nickel
65
9/26
7,113,433
6,339,848
773,585(a)
Nikkei 225 Index
88
9/26
35,639,108
38,004,738
(2,365,630)
OMXS30 Index
148
7/26
4,837,522
4,919,494
(81,972)
Soybean Meal
235
12/26
7,234,106
7,122,850
111,256(a)
Sugar No. 11
1,089
9/26
17,720,859
18,075,658
(354,799)(a)
Hard Red Winter Wheat
232
9/26
7,429,628
7,252,900
176,728(a)
Wheat
560
9/26
16,666,535
16,499,000
167,535(a)
 
(11,337,752)
Net unrealized depreciation on open futures contracts
$(16,794,744)
See Notes to Schedules of Investments.

158
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Systematic Style Premia ETF
(a)
The security is owned by FLSP Holdings Corporation., a wholly-owned subsidiary of the Fund (Note 2).
Abbreviation(s) used in this table:
BTP
Buoni del Tesoro Poliennali (Italian Treasury Bonds)
OAT
Obligations Assimilables du Trésor (French Treasury Bonds)
At June 30, 2026, the Fund had the following open forward foreign currency contracts:
Currency
Purchased
Currency
Sold
Counterparty
Settlement
Date
Unrealized
Appreciation
(Depreciation)
GBP
105,781,018
USD
141,576,257
Bank of America N.A.
9/16/26
 $(1,179,079)
HUF
22,847,049,735
USD
74,069,312
Bank of America N.A.
9/16/26
(889,207)
JPY
18,447,162,670
USD
116,070,991
Bank of America N.A.
9/16/26
(1,872,650)
NOK
417,759,760
USD
44,046,577
Bank of America N.A.
9/16/26
(1,873,169)
PLN
166,029,588
USD
45,306,333
Bank of America N.A.
9/16/26
(1,138,269)
SEK
71,068,003
USD
7,581,470
Bank of America N.A.
9/16/26
(207,307)
USD
104,120,378
AUD
147,950,803
Bank of America N.A.
9/16/26
1,758,270
USD
304,631,554
CAD
422,851,444
Bank of America N.A.
9/16/26
5,580,900
USD
96,712,513
CHF
76,225,901
Bank of America N.A.
9/16/26
1,424,147
USD
45,309,579
CZK
947,423,307
Bank of America N.A.
9/16/26
643,456
USD
65,274,658
EUR
56,266,523
Bank of America N.A.
9/16/26
741,566
USD
141,045,280
NZD
241,193,748
Bank of America N.A.
9/16/26
3,495,394
ZAR
1,231,293,560
USD
74,270,057
Bank of America N.A.
9/16/26
394,085
MXN
1,547,105,014
USD
88,244,639
Bank of America N.A.
9/17/26
(264,331)
Net unrealized appreciation on open forward foreign currency contracts
$6,613,806
Abbreviation(s) used in this table:
AUD
Australian Dollar
CAD
Canadian Dollar
CHF
Swiss Franc
CZK
Czech Koruna
EUR
Euro
GBP
British Pound
HUF
Hungarian Forint
JPY
Japanese Yen
MXN
Mexican Peso
NOK
Norwegian Krone
NZD
New Zealand Dollar
PLN
Polish Zloty
SEK
Swedish Krona
USD
United States Dollar
ZAR
South African Rand
At June 30, 2026, the Fund had the following open swap contracts:
 
OTC TOTAL RETURN SWAPS
Swap
Counterparty
Notional
Amount
Termination
Date
Periodic
Payments
Made by
the Fund
Periodic
Payments
Received by
the Fund
Market
Value
Upfront
Premiums
Paid
(Received)
Unrealized
Depreciation
Morgan Stanley & Co. LLC
 $505,395,807
7/9/26
0.00%
At Maturity
 $(4,696,212)
$(4,696,212)
Percentage shown is an annual percentage rate.
Periodic payments made/received by the Fund are based on the total return of the referenced entity.
See Notes to Schedules of Investments.

159
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Systematic Style Premia ETF
The following table represents the required top fifty component disclosures associated with the total return custom equity basket swap as of period end.
Security
Shares
Market
Value
Weight
Intel Corp.
54,254
 $7,575,486
1.48%
Advanced Micro Devices Inc.
12,201
7,087,683
1.39%
Deere & Co.
10,429
6,615,428
1.30%
Palo Alto Networks Inc.
18,520
6,315,690
1.24%
Capital One Financial Corp.
31,374
6,294,252
1.23%
Infineon Technologies AG
66,134
6,175,150
1.21%
Marvell Technology Inc.
20,712
6,169,898
1.21%
Tesla Inc.
14,629
6,152,957
1.21%
UnitedHealth Group Inc.
14,715
6,115,995
1.20%
Commonwealth Bank of Australia
53,033
6,048,347
1.18%
Abbott Laboratories
66,105
5,998,368
1.17%
Boeing Co.
27,708
5,997,951
1.17%
Analog Devices Inc.
14,813
5,883,279
1.15%
Enbridge Inc.
108,112
5,860,718
1.15%
Costco Wholesale Corp.
6,138
5,741,915
1.12%
Broadcom Inc.
15,001
5,666,628
1.11%
Apple Inc.
19,525
5,649,754
1.11%
NextEra Energy Inc.
63,067
5,535,391
1.08%
AstraZeneca PLC
27,537
5,153,336
1.01%
SoftBank Group Corp.
137,500
5,044,840
0.99%
Zurich Insurance Group AG
6,488
4,814,624
0.94%
S&P Global Inc.
11,689
4,760,462
0.93%
Westpac Banking Corp.
181,214
4,420,442
0.87%
Snowflake Inc.
17,233
4,385,799
0.86%
Datadog Inc., Class A Shares
16,388
4,266,780
0.84%
National Australia Bank Ltd.
161,889
4,246,253
0.83%
Royal Caribbean Cruises Ltd.
13,365
4,243,788
0.83%
CME Group Inc.
19,043
4,205,266
0.82%
Blackstone Inc.
35,247
4,147,514
0.81%
Oracle Corp.
28,244
4,139,158
0.81%
Robinhood Markets Inc., Class A Shares
39,394
3,950,430
0.77%
ANZ Group Holdings Ltd.
159,813
3,913,897
0.77%
Synopsys Inc.
8,702
3,881,701
0.76%
Coherent Corp.
9,730
3,838,193
0.75%
British American Tobacco PLC
60,877
3,778,969
0.74%
NXP Semiconductors NV
13,255
3,725,053
0.73%
Eaton Corp.
8,711
3,711,931
0.73%
American Tower Corp.
22,465
3,674,600
0.72%
DoorDash Inc., Class A Shares
19,352
3,571,025
0.70%
Canadian Pacific Kansas City Ltd.
41,100
3,562,048
0.70%
TC Energy Corp.
52,389
3,468,106
0.68%
Brookfield Corp.
81,200
3,463,198
0.68%
Astera Labs Inc.
7,149
3,453,110
0.68%
Boston Scientific Corp.
77,961
3,327,375
0.65%
Intercontinental Exchange Inc.
26,656
3,281,620
0.64%
See Notes to Schedules of Investments.

160
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Systematic Style Premia ETF
Security
Shares
Market
Value
Weight
Air Products & Chemicals Inc.
11,091
 $3,251,659
0.64%
SLB Ltd.
68,098
3,165,876
0.62%
Aon PLC Class A Shares
9,333
3,095,663
0.61%
Arthur J Gallagher & Co.
13,483
3,095,292
0.61%
Realty Income Corp.
48,936
3,032,075
0.59%
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

161
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
U.S. Government & Agency Obligations — 32.0%
U.S. Government Obligations — 32.0%
Federal Farm Credit Banks Funding Corp.
2.100%
2/25/36
 $4,000,000
 $3,197,623
U.S. Treasury Bonds
1.125%
5/15/40
6,475,000
4,099,611
U.S. Treasury Bonds
1.125%
8/15/40
20,065,000
12,575,504
U.S. Treasury Bonds
2.000%
11/15/41
40,915,000
28,349,620
U.S. Treasury Bonds
2.750%
8/15/42
19,789,000
15,123,125
U.S. Treasury Bonds
2.750%
11/15/42
12,800,000
9,732,000
U.S. Treasury Bonds
4.750%
11/15/43
2,100,000
2,066,203
U.S. Treasury Bonds
3.000%
11/15/44
37,405,000
28,622,131
U.S. Treasury Bonds
4.625%
2/15/46
17,190,000
16,505,086
U.S. Treasury Bonds
5.000%
5/15/46
19,400,000
19,547,015
U.S. Treasury Bonds
2.250%
8/15/46
7,274,000
4,746,569
U.S. Treasury Bonds
2.750%
11/15/47
7,520,000
5,303,069
U.S. Treasury Bonds
3.000%
2/15/49
38,493,000
28,075,832
U.S. Treasury Bonds
2.250%
8/15/49
25,595,000
15,925,889
U.S. Treasury Bonds
2.000%
2/15/50
15,850,000
9,240,055
U.S. Treasury Bonds
1.250%
5/15/50
53,230,000
25,343,510
U.S. Treasury Bonds
1.375%
8/15/50
81,615,000
40,055,112
U.S. Treasury Bonds
1.875%
2/15/51
2,100,000
1,167,756
U.S. Treasury Bonds
2.000%
8/15/51
21,050,000
11,989,455
U.S. Treasury Bonds
1.875%
11/15/51
4,890,000
2,688,354
U.S. Treasury Bonds
2.250%
2/15/52
11,085,000
6,677,197
U.S. Treasury Bonds
3.625%
2/15/53
18,000,000
14,399,297
U.S. Treasury Bonds
3.625%
5/15/53
9,950,000
7,954,170
U.S. Treasury Bonds
4.125%
8/15/53
15,750,000
13,761,255
U.S. Treasury Bonds
4.250%
2/15/54
12,230,000
10,914,558
U.S. Treasury Bonds
4.750%
8/15/55
36,370,000
35,294,528
U.S. Treasury Bonds
4.750%
2/15/56
9,420,000
9,152,855
U.S. Treasury Bonds
5.000%
5/15/56
3,370,000
3,406,069
U.S. Treasury Notes
0.500%
6/30/27
34,250,000
33,056,884
U.S. Treasury Notes
3.250%
6/30/27
97,465,000
96,656,577
U.S. Treasury Notes
2.250%
8/15/27
6,800,000
6,660,016
U.S. Treasury Notes
0.375%
9/30/27
26,545,000
25,341,143
U.S. Treasury Notes
3.500%
4/30/28
36,230,000
35,807,552
U.S. Treasury Notes
1.250%
5/31/28
30,170,000
28,570,165
U.S. Treasury Notes
4.125%
7/31/28
59,100,000
59,063,062
U.S. Treasury Notes
1.375%
12/31/28
66,890,000
62,505,569
U.S. Treasury Notes
3.875%
5/15/29
36,670,000
36,390,678
U.S. Treasury Notes
4.000%
10/31/29
36,853,000
36,654,339
U.S. Treasury Notes
3.750%
5/31/30
17,900,000
17,619,963
U.S. Treasury Notes
3.750%
6/30/30
9,950,000
9,789,673
U.S. Treasury Notes
4.125%
8/31/30
24,050,000
23,986,117
U.S. Treasury Notes
2.750%
8/15/32
2,950,000
2,709,736
U.S. Treasury Notes
4.125%
4/30/33
93,950,000
92,937,102
U.S. Treasury Notes
4.250%
8/15/35
17,200,000
16,982,984
See Notes to Schedules of Investments.

162
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
U.S. Government Obligations — continued
U.S. Treasury Notes
4.375%
5/15/36
 $8,680,000
 $8,634,566
 
Total U.S. Government & Agency Obligations (Cost — $1,020,276,585)
979,279,574
Corporate Bonds & Notes — 30.8%
Communication Services — 2.6%
Diversified Telecommunication Services — 1.2%
AT&T Inc., Senior Notes
2.550%
12/1/33
17,800,000
14,955,174
AT&T Inc., Senior Notes
5.125%
4/30/36
1,420,000
1,392,174
AT&T Inc., Senior Notes
6.200%
10/30/56
1,220,000
1,206,819
Orange SA, Senior Notes
9.000%
3/1/31
3,000,000
3,504,561
RD Michigan Property Owner I LLC, Senior Secured Notes
7.500%
3/30/45
4,150,000
4,150,765
(a)
Space Exploration Technologies Corp., Senior Notes
5.350%
7/15/31
2,200,000
2,194,834
(a)
Verizon Communications Inc., Junior Subordinated Notes (6.050% to 5/14/33
then 5 year Treasury Constant Maturity Rate + 1.813%)
6.050%
5/14/58
2,415,000
2,437,993
(b)
Verizon Communications Inc., Senior Notes
1.750%
1/20/31
5,000,000
4,393,445
Verizon Communications Inc., Senior Notes
5.250%
4/2/35
2,275,000
2,275,181
Total Diversified Telecommunication Services
36,510,946
Entertainment — 0.1%
Flutter Treasury DAC, Senior Secured Notes
5.875%
6/4/31
1,610,000
1,605,138
(a)
Interactive Media & Services — 0.1%
Meta Platforms Inc., Senior Notes
5.250%
5/15/36
1,900,000
1,887,308
Meta Platforms Inc., Senior Notes
6.300%
5/15/56
1,360,000
1,354,673
Total Interactive Media & Services
3,241,981
Media — 0.5%
Charter Communications Operating LLC/Charter Communications Operating
Capital Corp., Senior Secured Notes
2.800%
4/1/31
5,000,000
4,456,295
Charter Communications Operating LLC/Charter Communications Operating
Capital Corp., Senior Secured Notes
4.400%
4/1/33
6,600,000
6,079,913
Charter Communications Operating LLC/Charter Communications Operating
Capital Corp., Senior Secured Notes
5.850%
12/1/35
5,335,000
5,166,492
Charter Communications Operating LLC/Charter Communications Operating
Capital Corp., Senior Secured Notes
3.500%
3/1/42
1,500,000
1,037,316
Total Media
16,740,016
Wireless Telecommunication Services — 0.7%
Rogers Communications Inc., Senior Notes
5.000%
2/15/29
3,900,000
3,924,644
Rogers Communications Inc., Senior Notes
3.800%
3/15/32
6,000,000
5,596,993
T-Mobile USA Inc., Senior Notes
3.875%
4/15/30
3,000,000
2,907,573
T-Mobile USA Inc., Senior Notes
5.050%
7/15/33
5,000,000
4,993,307
T-Mobile USA Inc., Senior Notes
5.000%
2/15/36
2,645,000
2,588,360
Total Wireless Telecommunication Services
20,010,877
 
Total Communication Services
78,108,958
Consumer Discretionary — 2.1%
Automobiles — 0.4%
General Motors Financial Co. Inc., Senior Notes
4.200%
10/27/28
885,000
875,591
General Motors Financial Co. Inc., Senior Notes
4.300%
4/6/29
5,900,000
5,828,490
General Motors Financial Co. Inc., Senior Notes
5.450%
9/6/34
1,375,000
1,378,126
Hyundai Capital America, Senior Notes
5.350%
3/19/29
885,000
897,418
(a)
See Notes to Schedules of Investments.

163
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Automobiles — continued
Hyundai Capital America, Senior Notes
4.500%
9/18/30
 $1,415,000
 $1,389,964
(a)
Hyundai Capital America, Senior Notes
5.000%
6/18/31
1,755,000
1,752,697
(a)
Total Automobiles
12,122,286
Broadline Retail — 0.2%
Amazon.com Inc., Senior Notes
4.550%
3/13/33
1,335,000
1,313,758
Amazon.com Inc., Senior Notes
4.875%
3/13/36
1,972,000
1,941,984
Amazon.com Inc., Senior Notes
5.800%
3/13/56
280,000
278,409
Amazon.com Inc., Senior Notes
6.050%
3/13/76
1,769,000
1,765,033
Total Broadline Retail
5,299,184
Hotels, Restaurants & Leisure — 0.8%
1011778 BC ULC/New Red Finance Inc., Senior Secured Notes
6.125%
6/15/29
1,680,000
1,706,074
(a)
Airbnb Inc., Senior Notes
4.650%
3/16/31
1,300,000
1,291,957
Airbnb Inc., Senior Notes
5.250%
3/16/36
5,255,000
5,235,204
Carnival Corp. Ltd., Senior Secured Notes
4.000%
8/1/28
4,390,000
4,310,956
(a)
Las Vegas Sands Corp., Senior Notes
3.900%
8/8/29
2,930,000
2,830,562
Marriott International Inc., Senior Notes
4.500%
5/1/33
1,770,000
1,713,946
Marriott International Inc., Senior Notes
5.300%
5/15/34
1,400,000
1,414,340
Royal Caribbean Cruises Ltd., Senior Notes
5.500%
4/1/28
6,500,000
6,562,868
(a)
Total Hotels, Restaurants & Leisure
25,065,907
Household Durables — 0.2%
NVR Inc., Senior Notes
3.000%
5/15/30
2,500,000
2,344,788
Toll Brothers Finance Corp., Senior Notes
3.800%
11/1/29
4,600,000
4,470,635
Total Household Durables
6,815,423
Leisure Products — 0.2%
Brunswick Corp., Senior Notes
5.850%
3/18/29
5,600,000
5,730,630
Specialty Retail — 0.2%
Dick’s Sporting Goods Inc., Senior Notes
3.150%
1/15/32
6,500,000
5,937,292
Textiles, Apparel & Luxury Goods — 0.1%
Tapestry Inc., Senior Notes
5.100%
3/11/30
2,000,000
2,015,716
Tapestry Inc., Senior Notes
5.500%
3/11/35
1,800,000
1,813,456
Total Textiles, Apparel & Luxury Goods
3,829,172
 
Total Consumer Discretionary
64,799,894
Consumer Staples — 2.3%
Beverages — 0.0%††
Keurig Dr Pepper Inc., Senior Notes
5.300%
3/15/34
1,425,000
1,429,078
Consumer Staples Distribution & Retail — 0.4%
7-Eleven Inc., Senior Notes
1.300%
2/10/28
5,482,000
5,208,782
(a)
7-Eleven Inc., Senior Notes
1.800%
2/10/31
712,000
619,785
(a)
Dollar Tree Inc., Senior Notes
4.200%
5/15/28
5,000,000
4,962,973
Total Consumer Staples Distribution & Retail
10,791,540
Food Products — 1.1%
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
5.750%
4/1/33
3,700,000
3,800,982
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
5.500%
1/15/36
2,311,000
2,309,084
See Notes to Schedules of Investments.

164
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Food Products — continued
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
5.625%
3/10/37
 $3,255,000
 $3,243,461
(a)
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings,
Senior Notes
6.400%
5/10/57
620,000
618,960
(a)
Kraft Heinz Foods Co., Senior Notes
5.000%
6/4/42
3,385,000
3,034,474
Mars Inc., Senior Notes
3.200%
4/1/30
3,200,000
3,043,595
(a)
Mars Inc., Senior Notes
5.200%
3/1/35
9,440,000
9,480,738
(a)
McCormick & Co. Inc., Senior Notes
2.500%
4/15/30
4,200,000
3,888,311
McCormick & Co. Inc., Senior Notes
4.700%
10/15/34
5,000,000
4,842,700
Total Food Products
34,262,305
Personal Care Products — 0.2%
Kenvue Inc., Senior Notes
4.850%
5/22/32
4,800,000
4,827,064
Tobacco — 0.6%
BAT Capital Corp., Senior Notes
4.625%
3/22/33
5,360,000
5,247,364
BAT Capital Corp., Senior Notes
4.390%
8/15/37
1,851,000
1,693,700
Imperial Brands Finance PLC, Senior Notes
3.500%
7/26/26
1,000,000
999,219
(a)
Imperial Brands Finance PLC, Senior Notes
5.500%
7/7/36
3,000,000
2,982,598
(a)(c)
Philip Morris International Inc., Senior Notes
5.375%
2/15/33
3,600,000
3,696,616
Philip Morris International Inc., Senior Notes
5.250%
2/13/34
5,000,000
5,083,511
Total Tobacco
19,703,008
 
Total Consumer Staples
71,012,995
Energy — 2.3%
Oil, Gas & Consumable Fuels — 2.3%
Aker BP ASA, Senior Notes
3.100%
7/15/31
4,700,000
4,298,474
(a)
Boardwalk Pipelines LP, Senior Notes
4.800%
5/3/29
3,950,000
3,954,170
Canadian Natural Resources Ltd., Senior Notes
2.950%
7/15/30
6,300,000
5,893,274
Cheniere Energy Inc., Senior Notes
5.650%
4/15/34
2,700,000
2,771,933
Cheniere Energy Inc., Senior Notes
5.200%
7/30/36
465,000
458,032
(a)
DT Midstream Inc., Senior Notes
4.375%
6/15/31
1,600,000
1,546,054
(a)
DT Midstream Inc., Senior Notes
5.800%
12/15/34
3,600,000
3,680,465
(a)
Eastern Energy Gas Holdings LLC, Senior Notes
5.800%
1/15/35
6,825,000
7,065,595
Energy Transfer LP, Senior Notes
6.400%
12/1/30
5,800,000
6,140,966
Energy Transfer LP, Senior Notes
5.550%
5/15/34
2,300,000
2,337,299
Eni SpA, Senior Notes
5.250%
5/18/36
3,185,000
3,133,423
(a)
Hess Corp., Senior Notes
7.125%
3/15/33
4,600,000
5,171,703
MPLX LP, Senior Notes
5.400%
4/1/35
9,000,000
9,001,880
Targa Resources Corp., Senior Notes
4.350%
4/15/31
1,415,000
1,382,818
Targa Resources Corp., Senior Notes
6.500%
3/30/34
5,000,000
5,391,033
Transcontinental Gas Pipe Line Co. LLC, Senior Notes
5.100%
3/15/36
1,660,000
1,644,000
Var Energi ASA, Senior Notes
8.000%
11/15/32
3,800,000
4,316,271
(a)
Viper Energy Partners LLC, Senior Notes
5.700%
8/1/35
1,864,000
1,894,626
Woodside Finance Ltd., Senior Notes
6.000%
5/19/35
1,600,000
1,662,536
 
Total Energy
71,744,552
See Notes to Schedules of Investments.

165
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Financials — 8.3%
Banks — 3.9%
Bank of America Corp., Senior Notes (1.922% to 10/24/30 then SOFR +
1.370%)
1.922%
10/24/31
 $2,800,000
 $2,485,041
(b)
Bank of America Corp., Senior Notes (2.299% to 7/21/31 then SOFR + 1.220%)
2.299%
7/21/32
6,200,000
5,478,188
(b)
Bank of America Corp., Senior Notes (2.592% to 4/29/30 then SOFR + 2.150%)
2.592%
4/29/31
3,000,000
2,768,748
(b)
Bank of America Corp., Senior Notes (2.687% to 4/22/31 then SOFR + 1.320%)
2.687%
4/22/32
3,000,000
2,718,046
(b)
Bank of America Corp., Senior Notes (3.974% to 2/7/29 then 3 mo. Term SOFR
+ 1.472%)
3.974%
2/7/30
8,200,000
8,046,769
(b)
Bank of America Corp., Senior Notes (5.468% to 1/23/34 then SOFR + 1.650%)
5.468%
1/23/35
1,000,000
1,019,949
(b)
Bank of America Corp., Subordinated Notes (3.846% to 3/8/32 then 5 year
Treasury Constant Maturity Rate + 2.000%)
3.846%
3/8/37
1,148,000
1,067,160
(b)
Banque Federative du Credit Mutuel SA, Senior Notes
4.541%
1/15/31
2,200,000
2,164,461
(a)
BPCE SA, Senior Notes (2.045% to 10/19/26 then SOFR + 1.087%)
2.045%
10/19/27
3,700,000
3,671,815
(a)(b)
CaixaBank SA, Senior Notes (4.885% to 7/3/30 then SOFR + 1.360%)
4.885%
7/3/31
4,400,000
4,384,983
(a)(b)
Citibank NA, Senior Notes (4.846% to 6/18/31 then SOFR + 0.910%)
4.846%
6/18/32
4,050,000
4,047,995
(b)
Citigroup Inc., Senior Notes (3.057% to 1/25/32 then SOFR + 1.351%)
3.057%
1/25/33
1,800,000
1,631,141
(b)
Citigroup Inc., Subordinated Notes
4.450%
9/29/27
1,500,000
1,497,879
Citigroup Inc., Subordinated Notes
4.125%
7/25/28
2,300,000
2,276,402
Citigroup Inc., Subordinated Notes
4.750%
5/18/46
2,930,000
2,504,702
Danske Bank A/S, Senior Notes (5.705% to 3/1/29 then 1 year Treasury
Constant Maturity Rate + 1.400%)
5.705%
3/1/30
4,000,000
4,092,314
(a)(b)
Fifth Third Bancorp, Senior Notes (4.772% to 7/28/29 then SOFR + 2.127%)
4.772%
7/28/30
3,000,000
2,996,301
(b)
Fifth Third Bancorp, Senior Notes (5.631% to 1/29/31 then SOFR + 1.840%)
5.631%
1/29/32
5,000,000
5,145,689
(b)
HSBC Holdings PLC, Senior Notes (2.013% to 9/22/27 then SOFR + 1.732%)
2.013%
9/22/28
4,100,000
3,973,293
(b)
HSBC Holdings PLC, Senior Notes (2.357% to 8/18/30 then SOFR + 1.947%)
2.357%
8/18/31
1,300,000
1,176,826
(b)
Huntington Bancshares Inc., Senior Notes
2.550%
2/4/30
4,600,000
4,252,800
JPMorgan Chase & Co., Senior Notes (1.953% to 2/4/31 then SOFR + 1.065%)
1.953%
2/4/32
10,300,000
9,068,421
(b)
JPMorgan Chase & Co., Senior Notes (2.522% to 4/22/30 then SOFR +
2.040%)
2.522%
4/22/31
2,000,000
1,843,948
(b)
JPMorgan Chase & Co., Senior Notes (5.336% to 1/23/34 then SOFR +
1.620%)
5.336%
1/23/35
1,300,000
1,319,901
(b)
JPMorgan Chase & Co., Senior Notes (6.087% to 10/23/28 then SOFR +
1.570%)
6.087%
10/23/29
1,550,000
1,597,381
(b)
JPMorgan Chase & Co., Subordinated Notes (2.956% to 5/13/30 then 3 mo.
Term SOFR + 2.515%)
2.956%
5/13/31
5,000,000
4,669,479
(b)
JPMorgan Chase & Co., Subordinated Notes (5.576% to 7/23/35 then SOFR +
1.635%)
5.576%
7/23/36
1,700,000
1,726,541
(b)
Lloyds Banking Group PLC, Senior Notes (5.871% to 3/6/28 then 1 year
Treasury Constant Maturity Rate + 1.700%)
5.871%
3/6/29
3,000,000
3,058,315
(b)
Mizuho Financial Group Inc., Senior Notes (5.778% to 7/6/28 then 1 year
Treasury Constant Maturity Rate + 1.650%)
5.778%
7/6/29
2,700,000
2,758,913
(b)
PNC Financial Services Group Inc., Senior Notes (5.373% to 7/21/35 then SOFR
+ 1.417%)
5.373%
7/21/36
1,940,000
1,958,843
(b)
PNC Financial Services Group Inc., Senior Notes (5.676% to 1/22/34 then SOFR
+ 1.902%)
5.676%
1/22/35
1,050,000
1,082,419
(b)
Truist Financial Corp., Senior Notes (1.887% to 6/7/28 then SOFR + 0.862%)
1.887%
6/7/29
3,000,000
2,847,308
(b)
Truist Financial Corp., Senior Notes (5.153% to 8/5/31 then SOFR + 1.571%)
5.153%
8/5/32
5,000,000
5,038,469
(b)
See Notes to Schedules of Investments.

166
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Banks — continued
Wells Fargo & Co., Senior Notes (2.879% to 10/30/29 then 3 mo. Term SOFR +
1.432%)
2.879%
10/30/30
 $10,300,000
 $9,697,185
(b)
Wells Fargo & Co., Senior Notes (3.350% to 3/2/32 then SOFR + 1.500%)
3.350%
3/2/33
2,000,000
1,838,957
(b)
Wells Fargo & Co., Senior Notes (5.198% to 1/23/29 then SOFR + 1.500%)
5.198%
1/23/30
2,250,000
2,275,559
(b)
Total Banks
118,182,141
Capital Markets — 1.9%
Goldman Sachs Group Inc., Senior Notes (2.383% to 7/21/31 then SOFR +
1.248%)
2.383%
7/21/32
6,300,000
5,569,718
(b)
Goldman Sachs Group Inc., Senior Notes (3.691% to 6/5/27 then 3 mo. Term
SOFR + 1.772%)
3.691%
6/5/28
2,500,000
2,479,055
(b)
Goldman Sachs Group Inc., Senior Notes (5.065% to 1/21/36 then SOFR +
1.190%)
5.065%
1/21/37
1,110,000
1,084,154
(b)
Goldman Sachs Group Inc., Senior Notes (5.094% to 4/20/33 then SOFR +
1.340%)
5.094%
4/20/34
955,000
951,440
(b)
Goldman Sachs Group Inc., Senior Notes (5.425% to 6/3/36 then SOFR +
1.310%)
5.425%
6/3/37
1,155,000
1,159,408
(b)
Jefferies Financial Group Inc., Senior Notes
2.625%
10/15/31
6,000,000
5,227,994
Morgan Stanley, Senior Notes (1.794% to 2/13/31 then SOFR + 1.034%)
1.794%
2/13/32
6,000,000
5,220,628
(b)
Morgan Stanley, Senior Notes (2.239% to 7/21/31 then SOFR + 1.178%)
2.239%
7/21/32
10,000,000
8,774,667
(b)
Morgan Stanley, Senior Notes (2.699% to 1/22/30 then SOFR + 1.143%)
2.699%
1/22/31
2,200,000
2,043,299
(b)
Morgan Stanley, Senior Notes (3.622% to 4/1/30 then SOFR + 3.120%)
3.622%
4/1/31
4,300,000
4,118,688
(b)
Morgan Stanley, Senior Notes (4.493% to 1/16/31 then SOFR + 0.950%)
4.493%
1/16/32
1,670,000
1,637,911
(b)
Morgan Stanley, Senior Notes (4.708% to 3/12/31 then SOFR + 1.195%)
4.708%
3/12/32
2,505,000
2,474,641
(b)
Morgan Stanley, Senior Notes (5.073% to 1/30/36 then SOFR + 1.184%)
5.073%
1/30/37
1,705,000
1,667,993
(b)
Morgan Stanley, Senior Notes (5.466% to 1/18/34 then SOFR + 1.730%)
5.466%
1/18/35
1,000,000
1,015,597
(b)
Morgan Stanley, Senior Notes (5.900% to 3/13/46 then SOFR + 1.782%)
5.900%
3/13/47
1,745,000
1,764,723
(b)
Morgan Stanley, Subordinated Notes (5.948% to 1/19/33 then 5 year Treasury
Constant Maturity Rate + 2.430%)
5.948%
1/19/38
434,000
446,709
(b)
MSCI Inc., Senior Notes
4.000%
11/15/29
6,000,000
5,806,696
(a)
MSCI Inc., Senior Notes
3.250%
8/15/33
4,300,000
3,790,461
(a)
UBS Group AG, Senior Notes (6.246% to 9/22/28 then 1 year Treasury
Constant Maturity Rate + 1.800%)
6.246%
9/22/29
3,400,000
3,507,129
(a)(b)
Total Capital Markets
58,740,911
Consumer Finance — 0.3%
Capital One Financial Corp., Senior Notes (5.463% to 7/26/29 then SOFR +
1.560%)
5.463%
7/26/30
9,000,000
9,149,302
(b)
Financial Services — 1.0%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
3.300%
1/30/32
2,000,000
1,828,665
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
3.400%
10/29/33
3,500,000
3,112,163
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
4.125%
2/28/29
755,000
744,187
Beignet Investor LLC, Senior Secured Notes
6.581%
5/30/49
2,218,000
2,263,798
(a)
Corebridge Financial Inc., Senior Notes
3.900%
4/5/32
1,500,000
1,408,264
Corebridge Financial Inc., Senior Notes
6.050%
9/15/33
2,400,000
2,510,945
Fiserv Inc., Senior Notes
2.650%
6/1/30
4,700,000
4,298,712
Horseshoe Funding Trust I, Senior Notes
6.062%
2/15/36
2,930,000
2,977,610
(a)
LPL Holdings Inc., Senior Notes
4.000%
3/15/29
4,390,000
4,268,925
(a)
See Notes to Schedules of Investments.

167
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Financial Services — continued
SMBC Aviation Capital Finance DAC, Senior Notes
5.100%
4/1/30
 $7,400,000
 $7,442,866
(a)
Total Financial Services
30,856,135
Insurance — 1.2%
Arthur J Gallagher & Co., Senior Notes
5.450%
7/15/34
5,000,000
5,079,129
Athene Global Funding, Senior Secured Notes
2.673%
6/7/31
6,000,000
5,301,834
(a)
Athene Global Funding, Senior Secured Notes
5.543%
8/22/35
4,950,000
4,874,085
(a)
Brown & Brown Inc., Senior Notes
2.375%
3/15/31
7,000,000
6,216,966
Brown & Brown Inc., Senior Notes
5.250%
6/23/32
715,000
716,027
Corebridge Global Funding, Secured Notes
5.900%
9/19/28
2,000,000
2,047,145
(a)
Five Corners Funding Trust II, Senior Notes
2.850%
5/15/30
7,000,000
6,518,394
(a)
Metropolitan Life Global Funding I, Secured Notes
4.300%
8/25/29
1,400,000
1,386,232
(a)
Reinsurance Group of America Inc., Senior Notes
3.900%
5/15/29
2,250,000
2,201,392
Sammons Financial Group Inc., Senior Notes
6.875%
4/15/34
1,250,000
1,338,603
(a)
Total Insurance
35,679,807
 
Total Financials
252,608,296
Health Care — 3.6%
Biotechnology — 0.6%
AbbVie Inc., Senior Notes
4.400%
3/15/33
1,625,000
1,590,538
AbbVie Inc., Senior Notes
4.500%
5/14/35
5,000,000
4,819,775
AbbVie Inc., Senior Notes
4.750%
3/15/36
555,000
543,190
Amgen Inc., Senior Notes
5.250%
3/2/33
3,400,000
3,460,908
Regeneron Pharmaceuticals Inc., Senior Notes
1.750%
9/15/30
8,000,000
7,076,984
Total Biotechnology
17,491,395
Health Care Equipment & Supplies — 0.2%
Medline Borrower LP, Senior Secured Notes
3.875%
4/1/29
6,545,000
6,359,410
(a)
VSP Optical Group Inc., Senior Notes
5.400%
6/1/33
510,000
511,532
(a)
VSP Optical Group Inc., Senior Notes
5.650%
6/1/36
285,000
286,475
(a)
Total Health Care Equipment & Supplies
7,157,417
Health Care Providers & Services — 1.4%
CVS Health Corp., Senior Notes
1.875%
2/28/31
7,065,000
6,198,586
CVS Health Corp., Senior Notes
2.125%
9/15/31
3,000,000
2,623,835
CVS Health Corp., Senior Notes
5.300%
6/1/33
2,000,000
2,029,360
CVS Health Corp., Senior Notes
4.875%
7/20/35
1,400,000
1,357,683
Elevance Health Inc., Senior Notes
2.550%
3/15/31
5,000,000
4,536,659
HCA Inc., Senior Notes
2.375%
7/15/31
4,000,000
3,551,333
HCA Inc., Senior Notes
3.625%
3/15/32
6,500,000
6,052,929
HCA Inc., Senior Notes
4.600%
11/15/32
1,505,000
1,466,327
Humana Inc., Junior Subordinated Notes (6.625% to 9/15/31 then 5 year
Treasury Constant Maturity Rate + 2.891%)
6.625%
9/15/56
2,385,000
2,378,658
(b)
Humana Inc., Senior Notes
5.375%
4/15/31
2,545,000
2,580,225
Icon Investments Six DAC, Senior Secured Notes
5.849%
5/8/29
874,000
893,223
Icon Investments Six DAC, Senior Secured Notes
6.000%
5/8/34
365,000
375,272
Medline Borrower LP/Medline Co-Issuer Inc., Senior Secured Notes
5.250%
6/15/33
1,895,000
1,884,896
(a)
UnitedHealth Group Inc., Senior Notes
2.000%
5/15/30
3,000,000
2,730,802
UnitedHealth Group Inc., Senior Notes
4.500%
4/15/33
2,000,000
1,956,786
See Notes to Schedules of Investments.

168
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Health Care Providers & Services — continued
UnitedHealth Group Inc., Senior Notes
5.150%
7/15/34
 $1,900,000
 $1,917,916
Total Health Care Providers & Services
42,534,490
Life Sciences Tools & Services — 0.2%
Bio-Rad Laboratories Inc., Senior Notes
3.300%
3/15/27
500,000
495,788
IQVIA Inc., Senior Secured Notes
6.250%
2/1/29
5,200,000
5,375,004
Thermo Fisher Scientific Inc., Senior Notes
4.902%
2/12/36
1,475,000
1,458,199
Total Life Sciences Tools & Services
7,328,991
Pharmaceuticals — 1.2%
Bayer US Finance II LLC, Senior Notes
4.375%
12/15/28
5,500,000
5,442,174
(a)
Haleon US Capital LLC, Senior Notes
3.625%
3/24/32
6,500,000
6,090,237
Merck & Co. Inc., Senior Notes
4.450%
12/4/32
805,000
792,587
Merck & Co. Inc., Senior Notes
4.750%
12/4/35
1,295,000
1,269,518
Merck & Co. Inc., Senior Notes
5.200%
5/22/36
1,875,000
1,898,969
Novartis Capital Corp., Senior Notes
4.100%
11/5/30
5,770,000
5,670,207
Novartis Capital Corp., Senior Notes
4.600%
3/18/33
1,555,000
1,541,132
Novartis Capital Corp., Senior Notes
4.900%
3/18/36
1,920,000
1,908,852
Novartis Capital Corp., Senior Notes
5.700%
3/18/56
1,035,000
1,055,430
Pfizer Investment Enterprises Pte Ltd., Senior Notes
4.750%
5/19/33
1,700,000
1,684,183
Royalty Pharma PLC, Senior Notes
2.200%
9/2/30
5,000,000
4,519,655
Royalty Pharma PLC, Senior Notes
2.150%
9/2/31
2,600,000
2,283,841
Royalty Pharma PLC, Senior Notes
5.200%
9/25/35
1,250,000
1,238,986
Total Pharmaceuticals
35,395,771
 
Total Health Care
109,908,064
Industrials — 2.1%
Aerospace & Defense — 1.2%
Avolon Holdings Funding Ltd., Senior Notes
4.900%
10/10/30
2,735,000
2,712,250
(a)
Avolon Holdings Funding Ltd., Senior Notes
4.950%
10/15/32
5,300,000
5,173,962
(a)
Boeing Co., Senior Notes
3.600%
5/1/34
2,000,000
1,800,762
Boeing Co., Senior Notes
6.528%
5/1/34
5,000,000
5,441,371
Boeing Co., Senior Notes
3.500%
3/1/39
5,000,000
4,080,214
Boeing Co., Senior Notes
6.875%
3/15/39
2,800,000
3,135,239
Boeing Co., Senior Notes
3.900%
5/1/49
1,320,000
991,320
Boeing Co., Senior Notes
3.950%
8/1/59
1,465,000
1,047,437
Honeywell Aerospace Inc., Senior Notes
4.600%
3/16/33
1,090,000
1,070,335
(a)
Honeywell Aerospace Inc., Senior Notes
4.950%
3/16/36
2,180,000
2,147,530
(a)
Honeywell Aerospace Inc., Senior Notes
5.732%
3/16/56
1,240,000
1,240,816
(a)
Honeywell Aerospace Inc., Senior Notes
5.852%
3/16/66
835,000
841,982
(a)
Howmet Aerospace Inc., Senior Notes
4.850%
10/15/31
4,350,000
4,366,435
Howmet Aerospace Inc., Senior Notes
4.550%
11/15/32
2,500,000
2,461,470
Howmet Aerospace Inc., Senior Notes
4.750%
4/15/36
45,000
43,808
Total Aerospace & Defense
36,554,931
Building Products — 0.2%
Carlisle Cos. Inc., Senior Notes
5.250%
9/15/35
705,000
703,351
Owens Corning, Senior Notes
5.700%
6/15/34
7,000,000
7,237,417
Total Building Products
7,940,768
See Notes to Schedules of Investments.

169
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Commercial Services & Supplies — 0.1%
Waste Connections Inc., Senior Notes
4.800%
7/15/36
 $2,040,000
 $1,985,877
Electrical Equipment — 0.2%
Eaton Corp., Senior Notes
4.800%
3/6/36
1,700,000
1,668,552
Regal Rexnord Corp., Senior Notes
6.400%
4/15/33
2,207,000
2,343,686
Vertiv Holdings Co., Senior Notes
4.850%
3/15/36
2,865,000
2,783,625
Vertiv Holdings Co., Senior Notes
5.800%
3/15/56
665,000
654,969
Total Electrical Equipment
7,450,832
Ground Transportation — 0.1%
Burlington Northern Santa Fe LLC, Senior Notes
5.550%
3/15/56
2,940,000
2,881,367
Machinery — 0.2%
Ingersoll Rand Inc., Senior Notes
5.700%
8/14/33
3,000,000
3,121,142
Westinghouse Air Brake Technologies Corp., Senior Notes
4.700%
9/15/28
2,000,000
2,002,131
Total Machinery
5,123,273
Passenger Airlines — 0.1%
American Airlines Group Inc. Pass-Through Trust
3.250%
10/15/28
3,239,604
3,097,019
United Airlines Inc. Pass-Through Trust
5.875%
10/15/27
31,115
31,499
United Airlines Inc. Pass-Through Trust
2.900%
5/1/28
699,683
671,700
Total Passenger Airlines
3,800,218
 
Total Industrials
65,737,266
Information Technology — 2.3%
Communications Equipment — 0.2%
Motorola Solutions Inc., Senior Notes
5.400%
4/15/34
7,000,000
7,089,747
Electronic Equipment, Instruments & Components — 0.2%
Amphenol Corp., Senior Notes
4.400%
2/15/33
3,095,000
3,010,291
Flex Ltd., Senior Notes
4.875%
5/12/30
3,000,000
2,995,928
Total Electronic Equipment, Instruments & Components
6,006,219
Semiconductors & Semiconductor Equipment — 1.1%
Broadcom Inc., Senior Notes
4.950%
1/15/36
1,310,000
1,287,163
Broadcom Inc., Senior Notes
5.700%
1/15/56
195,000
193,620
Foundry JV Holdco LLC, Senior Secured Notes
5.500%
1/25/31
2,000,000
2,045,847
(a)
Foundry JV Holdco LLC, Senior Secured Notes
5.900%
1/25/33
1,530,000
1,595,914
(a)
Foundry JV Holdco LLC, Senior Secured Notes
6.250%
1/25/35
3,600,000
3,825,030
(a)
Foundry JV Holdco LLC, Senior Secured Notes
6.400%
1/25/38
1,415,000
1,515,061
(a)
Intel Corp., Senior Notes
4.150%
8/5/32
4,600,000
4,412,826
Intel Corp., Senior Notes
5.300%
5/15/36
1,393,247
1,386,915
Intel Corp., Senior Notes
6.125%
5/15/56
856,432
855,928
Marvell Technology Inc., Senior Notes
4.750%
7/15/30
6,000,000
5,988,345
Marvell Technology Inc., Senior Notes
5.300%
4/15/36
590,000
587,285
NVIDIA Corp., Senior Notes
4.750%
6/15/33
2,455,000
2,448,695
NVIDIA Corp., Senior Notes
4.950%
6/15/36
2,455,000
2,434,421
NVIDIA Corp., Senior Notes
5.550%
6/15/46
3,315,000
3,292,340
NVIDIA Corp., Senior Notes
5.625%
6/15/56
2,210,000
2,195,232
Total Semiconductors & Semiconductor Equipment
34,064,622
Software — 0.7%
Oracle Corp., Senior Notes
4.950%
2/4/31
375,000
367,212
Oracle Corp., Senior Notes
2.875%
3/25/31
5,000,000
4,468,472
See Notes to Schedules of Investments.

170
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Software — continued
Oracle Corp., Senior Notes
4.800%
9/26/32
 $950,000
 $904,321
Oracle Corp., Senior Notes
3.900%
5/15/35
1,583,000
1,343,646
Oracle Corp., Senior Notes
5.700%
2/4/36
1,502,000
1,455,147
Oracle Corp., Senior Notes
6.700%
2/4/56
1,010,000
951,210
Sabine Pass Liquefaction LLC, Senior Secured Notes
4.200%
3/15/28
1,000,000
993,522
Salesforce Inc., Senior Notes
5.200%
3/15/33
3,715,000
3,722,575
Synopsys Inc., Senior Notes
5.000%
4/1/32
4,265,000
4,273,969
Synopsys Inc., Senior Notes
5.150%
4/1/35
2,020,000
2,009,380
Total Software
20,489,454
Technology Hardware, Storage & Peripherals — 0.1%
Dell International LLC/EMC Corp., Senior Notes
4.750%
7/15/31
645,000
641,258
Dell International LLC/EMC Corp., Senior Notes
5.250%
2/15/37
2,415,000
2,378,371
Hewlett Packard Enterprise Co., Senior Notes
4.850%
10/15/31
1,100,000
1,095,760
Total Technology Hardware, Storage & Peripherals
4,115,389
 
Total Information Technology
71,765,431
Materials — 0.6%
Chemicals — 0.0%††
Syensqo Finance America LLC, Senior Notes
5.850%
6/4/34
1,400,000
1,432,460
(a)
Containers & Packaging — 0.2%
Amcor Flexibles North America Inc., Senior Notes
2.630%
6/19/30
3,500,000
3,234,981
AptarGroup Inc., Senior Notes
4.750%
3/30/31
1,685,000
1,669,584
Total Containers & Packaging
4,904,565
Metals & Mining — 0.3%
Anglo American Capital PLC, Senior Notes
5.000%
3/21/33
2,320,000
2,302,542
(a)
Glencore Funding LLC, Senior Notes
6.375%
10/6/30
2,930,000
3,089,365
(a)
Glencore Funding LLC, Senior Notes
5.508%
4/1/36
2,335,000
2,350,154
(a)
Total Metals & Mining
7,742,061
Paper & Forest Products — 0.1%
Georgia-Pacific LLC, Senior Notes
4.900%
5/15/33
3,915,000
3,895,544
(a)
 
Total Materials
17,974,630
Real Estate — 0.8%
Diversified REITs — 0.4%
Equinix Asia Financing Corp. Pte Ltd., Senior Notes
4.400%
3/15/31
2,930,000
2,864,750
Essex Portfolio LP, Senior Notes
2.650%
3/15/32
4,000,000
3,551,593
VICI Properties LP, Senior Notes
4.950%
2/15/30
5,000,000
4,987,461
VICI Properties LP/VICI Note Co. Inc., Senior Notes
3.875%
2/15/29
2,000,000
1,943,562
(a)
Total Diversified REITs
13,347,366
Real Estate Management & Development — 0.1%
Beacon Point DC LLC, Senior Secured Notes
6.129%
11/30/42
1,335,000
1,347,003
(a)
Specialized REITs — 0.3%
American Tower Corp., Senior Notes
4.700%
12/15/32
1,010,000
993,883
American Tower Corp., Senior Notes
5.350%
3/15/35
7,750,000
7,803,571
Total Specialized REITs
8,797,454
 
Total Real Estate
23,491,823
See Notes to Schedules of Investments.

171
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Utilities — 3.8%
Electric Utilities — 3.6%
American Electric Power Co. Inc., Junior Subordinated Notes (5.800% to
3/15/31 then 5 year Treasury Constant Maturity Rate + 2.128%)
5.800%
3/15/56
 $2,735,000
 $2,721,160
(b)
American Electric Power Co. Inc., Junior Subordinated Notes (6.050% to
3/15/36 then 5 year Treasury Constant Maturity Rate + 1.940%)
6.050%
3/15/56
910,000
905,164
(b)
Constellation Energy Generation LLC, Senior Notes
4.400%
1/15/31
1,180,000
1,160,397
Constellation Energy Generation LLC, Senior Notes
5.800%
3/1/33
9,300,000
9,710,248
Constellation Energy Generation LLC, Senior Notes
6.125%
1/15/34
1,050,000
1,115,435
DTE Electric Co., First Mortgage Bonds
4.850%
3/1/36
1,650,000
1,613,279
DTE Electric Co., Senior Secured Bonds
5.250%
5/15/35
800,000
809,565
Duke Energy Corp., Senior Notes
2.450%
6/1/30
3,900,000
3,592,181
Duke Energy Corp., Senior Notes
3.750%
9/1/46
5,000,000
3,754,789
Duke Energy Indiana LLC, First Mortgage Bonds
4.950%
3/15/36
1,255,000
1,234,092
Duke Energy Ohio Inc., First Mortgage Bonds
5.250%
4/1/33
500,000
509,094
Electricite de France SA, Senior Notes
5.700%
5/23/28
600,000
611,268
(a)
ENEL Finance International NV, Senior Notes
3.500%
4/6/28
2,700,000
2,650,409
(a)
ENEL Finance International NV, Senior Notes
2.500%
7/12/31
3,500,000
3,118,586
(a)
Entergy Mississippi LLC, First Mortgage Bonds
5.050%
4/15/36
1,760,000
1,731,040
Exelon Corp., Senior Notes
4.050%
4/15/30
4,500,000
4,393,787
NextEra Energy Capital Holdings Inc., Senior Notes
5.300%
3/15/32
4,010,000
4,088,007
NextEra Energy Capital Holdings Inc., Senior Notes
5.050%
2/28/33
5,000,000
5,020,670
NextEra Energy Capital Holdings Inc., Senior Notes
5.450%
3/15/35
6,000,000
6,093,562
NextEra Energy Capital Holdings Inc., Senior Notes (6.000% to 10/1/31 then 5
year Treasury Constant Maturity Rate + 1.840%)
6.000%
10/1/56
1,465,000
1,467,388
(b)
Pacific Gas and Electric Co., First Mortgage Bonds
5.050%
11/15/31
1,755,000
1,753,768
Pacific Gas and Electric Co., First Mortgage Bonds
5.200%
5/1/36
830,000
806,499
Pacific Gas and Electric Co., Senior Secured Notes
3.250%
6/1/31
5,000,000
4,614,011
Southern Co., Senior Notes
3.700%
4/30/30
6,000,000
5,799,836
Southern Power Co., Senior Notes
4.900%
10/1/35
2,790,000
2,707,891
Virginia Electric and Power Co., Senior Notes
5.000%
4/1/33
9,000,000
9,049,028
Virginia Electric and Power Co., Senior Notes
4.900%
9/15/35
6,640,000
6,502,034
Virginia Electric and Power Co., Senior Notes
4.950%
3/15/36
3,185,000
3,118,770
Virginia Electric and Power Co., Senior Notes
3.800%
9/15/47
1,600,000
1,223,158
Vistra Operations Co. LLC, Senior Notes
4.300%
7/15/29
7,000,000
6,861,055
(a)
Vistra Operations Co. LLC, Senior Notes
5.250%
10/15/35
1,075,000
1,046,189
(a)
Xcel Energy Inc., Senior Notes
4.600%
6/1/32
7,500,000
7,368,475
Xcel Energy Inc., Senior Notes
5.450%
8/15/33
3,300,000
3,363,274
Total Electric Utilities
110,514,109
Multi-Utilities — 0.1%
Public Service Enterprise Group Inc., Senior Notes
2.450%
11/15/31
5,000,000
4,436,207
Water Utilities — 0.1%
Essential Utilities Inc., Senior Notes
5.125%
3/15/36
1,965,000
1,937,833
 
Total Utilities
116,888,149
Total Corporate Bonds & Notes (Cost — $949,985,294)
944,040,058
See Notes to Schedules of Investments.

172
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Mortgage-Backed Securities — 25.9%
FHLMC — 3.0%
Federal Home Loan Mortgage Corp. (FHLMC)
1.500%
7/1/36
 $11,376,493
 $10,160,476
Federal Home Loan Mortgage Corp. (FHLMC)
2.000%
4/1/37-
8/1/52
51,189,387
42,315,640
Federal Home Loan Mortgage Corp. (FHLMC)
3.000%
4/1/37-
9/1/52
25,137,302
22,351,239
Federal Home Loan Mortgage Corp. (FHLMC)
2.500%
5/1/37-
7/1/52
11,158,558
9,630,593
Federal Home Loan Mortgage Corp. (FHLMC)
4.000%
12/1/39
2,207,220
2,146,391
Federal Home Loan Mortgage Corp. (FHLMC)
4.500%
10/1/40
879,372
869,793
Federal Home Loan Mortgage Corp. (FHLMC) Gold
4.000%
6/1/48
3,712,497
3,529,082
Total FHLMC
91,003,214
FNMA — 17.9%
Federal National Mortgage Association (FNMA)
2.000%
5/1/36-
3/1/52
50,400,807
41,367,830
Federal National Mortgage Association (FNMA)
2.500%
7/1/37-
5/1/52
45,789,718
39,047,961
Federal National Mortgage Association (FNMA)
3.000%
9/1/37-
3/1/53
26,621,568
23,704,724
Federal National Mortgage Association (FNMA)
3.500%
12/1/39
482,079
459,696
Federal National Mortgage Association (FNMA)
4.500%
7/1/47
183,127
179,542
Federal National Mortgage Association (FNMA)
6.000%
8/1/53
4,930,038
5,063,786
Federal National Mortgage Association (FNMA)
2.000%
8/1/56
41,030,000
32,759,694
(d)
Federal National Mortgage Association (FNMA)
2.500%
8/1/56
39,280,000
32,814,143
(d)
Federal National Mortgage Association (FNMA)
3.500%
8/1/56
45,160,000
40,945,655
(d)
Federal National Mortgage Association (FNMA)
4.000%
8/1/56
33,140,000
30,954,752
(d)
Federal National Mortgage Association (FNMA)
4.500%
8/1/56
87,330,000
83,594,595
(d)
Federal National Mortgage Association (FNMA)
5.000%
8/1/56
63,620,000
62,447,119
(d)
Federal National Mortgage Association (FNMA)
5.500%
8/1/56
50,200,000
50,293,729
(d)
Federal National Mortgage Association (FNMA)
6.000%
8/1/56
63,800,000
65,017,608
(d)
Federal National Mortgage Association (FNMA)
6.500%
8/1/56
39,110,000
40,412,856
(d)
Total FNMA
549,063,690
GNMA — 5.0%
Government National Mortgage Association (GNMA) II
3.000%
4/20/45-
6/20/52
25,701,454
23,011,030
Government National Mortgage Association (GNMA) II
2.500%
9/20/46-
6/20/52
31,682,057
27,126,230
Government National Mortgage Association (GNMA) II
3.500%
10/20/47-
6/20/55
15,270,131
13,893,591
Government National Mortgage Association (GNMA) II
2.000%
10/20/50-
5/20/52
24,128,435
19,838,506
Government National Mortgage Association (GNMA) II
4.000%
6/20/52-
11/20/52
10,703,193
10,060,700
Government National Mortgage Association (GNMA) II
4.500%
5/20/53-
1/20/55
12,837,384
12,409,651
Government National Mortgage Association (GNMA) II
5.500%
5/20/53-
10/20/55
17,601,135
17,752,941
See Notes to Schedules of Investments.

173
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
GNMA — continued
Government National Mortgage Association (GNMA) II
5.000%
9/20/53-
6/20/55
 $17,117,971
 $16,925,105
Government National Mortgage Association (GNMA) II
6.000%
5/20/55-
9/20/55
9,083,091
9,287,602
Government National Mortgage Association (GNMA) II
6.500%
5/20/55
1,342,334
1,391,994
Total GNMA
151,697,350
 
Total Mortgage-Backed Securities (Cost — $808,773,291)
791,764,254
Collateralized Mortgage Obligations(e) — 12.0%
1301 Trust, 2025-1301 A
5.227%
8/11/42
4,000,000
3,998,808
(a)(b)
BANK, 2019-BN18 A2
3.474%
5/15/62
1,397,720
1,357,155
BANK, 2022-BNK40 A4
3.502%
3/15/64
2,800,000
2,594,484
(b)
BANK5, 2025-5YR15 XA, IO
1.438%
7/15/58
45,751,153
1,979,076
(b)
BANK5, 2025-5YR17 AS
5.626%
11/15/58
2,219,000
2,249,734
(b)
BANK5, 2025-5YR19 B
5.812%
12/15/58
3,148,000
3,198,431
(b)
BANK5, 2026-5YR20 AS
5.336%
2/15/59
1,721,000
1,726,252
Barclays Commercial Mortgage Trust, 2019-C3 A2
3.438%
5/15/52
963,958
945,939
BBCMS Mortgage Trust, 2025-5C37 AS
5.382%
9/15/58
4,118,000
4,138,793
(b)
BBCMS Mortgage Trust, 2026-5C40 B
5.780%
2/15/59
3,056,000
3,088,774
(b)
BBCMS Mortgage Trust, 2026-5C41 XA, IO
1.375%
5/15/69
49,686,172
2,464,235
(b)
BBCMS Mortgage Trust, 2026-5C42 AS
5.902%
6/15/59
4,268,000
4,393,856
BBCMS Mortgage Trust, 2026-5C42 XA, IO
1.136%
6/15/59
42,720,000
2,130,382
(b)
Benchmark Mortgage Trust, 2019-B13 A2
2.889%
8/15/57
3,771,599
3,645,792
Benchmark Mortgage Trust, 2019-B14 A2
2.915%
12/15/62
1,735,349
1,690,846
Benchmark Mortgage Trust, 2019-B15 A2
2.914%
12/15/72
2,784,475
2,746,030
Benchmark Mortgage Trust, 2020-B17 A2
2.211%
3/15/53
2,491,010
2,358,622
Benchmark Mortgage Trust, 2022-B32 A5
3.002%
1/15/55
5,560,000
4,936,273
(b)
Benchmark Mortgage Trust, 2025-V16 B
6.339%
8/15/58
3,978,000
4,077,381
(b)
Benchmark Mortgage Trust, 2025-V17 AM
5.425%
9/15/58
1,809,000
1,819,605
(b)
Benchmark Mortgage Trust, 2025-V18 XA, IO
1.472%
10/15/58
24,554,348
1,164,627
(a)(b)
Benchmark Mortgage Trust, 2025-V19 XA, IO
1.314%
1/15/58
85,000,000
3,685,421
(b)
Benchmark Mortgage Trust, 2026-V20 AM
5.436%
2/15/59
2,599,000
2,618,327
Benchmark Mortgage Trust, 2026-V21 AS
5.506%
3/15/59
3,013,000
3,039,744
Benchmark Mortgage Trust, 2026-V21 XA, IO
1.648%
3/15/59
26,094,267
1,540,363
(b)
BIKE Pass-Through Trust, 2026-BAND A (1 mo. Term SOFR + 2.150%)
5.780%
7/15/43
2,750,000
2,754,025
(a)(b)
BMO Mortgage Trust, 2024-5C8 AS
5.940%
12/15/57
3,280,000
3,350,709
(b)
BMO Mortgage Trust, 2025-5C11 AS
5.938%
7/15/58
3,850,000
3,922,585
BMO Mortgage Trust, 2025-5C11 XA, IO
1.332%
7/15/58
80,104,702
3,206,527
(b)
BMO Mortgage Trust, 2026-5C15 XA, IO
1.083%
6/25/59
46,549,000
2,201,707
(b)
BRCK Trust, 2025-830B A
4.956%
12/10/42
4,242,000
4,202,360
(a)(b)
BX Commercial Mortgage Trust, 2026-CSMO A (1 mo. Term SOFR + 1.400%)
5.025%
2/15/43
4,278,000
4,293,247
(a)(b)
BX Mortgage Trust, 2021-PAC A (1 mo. Term SOFR + 0.804%)
4.429%
10/15/36
3,090,000
3,089,863
(a)(b)
BX Trust, 2022-IND A (1 mo. Term SOFR + 1.491%)
5.116%
4/15/37
1,447,170
1,448,998
(a)(b)
BX Trust, 2025-ARIA B
5.350%
12/13/42
2,334,000
2,331,727
(a)(b)
BX Trust, 2025-VOLT A (1 mo. Term SOFR + 1.700%)
5.325%
12/15/44
1,519,000
1,522,929
(a)(b)
BX Trust, 2026-CLS A (1 mo. Term SOFR + 1.400%)
5.025%
5/15/43
2,887,000
2,896,007
(a)(b)
Cantor Commercial Real Estate Lending, 2019-CF3 A2
2.942%
1/15/53
765,252
727,028
See Notes to Schedules of Investments.

174
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Collateralized Mortgage Obligations(e) — continued
CD Mortgage Trust, 2016-CD1 A4
2.724%
8/10/49
 $2,268,322
 $2,258,715
CFCRE Commercial Mortgage Trust, 2016-C7 A3
3.839%
12/10/54
1,870,000
1,862,232
CGMS Commercial Mortgage Trust, 2017-B1 AS
3.711%
8/15/50
2,092,000
2,053,373
(b)
Citigroup Commercial Mortgage Trust, 2016-C3 AS
3.366%
11/15/49
4,357,000
4,225,151
(b)
Citigroup Commercial Mortgage Trust, 2018-C5 AS
4.408%
6/10/51
2,125,000
2,092,050
(b)
Citigroup Commercial Mortgage Trust, 2020-GC46 A2
2.708%
2/15/53
1,693,994
1,605,686
Commercial Mortgage Trust, 2025-SBX A
5.432%
8/10/41
1,935,000
1,923,627
(a)(b)
CSAIL Commercial Mortgage Trust, 2017-CX10 A3
3.398%
11/15/50
629,139
628,658
CSTL Commercial Mortgage Trust, 2025-GATE2 A
4.712%
11/10/42
1,671,000
1,640,936
(a)(b)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5391 FA (30 Day Average
SOFR + 1.200%)
4.828%
3/25/54
6,950,322
7,012,079
(b)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5397 NF (30 Day Average
SOFR + 1.050%)
4.678%
4/25/54
10,569,720
10,655,264
(b)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5419 AF (30 Day Average
SOFR + 1.100%)
4.728%
6/25/54
4,036,887
4,077,817
(b)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5526 FB (30 Day Average
SOFR + 1.050%)
4.678%
9/25/54
9,020,406
9,098,600
(b)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5601 FC (30 Day Average
SOFR + 1.050%)
4.678%
11/25/55
5,014,092
5,056,146
(b)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, Structured Agency Credit
Risk Trust, 2021-HQA4 M2 (30 Day Average SOFR + 2.350%)
5.978%
12/25/41
9,791,908
9,844,711
(a)(b)
Federal National Mortgage Association (FNMA) — CAS, 2026-R03 2A1 (30
Day Average SOFR + 1.100%)
4.728%
4/25/46
8,927,143
8,954,845
(a)(b)
Federal National Mortgage Association (FNMA) REMIC, 2025-55 FG (30 Day
Average SOFR + 1.100%)
4.728%
7/25/55
16,406,408
16,562,583
(b)
Federal National Mortgage Association (FNMA) REMIC, 2026-43 FD (30 Day
Average SOFR + 0.930%)
4.558%
6/25/56
6,826,376
6,852,569
(b)
Government National Mortgage Association (GNMA), 2025-169 FB (30 Day
Average SOFR + 1.000%)
4.609%
10/20/55
11,427,072
11,515,417
(b)
GS Mortgage Securities Corp. Trust, 2017-375H A
3.591%
9/10/37
3,250,000
3,162,352
(a)(b)
GS Mortgage Securities Trust, 2016-GS2 A4
3.050%
5/10/49
40,565
40,513
GS Mortgage Securities Trust, 2019-GC42 A2
2.933%
9/10/52
3,651,546
3,493,145
GS Mortgage-Backed Securities Trust, 2025-NQM2 A1
5.648%
6/25/65
9,628,021
9,639,505
(a)
GS Mortgage-Backed Securities Trust, 2025-PJ10 A27 (30 Day Average SOFR +
1.350%)
4.978%
4/25/56
12,584,991
12,617,116
(a)(b)
Hudson Yards Mortgage Trust, 2026-10HY A
5.086%
12/10/39
1,902,000
1,911,200
(a)(b)
JPMDB Commercial Mortgage Securities Trust, 2019-COR6 A2
2.946%
11/13/52
2,969,260
2,893,944
JPMorgan Chase Commercial Mortgage Securities Trust, 2016-JP3 AS
3.144%
8/15/49
2,896,000
2,817,101
JPMorgan Mortgage Trust, 2025-NQM1 A1
5.591%
6/25/65
1,593,363
1,592,884
(a)
JPMorgan Mortgage Trust, 2026-NQX1 A1
5.500%
7/25/66
12,957,909
12,918,767
(a)(b)
JPMorgan Mortgage Trust, 2026-NQX2 A1
5.628%
10/25/66
2,290,000
2,295,436
(a)(b)
MAD Commercial Mortgage Trust, 2025-11MD A
4.912%
10/15/42
3,418,000
3,390,778
(a)(b)
MAD Commercial Mortgage Trust, 2025-11MD C
5.818%
10/15/42
4,149,000
4,169,506
(a)(b)
MAD Commercial Mortgage Trust, 2025-11MD D
6.571%
10/15/42
1,425,000
1,437,474
(a)(b)
Morgan Stanley Bank of America Merrill Lynch Trust, 2015-C22 AS
3.561%
4/15/48
4,100,000
3,959,005
Morgan Stanley Bank of America Merrill Lynch Trust, 2025-5C2 AS
5.384%
11/15/58
1,763,000
1,769,961
Morgan Stanley Capital I Trust, 2016-BNK2, A4
3.049%
11/15/49
3,139,000
3,097,560
See Notes to Schedules of Investments.

175
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Collateralized Mortgage Obligations(e) — continued
OBX Trust, 2026-INV3 AF2 (30 Day Average SOFR + 1.350%)
4.978%
4/25/56
 $9,543,151
 $9,548,018
(a)(b)
One Bryant Park Trust, 2019-OBP A
2.516%
9/15/54
2,333,000
2,155,636
(a)
Onity Loan Investment Trust, 2026-HB3 A
3.000%
6/25/39
4,752,000
4,654,950
(a)(b)
PMT Loan Trust, 2025-INV10 A36 (30 Day Average SOFR + 1.350%)
4.978%
10/1/56
14,060,911
14,082,305
(a)(b)
Radian Mortgage Capital Trust, 2025-J4 A25 (30 Day Average SOFR + 1.550%)
5.178%
3/25/56
5,937,288
5,959,556
(a)(b)
SCG Commercial Mortgage Trust, 2025-FLWR A (1 mo. Term SOFR + 1.250%)
4.875%
8/15/42
3,000,000
3,005,307
(a)(b)
SDR Commercial Mortgage Trust, 2024-DSNY A (1 mo. Term SOFR + 1.392%)
5.017%
5/15/39
2,322,000
2,327,656
(a)(b)
SHRN Trust, 2025-MF18 A (1 mo. Term SOFR + 1.200%)
4.825%
10/15/40
4,132,000
4,134,242
(a)(b)
SYCA Commercial Mortgage Trust, 2025-WAG A
5.433%
11/10/42
3,000,000
2,977,247
(a)(b)
UBS Commercial Mortgage Trust, 2017-C3 A2
2.998%
8/15/50
4,858,939
4,785,879
UBS Commercial Mortgage Trust, 2019-C18 A2
2.994%
12/15/52
6,157,009
6,088,289
Verus Securitization Trust, 2026-R5 A1
5.457%
3/25/68
3,671,000
3,675,760
(a)(b)
VRTX Trust, 2025-HQ A
5.090%
8/5/42
1,692,000
1,661,637
(a)(b)
Wells Fargo Commercial Mortgage Trust, 2016-LC24 AS
3.367%
10/15/49
5,403,790
5,361,505
Wells Fargo Commercial Mortgage Trust, 2025-5C5 XA, IO
1.532%
7/15/58
65,128,631
3,016,172
(b)
Wells Fargo Commercial Mortgage Trust, 2026-5C8 AS
5.250%
3/15/59
4,308,000
4,292,648
Wells Fargo Commercial Mortgage Trust, 2026-5C8 XA, IO
1.584%
3/15/59
71,178,912
3,908,156
(b)
Wells Fargo Commercial Mortgage Trust, 2026-5C10 XA, IO
0.985%
6/15/59
68,291,000
3,259,973
(b)
 
Total Collateralized Mortgage Obligations (Cost — $368,678,672)
367,558,304
Asset-Backed Securities — 7.7%
Balboa Bay Loan Funding Ltd., 2022-1A AR (3 mo. Term SOFR + 1.190%)
4.865%
4/20/37
16,500,000
16,520,041
(a)(b)
Barings CLO Ltd., 2024-3A A (3 mo. Term SOFR + 1.400%)
5.075%
7/20/37
15,000,000
15,008,253
(a)(b)
Barrow Hanley CLO Ltd., 2024-3A AR (3 mo. Term SOFR + 1.270%)
4.891%
4/20/38
14,500,000
14,520,151
(a)(b)
Birch Grove CLO Ltd., 19A A1RR (3 mo. Term SOFR + 1.590%)
5.270%
7/17/37
11,020,000
11,051,421
(a)(b)
BlueMountain CLO Ltd., 2020-29A AR2 (3 mo. Term SOFR + 1.050%)
4.685%
7/25/34
9,000,000
9,004,352
(a)(b)
BofA Auto Trust, 2026-1A A3
4.180%
10/15/30
5,379,000
5,346,748
(a)
CarMax Auto Owner Trust, 2026-2 A2A
4.110%
8/15/29
8,824,000
8,808,882
CarMax Auto Owner Trust, 2026-2 A3
4.220%
6/16/31
5,415,000
5,387,162
Chase Auto Owner Trust, 2026-1A A3
4.530%
6/25/31
8,856,000
8,872,524
(a)
Columbia Cent CLO Ltd., 2024-33A A1R (3 mo. Term SOFR + 1.260%)
4.878%
4/20/37
15,000,000
15,012,841
(a)(b)
Compass Datacenters Issuer LLC, 2024-1A A1
5.250%
2/25/49
4,724,000
4,745,050
(a)
Compass Datacenters Issuer LLC, 2025-2A A1
4.926%
11/25/50
5,921,000
5,801,094
(a)
Compass Datacenters Issuer LLC, 2026-1A A21
4.897%
2/25/56
1,478,000
1,461,728
(a)
Ford Credit Floorplan Master Owner Trust A, 2026-1 A
4.420%
5/15/31
17,683,000
17,661,147
GM Financial Consumer Automobile Receivables Trust, 2026-2 A3
4.150%
8/18/31
6,482,000
6,446,456
Hyundai Auto Receivables Trust, 2026-B A3
4.510%
2/18/31
4,127,000
4,139,845
Invesco CLO Ltd., 2021-2A AR (3 mo. Term SOFR + 1.100%)
4.773%
7/15/34
9,250,000
9,259,264
(a)(b)
Iskandar Enterprise LLC, 2026-1A A21
5.049%
4/17/56
10,919,000
10,868,180
(a)
JPMorgan Mortgage Trust, 2026-HE1 A1 (30 Day Average SOFR + 1.250%)
4.859%
9/20/56
1,497,953
1,504,402
(a)(b)
Mountain View CLO Ltd., 2019-2A A1R2 (3 mo. Term SOFR + 1.290%)
4.918%
7/15/37
14,600,000
14,607,198
(a)(b)
New Economy Assets - Phase 1 Sponsor LLC, 2021-1 A1
1.910%
10/20/61
6,660,000
5,505,322
(a)
PK ALIFT Loan Funding LP, 2024-1 A1
5.842%
9/15/39
1,653,889
1,675,698
(a)
PK ALIFT Loan Funding LP, 2026-1 A
4.614%
9/15/43
250,000
246,504
(a)
RCKT Mortgage Trust, 2024-CES7 A1A
5.158%
10/25/44
4,110,668
4,101,057
(a)
Towd Point Mortgage Trust, 2025-HE2 A1A (30 Day Average SOFR + 1.350%)
4.978%
9/25/65
9,492,016
9,509,258
(a)(b)
Toyota Auto Receivables Owner Trust, 2026-B A3
4.130%
12/16/30
8,292,000
8,249,095
See Notes to Schedules of Investments.

176
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Asset-Backed Securities — continued
Whetstone Park CLO Ltd., 2021-1A A1R (3 mo. Term SOFR + 1.070%)
4.745%
1/20/35
 $10,000,000
 $10,006,596
(a)(b)
World Omni Auto Receivables Trust, 2026-B A3
4.370%
6/16/31
10,777,000
10,763,506
 
Total Asset-Backed Securities (Cost — $237,436,341)
236,083,775
Municipal Bonds — 1.2%
California — 0.8%
California State Health Facilities Financing Authority Revenue, Series 2022
4.190%
6/1/37
2,525,000
2,362,134
California State, GO, Various Purpose, Refunding
4.350%
11/1/32
3,115,000
3,083,500
Fresno County, CA, Revenue, Series A, NATL
0.000%
8/15/32
1,490,000
1,116,537
Orange City, CA, Revenue, Series 2021,Refunding
2.650%
6/1/34
1,135,000
969,381
Pomona City, CA, Revenue, Series B
3.716%
8/1/40
690,000
586,744
San Bernardino, CA, Community College District, GO:
Refunding
2.686%
8/1/41
6,140,000
4,649,169
Refunding
2.856%
8/1/49
3,575,000
2,373,716
Tulare County, CA, Revenue, Series 2018
4.445%
6/1/37
2,290,000
2,175,180
Whittier, CA, City School District, GO, Refunding
3.306%
8/1/43
7,500,000
6,147,849
Total California
23,464,210
Florida — 0.1%
 
Florida State Board of Administration Finance Corp. Revenue, Series A
5.526%
7/1/34
2,205,000
2,294,862
Georgia — 0.0%††
 
Georgia State Higher Education Facilities Authority Revenue, USG Real Estate
Foundation XIV LLC Project, Series A
5.273%
1/1/40
535,000
536,749
Illinois — 0.1%
 
Illinois State, GO, Series A
4.954%
4/1/33
2,080,000
2,087,986
New Jersey — 0.0%††
 
New Jersey State Transportation Trust Fund Authority, Build America Bond,
Series B
6.561%
12/15/40
460,000
504,610
New York — 0.0%††
 
New York City, NY, TFA, Future Tax Secured Subordinated Revenue, Series F,
Subseries F-2
4.660%
2/1/36
1,675,000
1,638,354
Ohio — 0.1%
Greenville, OH, City School District, Refunding, SD Credit Program
3.541%
1/1/51
1,295,000
984,692
Jobs Ohio Beverage System, OH, Statewide Senior Lien Liquor Profit, Revenue,
Series A, Refunding
2.833%
1/1/38
1,375,000
1,158,948
(f)
Total Ohio
2,143,640
Pennsylvania — 0.1%
Pennsylvania State Economic Development Financing Authority Revenue,
Economic Development and Infrastructure Program, Series 2025
5.689%
6/1/54
1,615,000
1,620,052
Philadelphia, PA, Redevelopment Authority, City Service Agreement Revenue,
Series A
5.002%
11/1/38
2,520,000
2,488,148
Total Pennsylvania
4,108,200
 
Total Municipal Bonds (Cost — $41,671,267)
36,778,611
 
 
 
 
Shares
 
Investments in Underlying Funds — 0.4%
Franklin Templeton ETF Trust — Franklin Ultra Short Bond ETF
(Cost — $12,280,970)
490,650
12,283,423
(g)
Total Investments before Short-Term Investments (Cost — $3,439,102,420)
3,367,787,999
See Notes to Schedules of Investments.

177
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin U.S. Core Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Short-Term Investments — 3.9%
Commercial Paper — 2.3%
Agree LP
4.222%
7/1/26
 $17,175,000
 $17,173,054
(h)
AvalonBay Communities Inc.
4.046%
7/7/26
6,595,000
6,589,986
(h)
Boston Scientific Corp.
4.123%
7/23/26
5,830,000
5,815,176
(h)
Essex Portfolio LP
4.154%
7/14/26
8,730,000
8,716,383
(h)
Extra Space Storage LP
4.038%
7/6/26
5,970,000
5,966,116
(h)
Intercontinental Exchange Inc.
4.184%
7/6/26
7,715,000
7,709,804
(h)
Intercontinental Exchange Inc.
3.919%
7/9/26
3,405,000
3,401,774
(h)
Mid-America Apartments LP
4.006%
7/2/26
4,615,000
4,614,007
(h)
Mid-America Apartments LP
4.050%
7/8/26
3,040,000
3,037,356
(h)
Targa Resources Corp.
4.093%
7/1/26
8,720,000
8,719,042
(h)
 
Total Commercial Paper (Cost — $71,750,367)
71,742,698
 
 
 
Shares
 
Money Market Funds — 1.6%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $48,356,566)
3.545%
48,356,566
48,356,566
(g)(i)
 
Total Short-Term Investments (Cost — $120,106,933)
120,099,264
Total Investments — 113.9% (Cost — $3,559,209,353)
3,487,887,263
Liabilities in Excess of Other Assets — (13.9)%
(426,120,900
)
Total Net Assets — 100.0%
$3,061,766,363
††
Represents less than 0.1%.
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(b)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(c)
Securities traded on a when-issued or delayed delivery basis.
(d)
This security is traded on a to-be-announced (“TBA”) basis. At June 30, 2026, the Fund held TBA securities with a total cost of $440,866,736.
(e)
Collateralized mortgage obligations are secured by an underlying pool of mortgages or mortgage pass-through certificates that are structured to direct
payments on underlying collateral to different series or classes of the obligations. The interest rate may change positively or inversely in relation to one or
more interest rates, financial indices or other financial indicators and may be subject to an upper and/or lower limit.
(f)
Bonds are generally escrowed to maturity by government securities and/or U.S. government agency securities.
(g)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $60,639,989 and the cost was $60,637,536 (Note 3).
(h)
Rate shown represents yield-to-maturity.
(i)
Rate shown is one-day yield as of the end of the reporting period.
See Notes to Schedules of Investments.

178
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Core Bond ETF
Abbreviation(s) used in this schedule:
CAS
Connecticut Avenue Securities
CLO
Collateralized Loan Obligation
DAC
Designated Activity Company
ETF
Exchange-Traded Fund
GO
General Obligation
IO
Interest Only
NATL
National Public Finance Guarantee Corporation — Insured Bonds
REMIC
Real Estate Mortgage Investment Conduit
SDR
Swedish Depository Receipts
SOFR
Secured Overnight Financing Rate
TFA
Transitional Finance Authority
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

179
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin U.S. Treasury Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
U.S. Government & Agency Obligations — 94.7%
U.S. Government Obligations — 94.7%
U.S. Treasury Bonds
5.000%
5/15/37
 $2,200,000
 $2,310,430
U.S. Treasury Bonds
4.375%
2/15/38
6,500,000
6,447,441
U.S. Treasury Bonds
4.250%
5/15/39
2,500,000
2,416,211
U.S. Treasury Bonds
4.375%
5/15/40
4,750,000
4,593,955
U.S. Treasury Bonds
1.750%
8/15/41
3,000,000
2,011,816
U.S. Treasury Bonds
3.125%
2/15/42
69,810,000
56,786,072
U.S. Treasury Bonds
3.875%
5/15/43
14,850,000
13,130,358
U.S. Treasury Bonds
4.750%
2/15/45
7,940,000
7,768,949
U.S. Treasury Bonds
4.625%
2/15/46
12,710,000
12,203,586
U.S. Treasury Bonds
3.125%
5/15/48
58,800,000
44,194,172
U.S. Treasury Bonds
2.250%
2/15/52
1,000,000
602,363
U.S. Treasury Bonds
4.000%
11/15/52
30,400,000
26,015,750
U.S. Treasury Bonds
4.125%
8/15/53
19,130,000
16,714,464
U.S. Treasury Bonds
4.625%
2/15/55
15,500,000
14,732,871
U.S. Treasury Bonds
4.750%
8/15/55
15,000,000
14,556,445
U.S. Treasury Bonds
5.000%
5/15/56
3,530,000
3,567,782
U.S. Treasury Notes
3.750%
4/30/27
200,000
199,485
U.S. Treasury Notes
4.125%
10/31/27
119,510,000
119,451,646
U.S. Treasury Notes
1.125%
2/29/28
28,303,000
26,933,732
U.S. Treasury Notes
1.250%
4/30/28
82,180,000
78,005,192
U.S. Treasury Notes
4.000%
5/31/28
6,420,000
6,401,693
U.S. Treasury Notes
1.250%
9/30/28
8,000,000
7,504,063
U.S. Treasury Notes
3.500%
1/15/29
7,000,000
6,888,164
U.S. Treasury Notes
3.875%
4/15/29
71,310,000
70,777,960
U.S. Treasury Notes
3.875%
5/15/29
140,000
138,934
U.S. Treasury Notes
3.875%
9/30/29
25,000,000
24,777,344
U.S. Treasury Notes
3.500%
1/31/30
26,400,000
25,810,125
U.S. Treasury Notes
4.000%
3/31/30
18,000,000
17,887,149
U.S. Treasury Notes
4.125%
8/31/30
10,600,000
10,571,844
U.S. Treasury Notes
3.750%
12/31/30
57,400,000
56,338,324
U.S. Treasury Notes
4.000%
1/31/31
8,940,000
8,863,696
U.S. Treasury Notes
1.250%
8/15/31
13,000,000
11,237,891
U.S. Treasury Notes
1.375%
11/15/31
31,630,000
27,321,030
U.S. Treasury Notes
1.875%
2/15/32
17,284,000
15,249,754
U.S. Treasury Notes
4.125%
11/15/32
31,666,000
31,387,686
U.S. Treasury Notes
4.250%
3/31/33
7,390,000
7,368,061
U.S. Treasury Notes
4.125%
4/30/33
50,310,000
49,767,595
U.S. Treasury Notes
3.875%
8/15/33
17,000,000
16,533,496
U.S. Treasury Notes
4.250%
5/15/35
22,940,000
22,672,068
U.S. Treasury Notes
4.000%
11/15/35
36,600,000
35,410,500
U.S. Treasury Strip Coupon (STRIPS)
0.000%
2/15/29
32,100,000
28,793,881
U.S. Treasury Strip Coupon (STRIPS)
0.000%
2/15/31
57,200,000
47,074,109
 
Total U.S. Government & Agency Obligations (Cost — $992,220,911)
981,418,087
U.S. Treasury Inflation Protected Securities — 3.8%
U.S. Treasury Notes, Inflation Indexed
2.375%
10/15/28
4,500,000
4,946,472
See Notes to Schedules of Investments.

180
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin U.S. Treasury Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
U.S. Treasury Notes, Inflation Indexed
2.125%
4/15/29
 $5,000,000
 $5,399,932
U.S. Treasury Notes, Inflation Indexed
1.625%
4/15/30
15,000,000
15,505,987
U.S. Treasury Notes, Inflation Indexed
1.750%
1/15/34
10,000,000
10,588,310
U.S. Treasury Notes, Inflation Indexed
1.875%
7/15/35
2,550,000
2,586,863
 
Total U.S. Treasury Inflation Protected Securities (Cost — $39,735,555)
39,027,564
Total Investments before Short-Term Investments (Cost — $1,031,956,466)
1,020,445,651
 
 
 
Shares
 
Short-Term Investments — 0.9%
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $9,374,833)
3.545%
9,374,833
9,374,833
(a)(b)
Total Investments — 99.4% (Cost — $1,041,331,299)
1,029,820,484
Other Assets in Excess of Liabilities — 0.6%
6,103,685
Total Net Assets — 100.0%
$1,035,924,169
(a)
Rate shown is one-day yield as of the end of the reporting period.
(b)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $9,374,833 and the cost was $9,374,833 (Note 3).
Abbreviation(s) used in this schedule:
STRIPS
Separate Trading of Registered Interest and Principal Securities
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

181
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited)
June 30, 2026
 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Corporate Bonds & Notes — 74.4%
Communication Services — 1.3%
Diversified Telecommunication Services — 0.7%
AT&T Inc., Senior Notes
3.800%
2/15/27
 $342,000
 $340,781
AT&T Inc., Senior Notes
4.250%
3/1/27
801,000
800,127
AT&T Inc., Senior Notes
2.300%
6/1/27
2,500,000
2,451,873
Total Diversified Telecommunication Services
3,592,781
Entertainment — 0.1%
Netflix Inc., Senior Notes
5.875%
11/15/28
810,000
835,789
Interactive Media & Services — 0.0%††
Meta Platforms Inc., Senior Notes
3.500%
8/15/27
68,000
67,442
Wireless Telecommunication Services — 0.5%
T-Mobile USA Inc., Senior Notes
3.750%
4/15/27
2,550,000
2,537,225
 
Total Communication Services
7,033,237
Consumer Discretionary — 4.6%
Automobiles — 3.5%
American Honda Finance Corp., Senior Notes (SOFR + 0.720%)
4.350%
10/22/27
925,000
925,532
(a)
American Honda Finance Corp., Senior Notes (SOFR + 0.730%)
4.358%
8/13/27
2,005,000
2,007,062
(a)
American Honda Finance Corp., Senior Notes (SOFR + 0.820%)
4.459%
3/3/28
490,000
490,749
(a)
BMW US Capital LLC, Senior Notes
4.650%
3/19/27
595,000
596,442
(b)
BMW US Capital LLC, Senior Notes (SOFR + 0.790%)
4.428%
3/17/28
600,000
603,010
(a)(b)
BMW US Capital LLC, Senior Notes (SOFR + 0.920%)
4.548%
8/13/27
1,900,000
1,909,319
(a)(b)
BMW US Capital LLC, Senior Notes (SOFR + 0.920%)
4.557%
3/21/28
863,000
868,692
(a)(b)
General Motors Financial Co. Inc., Senior Notes (SOFR + 1.350%)
4.977%
5/8/27
100,000
100,523
(a)
Hyundai Capital America, Senior Notes
5.300%
3/19/27
740,000
744,605
(b)
Hyundai Capital America, Senior Notes
4.850%
3/25/27
1,469,000
1,473,606
(b)
Hyundai Capital America, Senior Notes
4.600%
4/6/28
2,185,000
2,181,857
(b)
Hyundai Capital America, Senior Notes (SOFR + 1.030%)
4.667%
9/24/27
625,000
627,539
(a)(b)
Hyundai Capital America, Senior Notes (SOFR + 1.040%)
4.677%
3/19/27
300,000
300,919
(a)(b)
Hyundai Capital America, Senior Notes (SOFR + 1.040%)
4.677%
6/24/27
357,000
358,762
(a)(b)
Toyota Motor Credit Corp., Senior Notes (SOFR + 0.450%)
4.083%
1/12/28
449,000
449,056
(a)
Toyota Motor Credit Corp., Senior Notes (SOFR + 0.500%)
4.128%
11/18/27
480,000
479,857
(a)
Toyota Motor Credit Corp., Senior Notes (SOFR + 0.720%)
4.358%
9/5/28
1,106,000
1,111,557
(a)
Toyota Motor Credit Corp., Senior Notes (SOFR + 0.770%)
4.397%
8/7/26
440,000
440,197
(a)
Volkswagen Group of America Finance LLC, Senior Notes
4.900%
8/14/26
1,775,000
1,775,876
(b)
Volkswagen Group of America Finance LLC, Senior Notes
4.450%
9/11/27
1,072,000
1,068,751
(b)
Total Automobiles
18,513,911
Broadline Retail — 0.2%
Amazon.com Inc., Senior Notes (SOFR + 0.590%)
4.228%
3/13/29
1,070,000
1,075,140
(a)
Hotels, Restaurants & Leisure — 0.8%
Airbnb Inc., Senior Notes
4.400%
3/16/29
562,000
559,227
Hyatt Hotels Corp., Senior Notes
5.750%
1/30/27
1,847,000
1,857,712
Marriott International Inc., Senior Notes
5.450%
9/15/26
30,000
30,036
Marriott International Inc., Senior Notes
4.200%
7/15/27
990,000
988,801
Marriott International Inc., Senior Notes
4.000%
4/15/28
185,000
183,527
Royal Caribbean Cruises Ltd., Senior Notes
5.375%
7/15/27
407,000
407,920
(b)
See Notes to Schedules of Investments.

182
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Hotels, Restaurants & Leisure — continued
Royal Caribbean Cruises Ltd., Senior Notes
7.500%
10/15/27
 $505,000
 $523,445
Total Hotels, Restaurants & Leisure
4,550,668
Household Durables — 0.0%††
Toll Brothers Finance Corp., Senior Notes
4.875%
3/15/27
135,000
135,225
Specialty Retail — 0.1%
Home Depot Inc., Senior Notes
3.750%
9/15/28
120,000
118,718
Lowe’s Cos. Inc., Senior Notes
4.000%
10/15/28
425,000
419,761
Total Specialty Retail
538,479
 
Total Consumer Discretionary
24,813,423
Consumer Staples — 2.1%
Beverages — 0.0%††
Keurig Dr Pepper Inc., Senior Notes
5.100%
3/15/27
111,000
111,377
Consumer Staples Distribution & Retail — 0.3%
Alimentation Couche-Tard Inc., Senior Notes
4.148%
9/29/28
1,095,000
1,084,687
(b)
Kroger Co., Senior Notes
2.650%
10/15/26
142,000
141,403
Kroger Co., Senior Notes
3.700%
8/1/27
484,000
480,456
Total Consumer Staples Distribution & Retail
1,706,546
Food Products — 0.5%
Mars Inc., Senior Notes
4.450%
3/1/27
1,025,000
1,026,869
(b)
McCormick & Co. Inc., Senior Notes
4.150%
2/15/29
340,000
336,369
Mondelez International Inc., Senior Notes
4.250%
5/6/28
1,046,000
1,042,034
Mondelez International Inc., Senior Notes
4.125%
5/7/28
100,000
99,303
Total Food Products
2,504,575
Tobacco — 1.3%
BAT Capital Corp., Senior Notes
3.215%
9/6/26
300,000
299,449
BAT Capital Corp., Senior Notes
4.700%
4/2/27
360,000
360,723
BAT Capital Corp., Senior Notes
3.557%
8/15/27
548,000
542,767
Cargill Inc., Senior Notes (SOFR + 0.610%)
4.237%
2/11/28
450,000
450,893
(a)(b)
Philip Morris International Inc., Senior Notes
4.375%
11/1/27
400,000
399,856
Philip Morris International Inc., Senior Notes
5.125%
11/17/27
1,580,000
1,594,915
Philip Morris International Inc., Senior Notes
4.125%
4/27/29
365,000
361,174
Philip Morris International Inc., Senior Notes (SOFR + 0.660%)
4.290%
10/27/28
1,820,000
1,823,034
(a)
Philip Morris International Inc., Senior Notes (SOFR + 0.830%)
4.458%
4/28/28
948,000
954,120
(a)
Total Tobacco
6,786,931
 
Total Consumer Staples
11,109,429
Energy — 0.4%
Oil, Gas & Consumable Fuels — 0.4%
Chevron USA Inc., Senior Notes (SOFR + 0.470%)
4.105%
2/26/28
346,000
346,975
(a)
Chevron USA Inc., Senior Notes (SOFR + 0.570%)
4.198%
8/13/28
305,000
306,576
(a)
Energy Transfer LP, Senior Notes
3.900%
7/15/26
210,000
209,959
Energy Transfer LP, Senior Notes
4.400%
3/15/27
91,000
91,027
Enterprise Products Operating LLC, Senior Notes
4.300%
6/20/28
585,000
583,060
ONEOK Inc., Senior Notes
5.550%
11/1/26
440,000
441,453
Phillips 66 Co., Senior Notes
3.550%
10/1/26
150,000
149,746
 
Total Energy
2,128,796
See Notes to Schedules of Investments.

183
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Financials — 55.8%
Banks — 39.5%
ABN AMRO Bank NV, Senior Notes (4.988% to 12/3/27 then 1 year Treasury
Constant Maturity Rate + 0.780%)
4.988%
12/3/28
 $2,300,000
 $2,312,902
(a)(b)
ABN AMRO Bank NV, Senior Notes (6.339% to 9/18/26 then 1 year Treasury
Constant Maturity Rate + 1.650%)
6.339%
9/18/27
2,100,000
2,107,463
(a)(b)
ABN AMRO Bank NV, Senior Notes (SOFR + 0.750%)
4.425%
7/7/28
310,000
311,422
(a)(b)
ABN AMRO Bank NV, Senior Notes (SOFR + 1.000%)
4.639%
12/3/28
775,000
778,164
(a)(b)
ANZ New Zealand International Ltd., Senior Notes (SOFR + 0.610%)
4.240%
1/22/29
370,000
370,149
(a)(b)
Australia & New Zealand Banking Group Ltd., Senior Notes (SOFR + 0.590%)
4.228%
12/8/28
1,600,000
1,604,760
(a)(b)
Australia & New Zealand Banking Group Ltd., Senior Notes (SOFR + 0.620%)
4.257%
6/18/28
370,000
371,450
(a)(b)
Australia & New Zealand Banking Group Ltd., Senior Notes (SOFR + 0.650%)
4.287%
9/30/27
1,000,000
1,003,965
(a)(b)
Australia & New Zealand Banking Group Ltd., Senior Notes (SOFR + 0.680%)
4.313%
7/16/27
445,000
446,764
(a)(b)
Banco Bilbao Vizcaya Argentaria SA, Senior Notes
4.150%
3/3/29
800,000
788,474
Banco Bilbao Vizcaya Argentaria SA, Senior Notes (6.138% to 9/14/27 then 1
year Treasury Constant Maturity Rate + 2.700%)
6.138%
9/14/28
1,800,000
1,833,187
(a)
Banco Bilbao Vizcaya Argentaria SA, Senior Notes (SOFR + 0.880%)
4.519%
3/3/29
2,200,000
2,207,266
(a)
Banco Santander SA, Senior Notes (5.552% to 3/14/27 then 1 year Treasury
Constant Maturity Rate + 1.250%)
5.552%
3/14/28
1,935,000
1,947,614
(a)
Banco Santander SA, Senior Notes (SOFR + 0.990%)
4.622%
4/15/29
2,135,000
2,141,785
(a)
Banco Santander SA, Senior Notes (SOFR + 1.120%)
4.752%
7/15/28
600,000
603,291
(a)
Bank of America Corp., Senior Notes (3.974% to 2/7/29 then 3 mo. Term SOFR
+ 1.472%)
3.974%
2/7/30
525,000
515,189
(a)
Bank of America Corp., Senior Notes (4.623% to 5/9/28 then SOFR + 1.110%)
4.623%
5/9/29
243,000
242,939
(a)
Bank of America Corp., Senior Notes (5.933% to 9/15/26 then SOFR + 1.340%)
5.933%
9/15/27
290,000
290,862
(a)
Bank of America Corp., Senior Notes (SOFR + 0.830%)
4.460%
1/24/29
1,882,000
1,888,003
(a)
Bank of America Corp., Senior Notes (SOFR + 0.880%)
4.510%
4/23/30
1,719,000
1,721,543
(a)
Bank of America Corp., Senior Notes (SOFR + 1.050%)
4.678%
2/4/28
426,000
427,161
(a)
Bank of America Corp., Senior Notes (SOFR + 1.110%)
4.737%
5/9/29
990,000
998,816
(a)
Bank of America Corp., Subordinated Notes
4.250%
10/22/26
270,000
270,035
Bank of Montreal, Senior Notes
5.203%
2/1/28
1,000,000
1,010,701
Bank of Montreal, Senior Notes (4.100% to 12/15/26 then SOFR + 0.525%)
4.100%
12/15/27
305,000
304,635
(a)
Bank of Montreal, Senior Notes (4.338% to 3/19/29 then SOFR + 0.890%)
4.338%
3/19/30
737,000
730,413
(a)
Bank of Montreal, Senior Notes (SOFR + 0.750%)
4.387%
9/22/28
1,875,000
1,879,971
(a)
Bank of Montreal, Senior Notes (SOFR + 0.860%)
4.490%
1/27/29
1,350,000
1,354,450
(a)
Bank of Montreal, Senior Notes (SOFR + 0.880%)
4.518%
9/10/27
595,000
595,618
(a)
Bank of Nova Scotia, Senior Notes (4.578% to 6/5/28 then SOFR + 0.660%)
4.578%
6/5/29
800,000
797,815
(a)
Bank of Nova Scotia, Senior Notes (SOFR + 0.730%)
4.357%
2/2/30
380,000
379,808
(a)
Bank of Nova Scotia, Senior Notes (SOFR + 0.760%)
4.398%
9/15/28
1,810,000
1,813,872
(a)
Bank of Nova Scotia, Senior Notes (SOFR + 0.780%)
4.418%
6/4/27
600,000
602,642
(a)
Bank of Nova Scotia, Senior Notes (SOFR + 0.890%)
4.518%
2/14/29
1,075,000
1,078,655
(a)
Bank of Nova Scotia, Senior Notes (SOFR + 1.000%)
4.638%
9/8/28
1,937,000
1,946,442
(a)
Banque Federative du Credit Mutuel SA, Senior Notes
5.896%
7/13/26
940,000
940,558
(b)
Banque Federative du Credit Mutuel SA, Senior Notes
4.591%
10/16/28
800,000
799,004
(b)
Banque Federative du Credit Mutuel SA, Senior Notes (SOFR + 0.990%)
4.623%
10/16/28
1,858,000
1,870,455
(a)(b)
Banque Federative du Credit Mutuel SA, Senior Notes (SOFR + 1.070%)
4.698%
2/16/28
1,750,000
1,765,434
(a)(b)
Barclays PLC, Senior Notes (5.501% to 8/9/27 then 1 year Treasury Constant
Maturity Rate + 2.650%)
5.501%
8/9/28
2,358,000
2,379,260
(a)
See Notes to Schedules of Investments.

184
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Banks — continued
Barclays PLC, Senior Notes (6.496% to 9/13/26 then SOFR + 1.880%)
6.496%
9/13/27
 $665,000
 $667,498
(a)
Barclays PLC, Senior Notes (SOFR + 1.080%)
4.707%
11/11/29
1,525,000
1,536,258
(a)
Barclays PLC, Senior Notes (SOFR + 1.490%)
5.128%
3/12/28
218,000
219,326
(a)
BNP Paribas SA, Senior Notes
3.500%
11/16/27
2,772,000
2,737,704
(b)
BNP Paribas SA, Senior Notes
4.400%
8/14/28
495,000
491,794
(b)
BNP Paribas SA, Senior Notes (5.125% to 1/13/28 then 1 year Treasury
Constant Maturity Rate + 1.450%)
5.125%
1/13/29
1,801,000
1,813,184
(a)(b)
BNP Paribas SA, Senior Notes (SOFR + 1.430%)
5.056%
5/9/29
740,000
744,923
(a)(b)
BPCE SA, Senior Notes
3.500%
10/23/27
1,280,000
1,263,207
(b)
BPCE SA, Senior Notes (6.612% to 10/19/26 then SOFR + 1.980%)
6.612%
10/19/27
1,900,000
1,911,465
(a)(b)
BPCE SA, Senior Notes (6.714% to 10/19/28 then SOFR + 2.270%)
6.714%
10/19/29
1,695,000
1,761,906
(a)(b)
CaixaBank SA, Senior Notes (4.634% to 7/3/28 then SOFR + 1.140%)
4.634%
7/3/29
1,232,000
1,230,953
(a)(b)
CaixaBank SA, Senior Notes (6.208% to 1/18/28 then SOFR + 2.700%)
6.208%
1/18/29
2,450,000
2,507,301
(a)(b)
CaixaBank SA, Senior Notes (6.684% to 9/13/26 then SOFR + 2.080%)
6.684%
9/13/27
2,200,000
2,209,296
(a)(b)
Canadian Imperial Bank of Commerce, Senior Notes (4.508% to 9/11/26 then
SOFR + 0.930%)
4.508%
9/11/27
160,000
159,986
(a)
Canadian Imperial Bank of Commerce, Senior Notes (4.723% to 6/16/28 then
SOFR + 0.670%)
4.723%
6/16/29
825,000
826,186
(a)
Canadian Imperial Bank of Commerce, Senior Notes (SOFR + 0.930%)
4.568%
9/11/27
600,000
600,704
(a)
Canadian Imperial Bank of Commerce, Senior Notes (SOFR + 0.940%)
4.576%
6/28/27
2,255,000
2,268,081
(a)
Canadian Imperial Bank of Commerce, Senior Notes (SOFR + 1.030%)
4.667%
3/30/29
640,000
643,888
(a)
Citibank NA, Senior Notes (4.554% to 6/18/28 then SOFR + 0.595%)
4.554%
6/18/29
1,070,000
1,069,011
(a)
Citibank NA, Senior Notes (4.876% to 11/19/26 then SOFR + 0.712%)
4.876%
11/19/27
1,925,000
1,928,755
(a)
Citigroup Inc., Senior Notes (SOFR + 0.870%)
4.508%
3/4/29
1,645,000
1,650,312
(a)
Citigroup Inc., Senior Notes (SOFR + 1.143%)
4.770%
5/7/28
2,224,000
2,233,793
(a)
Commonwealth Bank of Australia, Senior Notes (SOFR + 0.460%)
4.097%
11/27/26
515,000
515,478
(a)(b)
Commonwealth Bank of Australia, Senior Notes (SOFR + 0.630%)
4.266%
3/27/29
345,000
347,002
(a)(b)
Commonwealth Bank of Australia, Senior Notes (SOFR + 0.640%)
4.278%
3/14/28
825,000
828,472
(a)(b)
Cooperatieve Rabobank UA, Senior Notes
3.750%
7/21/26
1,584,000
1,583,230
Cooperatieve Rabobank UA, Senior Notes
4.883%
1/21/28
795,000
801,929
Cooperatieve Rabobank UA, Senior Notes
4.345%
6/9/28
1,505,000
1,505,457
Cooperatieve Rabobank UA, Senior Notes (3.649% to 4/6/27 then 1 year
Treasury Constant Maturity Rate + 1.220%)
3.649%
4/6/28
1,885,000
1,873,531
(a)(b)
Cooperatieve Rabobank UA, Senior Notes (SOFR + 0.410%)
4.043%
1/14/28
255,000
255,194
(a)
Cooperatieve Rabobank UA, Senior Notes (SOFR + 0.590%)
4.227%
5/27/27
250,000
250,689
(a)
Credit Agricole SA, Senior Notes
5.589%
7/5/26
500,000
500,063
(b)
Credit Agricole SA, Senior Notes
4.125%
1/10/27
250,000
249,679
(b)
Credit Agricole SA, Senior Notes (4.631% to 9/11/27 then SOFR + 1.210%)
4.631%
9/11/28
2,390,000
2,389,548
(a)(b)
Credit Agricole SA, Senior Notes (SOFR + 0.870%)
4.508%
3/11/27
356,000
357,450
(a)(b)
Credit Agricole SA, Senior Notes (SOFR + 1.210%)
4.848%
9/11/28
750,000
754,616
(a)(b)
Danske Bank A/S, Senior Notes
4.375%
6/12/28
727,000
725,029
(b)
Danske Bank A/S, Senior Notes (4.298% to 4/1/27 then 1 year Treasury
Constant Maturity Rate + 1.750%)
4.298%
4/1/28
1,880,000
1,877,883
(a)(b)
Danske Bank A/S, Senior Notes (4.662% to 3/27/28 then 1 year Treasury
Constant Maturity Rate + 0.750%)
4.662%
3/27/29
1,670,000
1,670,443
(a)(b)
Danske Bank A/S, Senior Notes (5.427% to 3/1/27 then 1 year Treasury
Constant Maturity Rate + 0.950%)
5.427%
3/1/28
1,155,000
1,162,466
(a)(b)
See Notes to Schedules of Investments.

185
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Banks — continued
Fifth Third Bancorp, Senior Notes (6.361% to 10/27/27 then SOFR + 2.192%)
6.361%
10/27/28
 $2,159,000
 $2,207,628
(a)
Fifth Third Bank NA, Senior Notes (4.967% to 1/28/27 then SOFR + 0.810%)
4.967%
1/28/28
1,945,000
1,950,036
(a)
Fifth Third Bank NA, Senior Notes (SOFR + 0.810%)
4.440%
1/28/28
500,000
500,471
(a)
HSBC Holdings PLC, Senior Notes (SOFR + 1.570%)
5.197%
8/14/27
350,000
350,516
(a)
Huntington Bancshares Inc., Senior Notes (4.443% to 8/4/27 then SOFR +
1.970%)
4.443%
8/4/28
1,302,000
1,299,862
(a)
Huntington National Bank, Senior Notes (4.871% to 4/12/27 then SOFR +
0.720%)
4.871%
4/12/28
1,905,000
1,908,981
(a)
Huntington National Bank, Senior Notes (SOFR + 0.720%)
4.353%
4/12/28
1,015,000
1,015,487
(a)
ING Groep NV, Senior Notes (4.858% to 3/25/28 then SOFR + 1.010%)
4.858%
3/25/29
860,000
863,456
(a)
ING Groep NV, Senior Notes (6.083% to 9/11/26 then SOFR + 1.560%)
6.083%
9/11/27
1,502,000
1,506,179
(a)
ING Groep NV, Senior Notes (SOFR + 1.010%)
4.647%
3/25/29
2,500,000
2,516,385
(a)
ING Groep NV, Senior Notes (SOFR + 1.560%)
5.198%
9/11/27
1,000,000
1,002,426
(a)
Intesa Sanpaolo SpA, Senior Notes
3.875%
7/14/27
810,000
804,732
(b)
Intesa Sanpaolo SpA, Senior Notes
3.875%
1/12/28
450,000
444,437
(b)
JPMorgan Chase & Co., Senior Notes (4.505% to 10/22/27 then SOFR +
0.860%)
4.505%
10/22/28
745,000
744,913
(a)
JPMorgan Chase & Co., Senior Notes (5.571% to 4/22/27 then SOFR +
0.930%)
5.571%
4/22/28
1,542,000
1,555,071
(a)
JPMorgan Chase & Co., Senior Notes (SOFR + 0.800%)
4.430%
1/24/29
1,175,000
1,179,390
(a)
JPMorgan Chase & Co., Senior Notes (SOFR + 0.820%)
4.450%
4/23/30
2,265,000
2,271,173
(a)
JPMorgan Chase & Co., Senior Notes (SOFR + 0.860%)
4.490%
10/22/28
560,000
562,314
(a)
Lloyds Banking Group PLC, Senior Notes (4.818% to 6/13/28 then 1 year
Treasury Constant Maturity Rate + 0.830%)
4.818%
6/13/29
415,000
415,627
(a)
Lloyds Banking Group PLC, Senior Notes (5.087% to 11/26/27 then 1 year
Treasury Constant Maturity Rate + 0.850%)
5.087%
11/26/28
1,670,000
1,681,667
(a)
Lloyds Banking Group PLC, Senior Notes (5.462% to 1/5/27 then 1 year
Treasury Constant Maturity Rate + 1.375%)
5.462%
1/5/28
545,000
547,819
(a)
Lloyds Banking Group PLC, Senior Notes (SOFR + 0.770%)
4.396%
2/10/30
1,150,000
1,147,485
(a)
Lloyds Banking Group PLC, Senior Notes (SOFR + 1.060%)
4.692%
11/26/28
200,000
201,032
(a)
Lloyds Banking Group PLC, Senior Notes (SOFR + 1.060%)
4.697%
6/13/29
1,750,000
1,761,470
(a)
Lloyds Banking Group PLC, Senior Notes (SOFR + 1.560%)
5.188%
8/7/27
1,000,000
1,001,160
(a)
Macquarie Bank Ltd., Senior Notes (SOFR + 0.480%)
4.107%
2/3/28
2,404,000
2,406,460
(a)(b)
Macquarie Bank Ltd., Senior Notes (SOFR + 0.740%)
4.378%
6/12/28
2,390,000
2,403,551
(a)(b)
Mitsubishi UFJ Financial Group Inc., Senior Notes (4.080% to 4/19/27 then 1
year Treasury Constant Maturity Rate + 1.300%)
4.080%
4/19/28
2,155,000
2,147,784
(a)
Mitsubishi UFJ Financial Group Inc., Senior Notes (4.592% to 4/18/29 then 1
year Treasury Constant Maturity Rate + 0.780%)
4.592%
4/18/30
1,725,000
1,716,760
(a)
Mitsubishi UFJ Financial Group Inc., Senior Notes (5.017% to 7/20/27 then 1
year Treasury Constant Maturity Rate + 1.950%)
5.017%
7/20/28
2,050,000
2,060,056
(a)
Mizuho Financial Group Inc., Senior Notes (1.554% to 7/9/26 then 1 year
Treasury Constant Maturity Rate + 0.750%)
1.554%
7/9/27
650,000
649,555
(a)
Mizuho Financial Group Inc., Senior Notes (4.782% to 7/13/29 then 1 year
Treasury Constant Maturity Rate + 0.680%)
4.782%
7/13/30
1,800,000
1,797,506
(a)(c)
Mizuho Financial Group Inc., Senior Notes (SOFR + 0.850%)
4.486%
7/13/30
1,800,000
1,800,845
(a)(c)
National Australia Bank Ltd., Senior Notes
3.850%
12/13/28
1,000,000
987,753
National Australia Bank Ltd., Senior Notes (SOFR + 0.500%)
4.138%
3/6/28
250,000
250,396
(a)(b)
See Notes to Schedules of Investments.

186
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Banks — continued
National Australia Bank Ltd., Senior Notes (SOFR + 0.530%)
4.168%
12/13/28
 $1,950,000
 $1,952,027
(a)(b)
National Australia Bank Ltd., Senior Notes (SOFR + 0.600%)
4.230%
10/26/27
250,000
250,825
(a)(b)
National Australia Bank Ltd., Senior Notes (SOFR + 0.620%)
4.258%
6/11/27
250,000
250,762
(a)(b)
National Australia Bank Ltd., Senior Notes (SOFR + 0.650%)
4.288%
6/13/28
370,000
371,680
(a)(b)
National Bank of Canada, Senior Notes (4.166% to 1/20/28 then SOFR +
0.760%)
4.166%
1/20/29
2,126,000
2,112,374
(a)
National Bank of Canada, Senior Notes (5.600% to 7/2/26 then SOFR +
1.036%)
5.600%
7/2/27
650,000
650,025
(a)
National Bank of Canada, Senior Notes (SOFR + 0.770%)
4.402%
1/20/29
755,000
756,612
(a)
National Bank of Canada, Senior Notes (SOFR + 1.030%)
4.665%
7/2/27
250,000
250,005
(a)
NatWest Group PLC, Senior Notes (5.583% to 3/1/27 then 1 year Treasury
Constant Maturity Rate + 1.100%)
5.583%
3/1/28
2,600,000
2,619,070
(a)
NatWest Group PLC, Senior Notes (SOFR + 1.100%)
4.735%
5/23/29
1,707,000
1,718,140
(a)
NatWest Group PLC, Senior Notes (SOFR + 1.250%)
4.887%
3/1/28
400,000
401,831
(a)
Nordea Bank Abp, Senior Notes (SOFR + 0.700%)
4.338%
3/17/28
605,000
608,140
(a)(b)
Nordea Bank Abp, Senior Notes (SOFR + 0.740%)
4.377%
3/19/27
600,000
601,915
(a)(b)
PNC Bank NA, Senior Notes (4.429% to 7/21/27 then SOFR + 0.727%)
4.429%
7/21/28
2,400,000
2,396,338
(a)
PNC Bank NA, Senior Notes (SOFR + 0.730%)
4.361%
7/21/28
341,000
341,728
(a)
PNC Financial Services Group Inc., Senior Notes (4.075% to 1/26/28 then
SOFR + 0.610%)
4.075%
1/26/29
1,807,000
1,792,465
(a)
PNC Financial Services Group Inc., Senior Notes (4.618% to 10/26/28 then
SOFR + 0.681%)
4.618%
10/26/29
660,000
658,503
(a)
PNC Financial Services Group Inc., Senior Notes (5.102% to 7/23/26 then
SOFR + 0.796%)
5.102%
7/23/27
624,000
624,184
(a)
PNC Financial Services Group Inc., Senior Notes (SOFR + 0.620%)
4.250%
1/26/29
375,000
375,269
(a)
PNC Financial Services Group Inc., Senior Notes (SOFR + 0.680%)
4.309%
10/26/29
790,000
790,361
(a)
Regions Bank/Birmingham AL, Senior Notes (4.755% to 7/27/28 then SOFR +
0.807%)
4.755%
7/27/29
1,485,000
1,485,681
(a)
Royal Bank of Canada, Senior Notes (SOFR + 0.700%)
4.327%
11/3/28
1,991,000
1,994,531
(a)
Royal Bank of Canada, Senior Notes (SOFR + 0.720%)
4.352%
10/18/27
800,000
800,853
(a)
Royal Bank of Canada, Senior Notes (SOFR + 0.790%)
4.420%
7/23/27
1,200,000
1,200,301
(a)
Royal Bank of Canada, Senior Notes (SOFR + 0.830%)
4.460%
1/24/29
1,800,000
1,805,845
(a)
Santander UK Group Holdings PLC, Senior Notes (3.823% to 11/3/27 then 3
mo. USD LIBOR + 1.400%)
3.823%
11/3/28
200,000
197,762
(a)
Santander UK Group Holdings PLC, Senior Notes (6.534% to 1/10/28 then
SOFR + 2.600%)
6.534%
1/10/29
1,550,000
1,591,229
(a)
Skandinaviska Enskilda Banken AB, Senior Notes (SOFR + 0.680%)
4.318%
3/12/29
1,655,000
1,661,235
(a)(b)
Skandinaviska Enskilda Banken AB, Senior Notes (SOFR + 0.750%)
4.389%
6/2/28
495,000
498,127
(a)(b)
Skandinaviska Enskilda Banken AB, Senior Notes (SOFR + 0.890%)
4.528%
3/5/27
501,000
503,033
(a)(b)
Societe Generale SA, Senior Notes
4.000%
1/12/27
800,000
797,954
(b)
Societe Generale SA, Senior Notes
5.250%
2/19/27
2,570,000
2,582,750
(b)
Societe Generale SA, Senior Notes (4.857% to 7/7/28 then SOFR + 0.855%)
4.857%
7/7/29
1,000,000
999,896
(a)(b)(c)
Societe Generale SA, Senior Notes (SOFR + 1.100%)
4.729%
2/19/27
540,000
542,070
(a)(b)
Sumitomo Mitsui Financial Group Inc., Senior Notes
5.520%
1/13/28
2,135,000
2,166,678
Sumitomo Mitsui Financial Group Inc., Senior Notes
4.108%
1/15/29
190,000
187,693
Sumitomo Mitsui Financial Group Inc., Senior Notes (SOFR + 0.760%)
4.392%
1/15/29
1,965,000
1,964,545
(a)
Sumitomo Mitsui Financial Group Inc., Senior Notes (SOFR + 1.300%)
4.933%
7/13/26
500,000
500,192
(a)
See Notes to Schedules of Investments.

187
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Banks — continued
Svenska Handelsbanken AB, Senior Notes
5.500%
6/15/28
 $250,000
 $254,481
(b)
Svenska Handelsbanken AB, Senior Notes (SOFR + 0.560%)
4.198%
6/11/29
825,000
826,055
(a)(b)
Svenska Handelsbanken AB, Senior Notes (SOFR + 0.660%)
4.299%
5/28/27
505,000
506,508
(a)(b)
Svenska Handelsbanken AB, Senior Notes (SOFR + 0.740%)
4.375%
5/23/28
1,635,000
1,644,658
(a)(b)
Swedbank AB, Senior Notes
6.136%
9/12/26
1,949,000
1,955,107
(b)
Swedbank AB, Senior Notes
5.337%
9/20/27
1,836,000
1,856,490
(b)
Toronto-Dominion Bank, Senior Notes
5.523%
7/17/28
245,000
249,729
Toronto-Dominion Bank, Senior Notes (SOFR + 0.580%)
4.213%
1/13/28
500,000
501,152
(a)
Toronto-Dominion Bank, Senior Notes (SOFR + 0.620%)
4.258%
12/17/26
1,000,000
1,001,535
(a)
Toronto-Dominion Bank, Senior Notes (SOFR + 0.750%)
4.383%
10/13/28
1,670,000
1,675,953
(a)
Toronto-Dominion Bank, Senior Notes (SOFR + 0.760%)
4.390%
4/23/29
519,000
520,037
(a)
Toronto-Dominion Bank, Senior Notes (SOFR + 0.820%)
4.448%
1/31/28
1,584,000
1,592,685
(a)
Truist Bank, Senior Notes (4.420% to 7/24/27 then SOFR + 0.770%)
4.420%
7/24/28
2,167,000
2,164,743
(a)
Truist Bank, Senior Notes (SOFR + 0.660%)
4.290%
1/27/29
100,000
99,840
(a)
Truist Bank, Senior Notes (SOFR + 0.770%)
4.400%
7/24/28
915,000
915,812
(a)
UniCredit SpA, Senior Notes
4.625%
4/12/27
220,000
220,437
(b)
US Bank NA, Senior Notes (4.507% to 10/22/26 then SOFR + 0.690%)
4.507%
10/22/27
1,000,000
1,000,414
(a)
US Bank NA, Senior Notes (4.535% to 5/19/28 then SOFR + 0.670%)
4.535%
5/20/29
2,020,000
2,015,997
(a)
US Bank NA, Senior Notes (4.730% to 5/15/27 then SOFR + 0.910%)
4.730%
5/15/28
1,790,000
1,794,337
(a)
US Bank NA, Senior Notes (SOFR + 0.690%)
4.320%
10/22/27
300,000
300,249
(a)
US Bank NA, Senior Notes (SOFR + 0.910%)
4.538%
5/15/28
325,000
326,019
(a)
Wells Fargo & Co., Senior Notes (5.707% to 4/22/27 then SOFR + 1.070%)
5.707%
4/22/28
1,370,000
1,382,509
(a)
Wells Fargo & Co., Senior Notes (SOFR + 0.780%)
4.410%
1/24/28
1,680,000
1,683,102
(a)
Wells Fargo & Co., Senior Notes (SOFR + 1.070%)
4.700%
4/22/28
1,647,000
1,654,182
(a)
Wells Fargo & Co., Senior Notes (SOFR + 1.370%)
5.000%
4/23/29
1,315,000
1,330,932
(a)
Westpac Banking Corp., Senior Notes
4.150%
5/11/28
720,000
717,552
Westpac Banking Corp., Senior Notes (SOFR + 0.440%)
4.066%
5/11/28
450,000
450,378
(a)(b)
Westpac Banking Corp., Senior Notes (SOFR + 0.460%)
4.092%
10/20/26
1,000,000
1,000,526
(a)
Total Banks
209,861,058
Capital Markets — 6.0%
Bank of New York Mellon Corp., Senior Notes (SOFR + 0.630%)
4.260%
1/22/30
2,010,000
2,012,451
(a)
Bank of New York Mellon Corp., Senior Notes (SOFR + 0.680%)
4.318%
6/9/28
410,000
410,647
(a)
Bank of New York Mellon Corp., Senior Notes (SOFR + 0.830%)
4.461%
7/21/28
220,000
220,768
(a)
Charles Schwab Corp., Senior Notes (4.744% to 5/21/29 then SOFR + 0.780%)
4.744%
5/21/30
940,000
941,968
(a)
Daimler Truck Finance North America LLC, Senior Notes
5.000%
1/15/27
2,250,000
2,258,467
(b)
Daimler Truck Finance North America LLC, Senior Notes
4.300%
8/12/27
1,060,000
1,058,017
(b)
Daimler Truck Finance North America LLC, Senior Notes
4.150%
1/12/29
150,000
148,149
(b)
Daimler Truck Finance North America LLC, Senior Notes (SOFR + 0.840%)
4.473%
1/13/28
300,000
300,766
(a)(b)
Deutsche Bank AG, Senior Notes (2.552% to 1/7/27 then SOFR + 1.318%)
2.552%
1/7/28
1,800,000
1,782,321
(a)
Deutsche Bank AG, Senior Notes (5.373% to 1/10/28 then SOFR + 1.210%)
5.373%
1/10/29
2,180,000
2,201,679
(a)
Deutsche Bank AG, Senior Notes (7.146% to 7/13/26 then SOFR + 2.520%)
7.146%
7/13/27
653,000
653,538
(a)
Deutsche Bank AG, Senior Notes (SOFR + 1.210%)
4.842%
1/10/29
545,000
548,305
(a)
Goldman Sachs Group Inc., Senior Notes (4.148% to 1/21/28 then SOFR +
0.710%)
4.148%
1/21/29
459,000
455,118
(a)
Goldman Sachs Group Inc., Senior Notes (SOFR + 0.710%)
4.341%
1/21/29
1,780,000
1,783,077
(a)
Goldman Sachs Group Inc., Senior Notes (SOFR + 0.920%)
4.551%
10/21/29
2,146,000
2,155,127
(a)
See Notes to Schedules of Investments.

188
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Capital Markets — continued
Goldman Sachs Group Inc., Senior Notes (SOFR + 1.000%)
4.632%
4/20/30
 $610,000
 $612,671
(a)
Goldman Sachs Group Inc., Senior Notes (SOFR + 1.290%)
4.920%
4/23/28
475,000
477,769
(a)
Intercontinental Exchange Inc., Senior Notes
3.950%
12/1/28
165,000
162,895
Jefferies Financial Group Inc., Senior Notes
4.500%
9/15/26
650,000
649,546
Morgan Stanley, Senior Notes (SOFR + 0.920%)
4.550%
10/18/29
1,450,000
1,455,734
(a)
Morgan Stanley, Senior Notes (SOFR + 1.020%)
4.654%
4/13/28
1,477,000
1,481,649
(a)
Morgan Stanley, Senior Notes (SOFR + 1.380%)
5.014%
4/12/29
1,030,000
1,043,404
(a)
Morgan Stanley Bank NA, Senior Notes (SOFR + 0.900%)
4.533%
1/12/29
250,000
250,813
(a)
Morgan Stanley Bank NA, Senior Notes (SOFR + 0.940%)
4.573%
7/14/28
750,000
754,187
(a)
State Street Corp., Senior Notes (SOFR + 0.640%)
4.270%
10/22/27
834,000
836,941
(a)
State Street Corp., Senior Notes (SOFR + 0.845%)
4.471%
8/3/26
395,000
395,190
(a)
State Street Corp., Senior Notes (SOFR + 0.950%)
4.580%
4/24/28
135,000
135,489
(a)
UBS AG, Senior Notes (4.864% to 1/10/27 then SOFR + 0.720%)
4.864%
1/10/28
500,000
501,377
(a)
UBS Group AG, Senior Notes
4.282%
1/9/28
2,180,000
2,170,693
(b)
UBS Group AG, Senior Notes (3.869% to 1/12/28 then 3 mo. USD LIBOR +
1.410%)
3.869%
1/12/29
2,165,000
2,140,441
(a)(b)
UBS Group AG, Senior Notes (6.327% to 12/22/26 then 1 year Treasury
Constant Maturity Rate + 1.600%)
6.327%
12/22/27
315,000
317,660
(a)(b)
UBS Group AG, Senior Notes (6.442% to 8/11/27 then SOFR + 3.700%)
6.442%
8/11/28
1,510,000
1,540,479
(a)(b)
Total Capital Markets
31,857,336
Consumer Finance — 2.8%
American Express Co., Senior Notes (4.009% to 2/9/28 then SOFR + 0.581%)
4.009%
2/9/29
1,622,000
1,607,929
(a)
American Express Co., Senior Notes (4.351% to 7/20/28 then SOFR + 0.810%)
4.351%
7/20/29
2,210,000
2,198,996
(a)
American Express Co., Senior Notes (4.444% to 5/3/29 then SOFR + 0.811%)
4.444%
5/3/30
215,000
213,704
(a)
American Express Co., Senior Notes (SOFR + 0.590%)
4.216%
2/9/29
275,000
275,345
(a)
American Express Co., Senior Notes (SOFR + 0.930%)
4.560%
7/26/28
175,000
175,736
(a)
American Express Co., Senior Notes (SOFR + 1.000%)
4.628%
2/16/28
1,000,000
1,003,101
(a)
American Express Co., Senior Notes (SOFR + 1.260%)
4.890%
4/25/29
560,000
565,781
(a)
Capital One Financial Corp., Senior Notes
4.100%
2/9/27
305,000
304,589
Capital One Financial Corp., Senior Notes
3.750%
3/9/27
855,000
851,405
Capital One Financial Corp., Senior Notes (4.927% to 5/10/27 then SOFR +
2.057%)
4.927%
5/10/28
1,963,000
1,967,891
(a)
Capital One Financial Corp., Senior Notes (6.312% to 6/8/28 then SOFR +
2.640%)
6.312%
6/8/29
578,000
594,486
(a)
Capital One Financial Corp., Senior Notes (7.149% to 10/29/26 then SOFR +
2.440%)
7.149%
10/29/27
2,000,000
2,016,095
(a)
Mercedes-Benz Finance North America LLC, Senior Notes
4.800%
11/13/26
550,000
551,371
(b)
Mercedes-Benz Finance North America LLC, Senior Notes
4.750%
8/1/27
2,200,000
2,207,886
(b)
Mercedes-Benz Finance North America LLC, Senior Notes (SOFR + 0.710%)
4.348%
3/10/28
230,000
230,289
(a)(b)
Mercedes-Benz Finance North America LLC, Senior Notes (SOFR + 0.780%)
4.416%
4/1/27
225,000
225,691
(a)(b)
Total Consumer Finance
14,990,295
Financial Services — 3.5%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
2.450%
10/29/26
950,000
944,262
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
4.875%
4/1/28
2,145,000
2,154,370
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
3.000%
10/29/28
2,800,000
2,695,732
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
4.125%
2/28/29
310,000
305,560
See Notes to Schedules of Investments.

189
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Financial Services — continued
Caterpillar Financial Services Corp., Senior Notes (SOFR + 0.490%)
4.125%
2/23/29
 $1,069,000
 $1,069,170
(a)
Caterpillar Financial Services Corp., Senior Notes (SOFR + 0.560%)
4.188%
11/15/27
1,800,000
1,806,683
(a)
Caterpillar Financial Services Corp., Senior Notes (SOFR + 0.580%)
4.208%
11/14/28
1,896,000
1,900,751
(a)
GA Global Funding Trust, Secured Notes
4.400%
9/23/27
740,000
737,023
(b)
Mizuho Markets Cayman LP, Senior Notes (SOFR + 0.520%)
4.158%
10/9/26
475,000
475,243
(a)(b)
Mizuho Markets Cayman LP, Senior Notes (SOFR + 0.520%)
4.153%
11/16/26
500,000
500,365
(a)(b)
Nationwide Building Society, Senior Notes (4.649% to 7/14/28 then SOFR +
1.060%)
4.649%
7/14/29
777,000
776,811
(a)(b)
Nationwide Building Society, Senior Notes (6.557% to 10/18/26 then SOFR +
1.910%)
6.557%
10/18/27
1,604,000
1,613,178
(a)(b)
Nationwide Building Society, Senior Notes (SOFR + 1.070%)
4.703%
7/14/29
1,766,000
1,773,802
(a)(b)
Nationwide Building Society, Senior Notes (SOFR + 1.290%)
4.918%
2/16/28
845,000
848,628
(a)(b)
PayPal Holdings Inc., Senior Notes (SOFR + 0.670%)
4.308%
3/6/28
1,230,000
1,232,771
(a)
Total Financial Services
18,834,349
Insurance — 4.0%
AEGON Funding Co. LLC, Senior Notes
5.500%
4/16/27
950,000
956,220
(b)
Arthur J Gallagher & Co., Senior Notes
4.600%
12/15/27
1,015,000
1,017,078
Athene Global Funding, Secured Notes (SOFR + 0.950%)
4.588%
3/6/28
910,000
908,892
(a)(b)
Athene Global Funding, Senior Secured Notes
4.860%
8/27/26
1,000,000
1,000,713
(b)
Athene Global Funding, Senior Secured Notes
4.950%
1/7/27
1,261,000
1,262,874
(b)
Athene Global Funding, Senior Secured Notes
5.349%
7/9/27
1,871,000
1,884,371
(b)
Brown & Brown Inc., Senior Notes
4.600%
12/23/26
532,000
532,332
CNO Global Funding, Secured Notes
1.750%
10/7/26
916,000
909,515
(b)
CNO Global Funding, Secured Notes
4.875%
12/10/27
265,000
265,167
(b)
Corebridge Global Funding, Senior Secured Notes
4.800%
5/29/29
400,000
399,439
(b)
Corebridge Global Funding, Senior Secured Notes (SOFR + 1.300%)
4.937%
9/25/26
500,000
501,068
(a)(b)
Marsh & McLennan Cos. Inc., Senior Notes (SOFR + 0.700%)
4.327%
11/8/27
370,000
371,672
(a)
MassMutual Global Funding II, Secured Notes (SOFR + 0.740%)
4.372%
4/9/27
625,000
626,701
(a)(b)
Met Tower Global Funding, Senior Secured Notes
4.000%
10/1/27
180,000
179,067
(b)
Met Tower Global Funding, Senior Secured Notes
4.000%
1/14/29
2,015,000
1,987,426
(b)
Metropolitan Life Global Funding I, Secured Notes
4.150%
8/25/28
1,874,000
1,859,789
(b)
Metropolitan Life Global Funding I, Secured Notes (SOFR + 0.700%)
4.338%
6/11/27
280,000
280,781
(a)(b)
Metropolitan Life Global Funding I, Secured Notes (SOFR + 0.700%)
4.335%
8/25/28
514,000
515,230
(a)(b)
Mutual of Omaha Cos. Global Funding, Secured Notes
5.350%
4/9/27
220,000
221,798
(b)
New York Life Global Funding, Secured Notes (SOFR + 0.660%)
4.290%
7/25/28
370,000
370,549
(a)(b)
New York Life Global Funding, Senior Secured Notes (SOFR + 0.880%)
4.510%
4/25/28
625,000
629,499
(a)(b)
Northwestern Mutual Global Funding, Secured Notes (SOFR + 0.660%)
4.295%
8/25/28
500,000
500,677
(a)(b)
Pacific Life Global Funding II, Secured Notes (SOFR + 0.580%)
4.217%
12/20/27
108,000
108,182
(a)(b)
Pacific Life Global Funding II, Secured Notes (SOFR + 0.850%)
4.478%
2/5/27
370,000
371,133
(a)(b)
Principal Life Global Funding II, Secured Notes (SOFR + 0.810%)
4.438%
8/18/28
2,065,000
2,069,023
(a)(b)
Protective Life Global Funding, Secured Notes
4.335%
9/13/27
210,000
209,533
(b)
Protective Life Global Funding, Secured Notes
4.161%
1/15/29
1,120,000
1,105,298
(b)
Total Insurance
21,044,027
 
Total Financials
296,587,065
See Notes to Schedules of Investments.

190
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Health Care — 1.4%
Biotechnology — 0.2%
AbbVie Inc., Senior Notes
3.775%
3/3/28
 $645,000
 $638,717
AbbVie Inc., Senior Notes (SOFR + 0.480%)
4.119%
3/3/28
225,000
225,242
(a)
Total Biotechnology
863,959
Health Care Equipment & Supplies — 0.0%††
GE HealthCare Technologies Inc., Senior Notes
4.150%
12/15/28
85,000
84,256
Health Care Providers & Services — 0.4%
CVS Health Corp., Senior Notes
3.000%
8/15/26
765,000
763,539
CVS Health Corp., Senior Notes
3.625%
4/1/27
1,585,000
1,576,021
Total Health Care Providers & Services
2,339,560
Life Sciences Tools & Services — 0.1%
Illumina Inc., Senior Notes
4.650%
9/9/26
410,000
410,148
Pharmaceuticals — 0.7%
Eli Lilly & Co., Senior Notes
4.000%
10/15/28
240,000
238,456
Eli Lilly & Co., Senior Notes (SOFR + 0.350%)
3.981%
5/20/28
540,000
540,089
(a)
Eli Lilly & Co., Senior Notes (SOFR + 0.530%)
4.164%
10/15/28
600,000
601,523
(a)
Haleon US Capital LLC, Senior Notes
3.375%
3/24/27
1,154,000
1,145,712
Merck & Co. Inc., Senior Notes (SOFR + 0.570%)
4.208%
3/15/29
370,000
371,224
(a)
Novartis Capital Corp., Senior Notes (SOFR + 0.520%)
4.148%
11/5/28
310,000
310,877
(a)
Novartis Capital Corp., Senior Notes (SOFR + 0.650%)
4.289%
3/16/29
380,000
381,930
(a)
Pfizer Inc., Senior Notes (SOFR + 0.500%)
4.128%
11/15/27
180,000
180,452
(a)
Total Pharmaceuticals
3,770,263
 
Total Health Care
7,468,186
Industrials — 4.4%
Aerospace & Defense — 2.1%
BAE Systems PLC, Senior Notes
5.000%
3/26/27
2,318,000
2,327,186
(b)
Boeing Co., Senior Notes
2.700%
2/1/27
2,257,000
2,232,639
Boeing Co., Senior Notes
5.040%
5/1/27
1,946,000
1,951,819
Honeywell Aerospace Inc., Senior Notes
3.900%
3/16/28
2,388,000
2,364,680
(b)
Honeywell Aerospace Inc., Senior Notes (SOFR + 0.630%)
4.269%
3/16/29
980,000
980,725
(a)(b)
RTX Corp., Senior Notes
3.125%
5/4/27
1,245,000
1,232,264
Total Aerospace & Defense
11,089,313
Building Products — 0.3%
Owens Corning, Senior Notes
3.400%
8/15/26
432,000
431,368
Owens Corning, Senior Notes
5.500%
6/15/27
1,410,000
1,422,365
Total Building Products
1,853,733
Commercial Services & Supplies — 0.1%
Veralto Corp., Senior Notes
5.500%
9/18/26
497,000
497,861
Electrical Equipment — 0.1%
Eaton Corp., Senior Notes
3.950%
3/6/29
270,000
266,169
Ground Transportation — 0.0%††
Canadian Pacific Railway Co., Senior Notes
4.000%
3/15/29
190,000
187,232
Industrial Conglomerates — 0.0%††
Siemens Funding BV, Senior Notes (SOFR + 0.640%)
4.275%
5/26/28
200,000
200,769
(a)(b)
Machinery — 1.8%
John Deere Capital Corp., Senior Notes
4.900%
6/11/27
500,000
503,072
See Notes to Schedules of Investments.

191
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Machinery — continued
John Deere Capital Corp., Senior Notes (SOFR + 0.500%)
4.138%
3/6/28
 $820,000
 $821,842
(a)
John Deere Capital Corp., Senior Notes (SOFR + 0.550%)
4.188%
3/9/29
855,000
855,898
(a)
John Deere Capital Corp., Senior Notes (SOFR + 0.580%)
4.218%
9/11/28
360,000
361,375
(a)
Mizuho Bank Ltd., Senior Notes (SOFR + 0.800%)
4.433%
4/16/29
1,645,000
1,655,311
(a)(b)
Sumitomo Mitsui Trust Bank Ltd., Senior Notes
5.200%
3/7/27
315,000
316,770
(b)
Sumitomo Mitsui Trust Bank Ltd., Senior Notes
3.950%
3/5/29
405,000
398,814
(b)
Sumitomo Mitsui Trust Bank Ltd., Senior Notes (SOFR + 0.710%)
4.349%
3/5/29
1,980,000
1,987,882
(a)(b)
Sumitomo Mitsui Trust Bank Ltd., Senior Notes (SOFR + 0.750%)
4.388%
9/11/28
1,790,000
1,798,126
(a)(b)
Sumitomo Mitsui Trust Bank Ltd., Senior Notes (SOFR + 0.980%)
4.618%
9/10/27
685,000
689,822
(a)(b)
Total Machinery
9,388,912
 
Total Industrials
23,483,989
Information Technology — 0.9%
Electronic Equipment, Instruments & Components — 0.2%
Amphenol Corp., Senior Notes
3.800%
11/15/27
240,000
238,277
Amphenol Corp., Senior Notes
4.375%
6/12/28
615,000
614,352
Amphenol Corp., Senior Notes (SOFR + 0.530%)
4.158%
11/15/27
85,000
85,100
(a)
Total Electronic Equipment, Instruments & Components
937,729
Semiconductors & Semiconductor Equipment — 0.4%
Broadcom Inc., Senior Notes
4.800%
4/15/28
335,000
337,007
NVIDIA Corp., Senior Notes
4.350%
6/15/29
1,670,000
1,665,196
Total Semiconductors & Semiconductor Equipment
2,002,203
Software — 0.3%
Oracle Corp., Senior Notes (SOFR + 0.760%)
4.387%
8/3/28
485,000
480,958
(a)
Salesforce Inc., Senior Notes
4.500%
3/15/28
474,000
473,571
Synopsys Inc., Senior Notes
4.550%
4/1/27
465,000
465,749
Synopsys Inc., Senior Notes
4.650%
4/1/28
300,000
300,440
Total Software
1,720,718
 
Total Information Technology
4,660,650
Materials — 0.5%
Chemicals — 0.2%
Nutrien Ltd., Senior Notes
5.200%
6/21/27
1,200,000
1,207,057
Construction Materials — 0.0%††
Vulcan Materials Co., Senior Notes
3.900%
4/1/27
85,000
84,697
Metals & Mining — 0.2%
Glencore Funding LLC, Senior Notes (SOFR + 0.750%)
4.386%
10/1/26
534,000
534,565
(a)(b)
Glencore Funding LLC, Senior Notes (SOFR + 1.060%)
4.695%
4/4/27
569,000
571,437
(a)(b)
Rio Tinto Finance USA PLC, Senior Notes (SOFR + 0.840%)
4.478%
3/14/28
140,000
140,941
(a)
Total Metals & Mining
1,246,943
Paper & Forest Products — 0.1%
Georgia-Pacific LLC, Senior Notes
4.400%
6/30/28
270,000
269,053
(b)
 
Total Materials
2,807,750
Real Estate — 1.1%
Office REITs — 0.1%
Boston Properties LP, Senior Notes
2.750%
10/1/26
533,000
531,296
Real Estate Management & Development — 0.1%
Simon Property Group LP, Senior Notes
3.375%
12/1/27
325,000
320,388
See Notes to Schedules of Investments.

192
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Residential REITs — 0.1%
Camden Property Trust, Senior Notes
5.850%
11/3/26
 $500,000
 $502,200
Specialized REITs — 0.8%
American Tower Corp., Senior Notes
3.375%
10/15/26
1,729,000
1,724,329
American Tower Corp., Senior Notes
3.650%
3/15/27
1,698,000
1,688,765
Public Storage Operating Co., Senior Notes (SOFR + 0.700%)
4.333%
4/16/27
1,004,000
1,006,301
(a)
Total Specialized REITs
4,419,395
 
Total Real Estate
5,773,279
Utilities — 1.9%
Electric Utilities — 1.0%
Constellation Energy Generation LLC, Senior Notes
3.900%
1/8/28
180,000
178,509
Constellation Energy Generation LLC, Senior Notes (SOFR + 0.600%)
4.233%
1/8/28
685,000
685,706
(a)
ENEL Finance International NV, Senior Notes
4.125%
9/30/28
200,000
197,650
(b)
Eversource Energy, Senior Notes
2.900%
3/1/27
100,000
99,010
Georgia Power Co., Senior Notes
4.600%
6/15/29
655,000
656,264
Georgia Power Co., Senior Notes (SOFR + 0.280%)
3.918%
9/15/26
140,000
140,023
(a)
Georgia Power Co., Senior Notes (SOFR + 0.420%)
4.053%
11/22/27
460,000
461,042
(a)
NextEra Energy Capital Holdings Inc., Senior Notes
3.550%
5/1/27
1,630,000
1,619,606
NextEra Energy Capital Holdings Inc., Senior Notes
4.685%
9/1/27
85,000
85,218
NextEra Energy Capital Holdings Inc., Senior Notes
4.850%
2/4/28
288,000
289,676
NextEra Energy Capital Holdings Inc., Senior Notes (SOFR + 0.800%)
4.428%
2/4/28
560,000
562,420
(a)
Wisconsin Electric Power Co., Senior Notes
3.950%
3/1/29
145,000
143,163
Total Electric Utilities
5,118,287
Gas Utilities — 0.0%††
Southern Co. Gas Capital Corp., Senior Notes
4.050%
9/15/28
75,000
74,237
Multi-Utilities — 0.9%
Ameren Corp., Senior Notes
5.700%
12/1/26
555,000
557,604
Dominion Energy Inc., Senior Notes
4.600%
5/15/28
205,000
205,129
DTE Energy Co., Senior Notes
4.950%
7/1/27
2,040,000
2,050,492
DTE Energy Co., Senior Notes
4.875%
6/1/28
1,160,000
1,165,248
NiSource Inc., Senior Notes
3.490%
5/15/27
255,000
253,098
Sempra, Senior Notes (SOFR + 0.670%)
4.313%
1/7/28
300,000
301,417
(a)
WEC Energy Group Inc., Senior Notes
5.600%
9/12/26
220,000
220,322
Total Multi-Utilities
4,753,310
 
Total Utilities
9,945,834
Total Corporate Bonds & Notes (Cost — $395,895,207)
395,811,638
U.S. Government & Agency Obligations — 2.1%
U.S. Government Obligations — 2.1%
U.S. Treasury Notes
3.375%
2/29/28
5,370,000
5,303,504
U.S. Treasury Notes
3.750%
4/30/28
5,625,000
5,585,010
 
Total U.S. Government & Agency Obligations (Cost — $10,917,553)
10,888,514
Total Investments before Short-Term Investments (Cost — $406,812,760)
406,700,152
 
Short-Term Investments — 26.3%
Commercial Paper — 26.0%
Agree LP
4.222%
7/1/26
5,200,000
5,199,411
(d)
Alexandria Real Estate Equities Inc.
3.991%
7/6/26
265,000
264,830
(d)
Alimentation Couche-Tard Inc.
4.111%
7/6/26
565,000
564,626
(d)
See Notes to Schedules of Investments.

193
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Commercial Paper — continued
Alimentation Couche-Tard Inc.
4.127%
7/9/26
 $880,000
 $879,123
(d)
Alimentation Couche-Tard Inc.
4.131%
7/10/26
750,000
749,169
(d)
Alimentation Couche-Tard Inc.
4.151%
7/15/26
870,000
868,547
(d)
Alimentation Couche-Tard Inc.
4.159%
7/17/26
1,120,000
1,117,877
(d)
American Honda Finance Corp.
4.035%
7/6/26
1,110,000
1,109,278
(d)
American Honda Finance Corp.
4.045%
7/10/26
465,000
464,495
(d)
AutoNation Inc.
4.222%
7/1/26
5,250,000
5,249,405
(d)
AvalonBay Communities Inc.
4.046%
7/7/26
2,415,000
2,413,164
(d)
AvalonBay Communities Inc.
4.053%
7/9/26
2,505,000
2,502,547
(d)
BAT International Finance PLC
3.998%
7/1/26
800,000
799,914
(d)
Bayer AG
4.548%
12/9/26
500,000
490,226
(d)
Boston Properties LP
4.112%
7/8/26
815,000
814,280
(d)
Boston Properties LP
4.127%
7/13/26
660,000
659,050
(d)
Boston Properties LP
4.133%
7/15/26
795,000
793,678
(d)
Boston Properties LP
4.161%
7/23/26
850,000
847,819
(d)
Boston Scientific Corp.
4.046%
7/7/26
1,300,000
1,299,012
(d)
Boston Scientific Corp.
4.083%
7/14/26
1,610,000
1,607,531
(d)
Boston Scientific Corp.
4.123%
7/23/26
815,000
812,928
(d)
Boston Scientific Corp.
4.147%
8/6/26
755,000
751,897
(d)
Cabot Corp.
3.998%
7/1/26
3,325,000
3,324,643
(d)
Charles Schwab Corp.
3.765%
7/8/26
665,000
664,462
(d)
Conagra Brands Inc.
4.097%
7/1/26
5,000,000
4,999,450
(d)
Duke Energy Corp.
4.026%
7/22/26
1,180,000
1,177,196
(d)
Enel Finance America LLC
4.215%
9/18/26
815,000
807,659
(d)
Energy Transfer LP
3.998%
7/1/26
4,900,000
4,899,474
(d)
ERAC USA Finance LLC
4.241%
7/30/26
900,000
896,932
(d)
ERAC USA Finance LLC
4.243%
7/31/26
1,325,000
1,320,332
(d)
Essex Portfolio LP
4.059%
7/2/26
1,350,000
1,349,706
(d)
Essex Portfolio LP
4.098%
7/7/26
535,000
534,588
(d)
Essex Portfolio LP
4.106%
7/8/26
1,255,000
1,253,894
(d)
Essex Portfolio LP
4.154%
7/14/26
2,140,000
2,136,662
(d)
Extra Space Storage LP
3.998%
7/1/26
960,000
959,897
(d)
Extra Space Storage LP
4.006%
7/2/26
450,000
449,903
(d)
Extra Space Storage LP
4.038%
7/6/26
805,000
804,476
(d)
Extra Space Storage LP
4.061%
7/9/26
990,000
989,029
(d)
Extra Space Storage LP
4.114%
7/16/26
710,000
708,746
(d)
Extra Space Storage LP
4.219%
7/21/26
1,015,000
1,012,590
(d)
General Motors Co.
4.192%
8/7/26
250,000
248,933
(d)
General Motors Financial Co. Inc.
3.945%
7/1/26
1,250,000
1,249,867
(d)
General Motors Financial Co. Inc.
4.372%
10/6/26
2,045,000
2,021,641
(d)
General Motors Financial Co. Inc.
4.431%
10/21/26
815,000
804,134
(d)
Glencore Funding LLC
4.157%
8/10/26
400,000
398,174
(d)
Haleon PLC
4.181%
7/10/26
600,000
599,327
(d)
HCA Inc.
4.207%
7/1/26
5,250,000
5,249,407
(d)
Humana Inc.
4.114%
7/20/26
1,995,000
1,990,597
(d)
Intercontinental Exchange Inc.
4.192%
7/1/26
855,000
854,904
(d)
See Notes to Schedules of Investments.

194
Franklin Templeton ETF Trust 2026 Quarterly Report

 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Commercial Paper — continued
Intercontinental Exchange Inc.
4.249%
7/2/26
 $1,135,000
 $1,134,741
(d)
Intercontinental Exchange Inc.
4.232%
7/8/26
1,035,000
1,034,060
(d)
Intercontinental Exchange Inc.
4.186%
7/21/26
780,000
778,162
(d)
Intercontinental Exchange Inc.
4.187%
7/22/26
285,000
284,296
(d)
Kenvue Inc.
3.756%
7/10/26
1,985,000
1,982,996
(d)
Kenvue Inc.
3.762%
7/13/26
1,800,000
1,797,634
(d)
Kenvue Inc.
3.777%
7/20/26
410,000
409,168
(d)
Kenvue Inc.
3.804%
7/29/26
1,000,000
997,038
(d)
Macquarie Group Ltd.
4.448%
12/14/26
995,000
975,385
(d)
Marriott International Inc.
4.205%
7/23/26
1,400,000
1,396,371
(d)
Marriott International Inc.
4.155%
7/28/26
780,000
777,568
(d)
Marriott International Inc.
4.135%
7/30/26
870,000
867,107
(d)
McCormick & Co. Inc.
4.145%
8/5/26
1,000,000
996,002
(d)
McCormick & Co. Inc.
4.177%
8/21/26
650,000
646,222
(d)
Mercedes-Benz Finance North America LLC
3.986%
8/5/26
1,085,000
1,080,825
(d)
Mid-America Apartments LP
4.006%
7/2/26
615,000
614,868
(d)
Mid-America Apartments LP
4.038%
7/6/26
1,205,000
1,204,216
(d)
Mid-America Apartments LP
4.050%
7/8/26
430,000
429,626
(d)
Mid-America Apartments LP
4.073%
7/14/26
1,205,000
1,203,156
(d)
Mid-America Apartments LP
4.081%
7/16/26
1,850,000
1,846,759
(d)
National Grid Holdings Inc.
4.123%
7/23/26
680,000
678,271
(d)
NiSource Inc.
3.998%
7/1/26
655,000
654,930
(d)
NiSource Inc.
4.061%
7/10/26
1,325,000
1,323,556
(d)
NiSource Inc.
4.083%
7/14/26
2,000,000
1,996,933
(d)
O’Reilly Automotive Inc.
4.038%
7/6/26
2,185,000
2,183,579
(d)
O’Reilly Automotive Inc.
4.055%
7/10/26
260,000
259,717
(d)
O’Reilly Automotive Inc.
4.063%
7/13/26
810,000
808,852
(d)
O’Reilly Automotive Inc.
4.072%
7/16/26
1,300,000
1,297,727
(d)
ONEOK Inc.
4.072%
7/9/26
1,325,000
1,323,697
(d)
Penske Truck Leasing Co. LP
4.091%
7/2/26
565,000
564,876
(d)
Penske Truck Leasing Co. LP
4.130%
7/7/26
585,000
584,546
(d)
Penske Truck Leasing Co. LP
4.147%
7/9/26
845,000
844,154
(d)
Penske Truck Leasing Co. LP
4.188%
7/14/26
705,000
703,891
(d)
Penske Truck Leasing Co. LP
4.221%
7/22/26
455,000
453,868
(d)
Penske Truck Leasing Co. LP
4.380%
8/17/26
1,290,000
1,282,748
(d)
Realty Income Corp.
3.998%
7/1/26
3,900,000
3,899,581
(d)
Realty Income Corp.
4.006%
7/2/26
1,350,000
1,349,709
(d)
Ryder System Inc.
4.051%
7/8/26
820,000
819,287
(d)
Ryder System Inc.
4.077%
7/13/26
930,000
928,677
(d)
Sempra
3.998%
7/1/26
3,000,000
2,999,678
(d)
Sherwin-Williams Co.
3.967%
7/14/26
1,240,000
1,238,151
(d)
Simon Property Group LP
4.061%
7/10/26
650,000
649,291
(d)
Simon Property Group LP
4.114%
7/20/26
1,805,000
1,801,017
(d)
Simon Property Group LP
4.125%
7/24/26
550,000
548,540
(d)
Simon Property Group LP
4.144%
8/4/26
630,000
627,552
(d)
Southern Cosmetics
4.051%
7/8/26
2,000,000
1,998,260
(d)
See Notes to Schedules of Investments.

195
Franklin Templeton ETF Trust 2026 Quarterly Report

Schedules of Investments (unaudited) (cont’d)
June 30, 2026
 Franklin Ultra Short Bond ETF
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Commercial Paper — continued
Southern Cosmetics
4.123%
7/23/26
 $1,105,000
 $1,102,190
(d)
Sumitomo Mitsui Trust Bank Ltd.
4.020%
12/11/26
500,000
500,382
(d)
Targa Resources Corp.
4.093%
7/1/26
5,250,000
5,249,423
(d)
UDR Inc.
4.006%
7/2/26
930,000
929,800
(d)
UDR Inc.
4.046%
7/7/26
1,425,000
1,423,917
(d)
WEC Energy Group Inc.
4.038%
7/6/26
1,560,000
1,558,985
(d)
WEC Energy Group Inc.
4.077%
7/13/26
1,105,000
1,103,428
(d)
WEC Energy Group Inc.
4.119%
7/21/26
2,000,000
1,995,360
(d)
 
Total Commercial Paper (Cost — $138,123,172)
138,106,203
Certificates of Deposit — 0.3%
Banco Bilbao Vizcaya Argentaria SA
4.240%
3/23/27
460,000
459,697
Intesa Sanpaolo SpA
4.400%
8/19/26
610,000
610,301
Intesa Sanpaolo SpA
0.041%
1/14/27
680,000
678,962
Royal Bank of Canada
4.030%
3/12/27
250,000
249,643
 
Total Certificates of Deposit (Cost — $2,000,033)
1,998,603
 
 
 
Shares
 
Money Market Funds — 0.0%††
Franklin Institutional U.S. Government Money Market Fund, Class A Shares
(Cost — $3,223)
3.545%
3,223
3,223
(e)(f)
 
Total Short-Term Investments (Cost — $140,126,428)
140,108,029
Total Investments — 102.8% (Cost — $546,939,188)
546,808,181
Liabilities in Excess of Other Assets — (2.8)%
(15,140,590
)
Total Net Assets — 100.0%
$531,667,591
††
Represents less than 0.1%.
(a)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(b)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees.
(c)
Securities traded on a when-issued or delayed delivery basis.
(d)
Rate shown represents yield-to-maturity.
(e)
Rate shown is one-day yield as of the end of the reporting period.
(f)
In this instance, as defined in the Investment Company Act of 1940, as amended (the 1940 Act), an Affiliated Company represents Fund ownership of at
least 5% of the outstanding voting securities of an issuer, or a company which is under common ownership or control with the Fund. At June 30, 2026, the
total market value of investments in Affiliated Companies was $3,223 and the cost was $3,223 (Note 3).
Abbreviation(s) used in this schedule:
DAC
Designated Activity Company
LIBOR
London Interbank Offered Rate
SOFR
Secured Overnight Financing Rate
USD
United States Dollar
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedules of Investments.

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Notes to Schedules of Investments (unaudited)
1. Organization and significant accounting policies
Franklin Disruptive Commerce ETF (“Disruptive Commerce ETF”), Franklin Exponential Data ETF (“Exponential Data ETF”), Franklin Focused Dynamic Growth ETF (Focused Dynamic Growth ETF) (formerly Franklin Focused Growth ETF (Focused Growth ETF)), Franklin Genomic Advancements ETF (“Genomic Advancements ETF”), Franklin Intelligent Machines ETF (“Intelligent Machines ETF”), and Franklin International Aggregate Bond ETF (“International Aggregate Bond ETF”) are separate non-diversified series of Franklin Templeton ETF Trust (the “Trust”). Franklin Dividend Growth ETF (Dividend Growth ETF), Franklin Dynamic Municipal Bond ETF (“Dynamic Municipal Bond ETF”), Franklin High Yield Corporate ETF (“High Yield Corporate ETF”), Franklin Income Equity Focus ETF (“Income Equity Focus ETF”), Franklin Income Focus ETF (Income Focus ETF), Franklin Investment Grade Corporate ETF (“Investment Grade Corporate ETF”), Franklin Multisector Income ETF (Multisector Income ETF), Franklin Municipal Green Bond ETF (“Municipal Green Bond ETF”), Franklin Senior Loan ETF (“Senior Loan ETF”), Franklin Systematic Style Premia ETF (“Systematic Style Premia ETF”), Franklin U.S. Core Bond ETF (“U.S. Core Bond ETF”), Franklin U.S. Treasury Bond ETF (“U.S. Treasury Bond ETF”) and Franklin Ultra Short Bond ETF (Ultra Short Bond ETF) are separate diversified series of the Trust. The Trust, a Delaware statutory trust, is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company.
The Funds are actively managed exchange-traded funds (“ETFs”). ETFs are funds that trade like other publicly-traded securities. Unlike shares of a mutual fund, which can be bought from and redeemed by the issuing fund by all shareholders at a price based on net asset value (“NAV”), shares of the Funds may be directly purchased from and redeemed by the Funds at NAV solely by certain large institutional investors who have entered into agreements with the Funds’ distributor (“Authorized Participants”). Also unlike shares of a mutual fund, shares of the Funds are listed on a national securities exchange and trade in the secondary market at market prices that change throughout the day.
Shares of the Disruptive Commerce ETF, Exponential Data ETF, Focused Dynamic Growth ETF, Genomic Advancements ETF, High Yield Corporate ETF, Intelligent Machines ETF, International Aggregate Bond ETF, and Senior Loan ETF are listed for trading on Cboe BZX Exchange, Inc. (Cboe), a national securities exchange. Shares of the Dividend Growth ETF, Dynamic Municipal Bond ETF, Income Equity Focus ETF, Income Focus ETF, Investment Grade Corporate ETF, Municipal Green Bond ETF, Systematic Style Premia ETF, Ultra Short Bond ETF, U.S. Core Bond ETF and U.S. Treasury Bond ETF are listed for trading on NYSE Arca, Inc. Shares of Multisector Income ETF are listed for trading on NASDAQ. (Cboe and NYSE Arca, collectively with NASDAQ, the “Listing Exchanges”). The market price for a Fund’s shares may be different from a Fund’s NAV. The Funds issue and redeem shares at NAV only in blocks of a specified number of shares or multiples thereof (“Creation Units”). Only Authorized Participants may purchase or redeem Creation Units directly with the Funds at NAV. Creation Units are created and redeemed principally in-kind (although under some circumstances its shares are created and redeemed partially for cash). Except when aggregated in Creation Units, shares of the Funds are not redeemable securities. Shareholders who are not Authorized Participants may not redeem shares directly from the Funds at NAV.
The Funds follow the accounting and reporting guidance in Financial Accounting Standards Board (FASB) Accounting Standards Codification Topic 946, Financial Services Investment Companies (ASC 946). The following are significant accounting policies consistently followed by the Funds and are in conformity with U.S. generally accepted accounting principles (“GAAP”), including, but not limited to, ASC 946.
(a) Investment valuation.The valuations for fixed income securities (which may include, but are not limited to, corporate, government, municipal, mortgage-backed, collateralized mortgage obligations and asset-backed securities) and certain derivative instruments are typically the prices supplied by independent third party pricing services, which may use market prices or broker/dealer quotations or a variety of valuation techniques and methodologies. The independent third party pricing services typically use inputs that are observable such as issuer details, interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar securities. Investments in open-end funds are valued at the closing net asset value per share of each fund on the day of valuation. Futures contracts are valued daily at the settlement price established by the board of trade or exchange on which they are traded. Equity securities, including exchange-traded funds (“ETFs”), for which market quotations are available are valued at the last reported sales price or official closing price on the primary market or exchange on which they trade. When the Funds hold securities or other assets that are denominated in a foreign currency, the Funds will use the currency exchange rates, generally determined as of 4:00 p.m. (London Time). If independent third party pricing services are unable to supply prices for a portfolio investment, or if the prices supplied are deemed by the manager to be unreliable, the market price may be determined by the manager using quotations from one or more broker/dealers or at the transaction price if the security has recently been purchased and no value has yet been obtained from a pricing service or pricing broker. When reliable prices are not readily available, such as when the value of a security has been significantly affected by events after the close of the exchange or market on

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Notes to Schedules of Investments (unaudited) (cont’d)
which the security is principally traded, but before each Fund calculates its net asset value, the Funds value these securities as determined in accordance with procedures approved by the Funds’ Board of Trustees (the Board).  
Pursuant to policies adopted by the Board, the Funds’ manager has been designated as the valuation designee and is responsible for the oversight of the daily valuation process. The Funds’ manager is assisted by the Global Fund Valuation Committee (the Valuation Committee). The Valuation Committee is responsible for making fair value determinations, evaluating the effectiveness of the Funds’ pricing policies, and reporting to the Funds’ manager and the Board. When determining the reliability of third party pricing information for investments owned by the Funds, the Valuation Committee, among other things, conducts due diligence reviews of pricing vendors, monitors the daily change in prices and reviews transactions among market participants.
The Valuation Committee will consider pricing methodologies it deems relevant and appropriate when making fair value determinations. Examples of possible methodologies include, but are not limited to, multiple of earnings; discount from market of a similar freely traded security; discounted cash-flow analysis; book value or a multiple thereof; risk premium/yield analysis; yield to maturity; and/or fundamental investment analysis. The Valuation Committee will also consider factors it deems relevant and appropriate in light of the facts and circumstances. Examples of possible factors include, but are not limited to, the type of security; the issuer’s financial statements; the purchase price of the security; the discount from market value of unrestricted securities of the same class at the time of purchase; analysts’ research and observations from financial institutions; information regarding any transactions or offers with respect to the security; the existence of merger proposals or tender offers affecting the security; the price and extent of public trading in similar securities of the issuer or comparable companies; and the existence of a shelf registration for restricted securities. Additionally, if the closing net asset value per share for an underlying fund is not available on the day of valuation, the Valuation Committee may adjust the underlying fund’s last available net asset value per share to account for significant events that have occurred subsequent to the underlying fund’s last net asset value per share calculation but prior to the day of valuation.
For each portfolio security that has been fair valued pursuant to the policies adopted by the Board, the fair value price is compared against the last available and next available market quotations. The Valuation Committee reviews the results of such back testing monthly and fair valuation occurrences are reported to the Board quarterly.
The Funds use valuation techniques to measure fair value that are consistent with the market approach and/or income approach, depending on the type of security and the particular circumstance. The market approach uses prices and other relevant information generated by market transactions involving identical or comparable securities. The income approach uses valuation techniques to discount estimated future cash flows to present value.
GAAP establishes a disclosure hierarchy that categorizes the inputs to valuation techniques used to value assets and liabilities at measurement date. These inputs are summarized in the three broad levels listed below:
Level 1 — unadjusted quoted prices in active markets for identical investments
Level 2 — other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 — significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of investments)
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
The following is a summary of the inputs used in valuing the Funds’ assets and liabilities carried at fair value:
Disruptive Commerce ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Common Stocks†
 $5,023,053
 $5,023,053
Total Investments
$5,023,053
$5,023,053
See Schedules of Investments for additional detailed categorizations.

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Dividend Growth ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Common Stocks†
 $5,092,872
 $5,092,872
Short-Term Investments†
145,746
145,746
Total Investments
$5,238,618
$5,238,618
See Schedules of Investments for additional detailed categorizations.
Dynamic Municipal Bond ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Municipal Bonds
 $2,136,022,118
 $2,812
 $2,136,024,930
Corporate Bonds & Notes
7,406,850
7,406,850
Warrants
0
*
0*
Total Long-Term Investments
2,143,428,968
2,812
2,143,431,780
Short-Term Investments†
158,365,000
158,365,000
Total Investments
$2,301,793,968
$2,812
$2,301,796,780
See Schedules of Investments for additional detailed categorizations.
*
Amount represents less than $1.
Exponential Data ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Common Stocks†
 $3,705,956
 $3,705,956
Short-Term Investments†
32,265
32,265
Total Investments
$3,738,221
$3,738,221
See Schedules of Investments for additional detailed categorizations.
Focused Dynamic Growth ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Common Stocks†
 $309,652,745
 $309,652,745
Short-Term Investments†
2,151,729
2,151,729
Total Investments
$311,804,474
$311,804,474
See Schedules of Investments for additional detailed categorizations.

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Notes to Schedules of Investments (unaudited) (cont’d)
Genomic Advancements ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Common Stocks:
Health Care
 $26,442,124
 $0
*
 $26,442,124
Other Common Stocks
901,777
901,777
Preferred Stocks
237,564
237,564
Total Investments
$27,581,465
$0
*
$27,581,465
See Schedules of Investments for additional detailed categorizations.
*
Amount represents less than $1.
High Yield Corporate ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Corporate Bonds & Notes
 $1,129,709,568
 $1,129,709,568
Convertible Preferred Stocks
 $5,938,806
5,938,806
Municipal Bonds
1,613,914
1,613,914
Convertible Bonds & Notes
1,444,490
1,444,490
Senior Loans
1,305,446
1,305,446
Common Stocks:
Financials
 $165
165
Health Care
152,072
152,072
Rights
8,014
8,014
Total Long-Term Investments
5,938,806
1,134,233,504
165
1,140,172,475
Short-Term Investments†
25,060,596
25,060,596
Total Investments
$30,999,402
$1,134,233,504
$165
$1,165,233,071
See Schedules of Investments for additional detailed categorizations.
Income Equity Focus ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Common Stocks
 $66,694,408
 $66,694,408
Equity-Linked Securities
 $45,039,932
45,039,932
Convertible Preferred Stocks
11,089,976
11,089,976
Total Long-Term Investments
77,784,384
45,039,932
122,824,316
Short-Term Investments†
4,652,135
4,652,135
Total Investments
$82,436,519
$45,039,932
$127,476,451
See Schedules of Investments for additional detailed categorizations.

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Franklin Templeton ETF Trust 2026 Quarterly Report

Income Focus ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Corporate Bonds & Notes
 $519,514,784
 $519,514,784
Common Stocks
 $429,296,480
429,296,480
Equity-Linked Securities
326,370,664
326,370,664
U.S. Government & Agency Obligations
118,135,117
118,135,117
Convertible Preferred Stocks
88,699,895
88,699,895
Mortgage-Backed Securities
71,561,084
71,561,084
Senior Loans
15,090,050
15,090,050
Total Long-Term Investments
517,996,375
1,050,671,699
1,568,668,074
Short-Term Investments†
55,244,047
55,244,047
Total Investments
$573,240,422
$1,050,671,699
$1,623,912,121
See Schedules of Investments for additional detailed categorizations.
Intelligent Machines ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Common Stocks
 $114,380,003
 $114,380,003
Warrants
 $0
*
0*
Total Long-Term Investments
114,380,003
0
*
114,380,003
Short-Term Investments†
3,294,835
3,294,835
Total Investments
$117,674,838
$0
*
$117,674,838
See Schedules of Investments for additional detailed categorizations.
*
Amount represents less than $1.
International Aggregate Bond ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Sovereign Bonds
 $597,872,704
 $597,872,704
Corporate Bonds & Notes
64,415,160
64,415,160
Total Long-Term Investments
662,287,864
662,287,864
Short-Term Investments†
 $24,713,732
24,713,732
Total Investments
$24,713,732
$662,287,864
$687,001,596
Other Financial Instruments:
Forward Foreign Currency Contracts††
 $17,788,119
 $17,788,119
Total
$24,713,732
$680,075,983
$704,789,715

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Notes to Schedules of Investments (unaudited) (cont’d)
LIABILITIES
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Other Financial Instruments:
Forward Foreign Currency Contracts††
 $378,071
 $378,071
See Schedules of Investments for additional detailed categorizations.
††
Reflects the unrealized appreciation (depreciation) of the instruments.
Investment Grade Corporate ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Corporate Bonds & Notes
 $571,522,850
 $571,522,850
U.S. Government & Agency Obligations
1,594,375
1,594,375
Total Long-Term Investments
573,117,225
573,117,225
Short-Term Investments†
 $7,203,653
7,203,653
Total Investments
$7,203,653
$573,117,225
$580,320,878
See Schedules of Investments for additional detailed categorizations.
Multisector Income ETF 
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Corporate Bonds & Notes
 $6,759,314
 $6,759,314
Collateralized Mortgage Obligations
2,762,883
2,762,883
Mortgage-Backed Securities
2,474,080
2,474,080
Asset-Backed Securities
1,572,567
1,572,567
Sovereign Bonds
1,359,135
1,359,135
Senior Loans
129,077
129,077
Total Long-Term Investments
15,057,056
15,057,056
Short-Term Investments†
 $2,044,220
2,044,220
Total Investments
$2,044,220
$15,057,056
$17,101,276
Other Financial Instruments:
Centrally Cleared Interest Rate Swaps††
 $20,533
 $20,533
OTC Total Return Swaps
1,722
1,722
Total Other Financial Instruments
$22,255
$22,255
Total
$2,044,220
$15,079,311
$17,123,531

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LIABILITIES
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Securities Sold Short†:
Mortgage-Backed Securities
 $323,916
 $323,916
Other Financial Instruments:
Centrally Cleared Interest Rate Swaps††
5,568
5,568
Total
$329,484
$329,484
See Schedules of Investments for additional detailed categorizations.
††
Reflects the unrealized appreciation (depreciation) of the instruments.
Municipal Green Bond ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Municipal Bonds
 $76,835,531
 $76,835,531
Collateralized Mortgage Obligations
76,790
76,790
Total Long-Term Investments
76,912,321
76,912,321
Short-Term Investments†
300,000
300,000
Total Investments
$77,212,321
$77,212,321
See Schedules of Investments for additional detailed categorizations.
Senior Loan ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Senior Loans
 $724,753,326
 $724,753,326
Corporate Bonds & Notes
33,022,496
33,022,496
Investments in Underlying Funds
 $21,626,947
21,626,947
Asset-Backed Securities
1,255,788
1,255,788
Common Stocks
384,336
384,336
Total Long-Term Investments
21,626,947
759,415,946
781,042,893
Short-Term Investments†
83,064,528
83,064,528
Total Investments
$104,691,475
$759,415,946
$864,107,421
See Schedules of Investments for additional detailed categorizations.
Systematic Style Premia ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Common Stocks
 $643,255,918
 $643,255,918
Rights
 $45
45
Warrants
0
*
0*
Total Long-Term Investments
643,255,918
45
643,255,963

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Notes to Schedules of Investments (unaudited) (cont’d)
ASSETS (cont’d)
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Short-Term Investments†
 $220,663,075
 $220,663,075
Total Investments
$863,918,993
$45
$863,919,038
Other Financial Instruments:
Futures Contracts††
 $10,176,207
 $10,176,207
Forward Foreign Currency Contracts††
 $14,037,818
14,037,818
Total Other Financial Instruments
$10,176,207
$14,037,818
$24,214,025
Total
$874,095,200
$14,037,818
$45
$888,133,063
LIABILITIES
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Other Financial Instruments:
Futures Contracts††
 $26,970,951
 $26,970,951
Forward Foreign Currency Contracts††
 $7,424,012
7,424,012
OTC Total Return Swaps
4,696,212
4,696,212
Total
$26,970,951
$12,120,224
$39,091,175
See Schedules of Investments for additional detailed categorizations.
*
Amount represents less than $1.
††
Reflects the unrealized appreciation (depreciation) of the instruments.
U.S. Core Bond ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
U.S. Government & Agency Obligations
 $979,279,574
 $979,279,574
Corporate Bonds & Notes
944,040,058
944,040,058
Mortgage-Backed Securities
791,764,254
791,764,254
Collateralized Mortgage Obligations
367,558,304
367,558,304
Asset-Backed Securities
236,083,775
236,083,775
Municipal Bonds
36,778,611
36,778,611
Investments in Underlying Funds
 $12,283,423
12,283,423
Total Long-Term Investments
12,283,423
3,355,504,576
3,367,787,999
Short-Term Investments†:
Commercial Paper
71,742,698
71,742,698
Money Market Funds
48,356,566
48,356,566
Total Short-Term Investments
48,356,566
71,742,698
120,099,264
Total Investments
$60,639,989
$3,427,247,274
$3,487,887,263
See Schedules of Investments for additional detailed categorizations.

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Franklin Templeton ETF Trust 2026 Quarterly Report

U.S. Treasury Bond ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
U.S. Government & Agency Obligations
 $981,418,087
 $981,418,087
U.S. Treasury Inflation Protected Securities
39,027,564
39,027,564
Total Long-Term Investments
1,020,445,651
1,020,445,651
Short-Term Investments†
 $9,374,833
9,374,833
Total Investments
$9,374,833
$1,020,445,651
$1,029,820,484
See Schedules of Investments for additional detailed categorizations.
Ultra Short Bond ETF
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
Corporate Bonds & Notes
 $395,811,638
 $395,811,638
U.S. Government & Agency Obligations
10,888,514
10,888,514
Total Long-Term Investments
406,700,152
406,700,152
Short-Term Investments†:
Commercial Paper
138,106,203
138,106,203
Certificates of Deposit
1,998,603
1,998,603
Money Market Funds
 $3,223
3,223
Total Short-Term Investments
3,223
140,104,806
140,108,029
Total Investments
$3,223
$546,804,958
$546,808,181
See Schedules of Investments for additional detailed categorizations.
2. Investments in FLSP holdings corporation
Systematic Style Premia ETF, (the “Fund”), invests in certain financial instruments and commodities/or commodity linked derivative investments. The FLSP Holdings Corporation is a Cayman Islands exempted company with limited liability, is a wholly-owned subsidiary of the Fund, and is able to invest in certain financial instruments and/or commodity-linked derivative investments consistent with the investment objective of the Fund. At June 30, 2026, the FLSP Holdings Corporation’s investments as well as any other assets and liabilities of the FSLP Holdings Corporation are reflected in the Fund’s Consolidated Schedules of Investments and Consolidated Statements of Assets and Liabilities. All intercompany balances and transactions have been eliminated. At June 30, 2026, the net assets of the FLSP Holdings Corporation were $26,137,898, representing 2.74% of the Fund’s consolidated net assets. The Fund’s investment(s) in the FLSP Holdings Corporation is limited to 25% of consolidated assets.
3. Transactions with affiliated companies
As defined by the 1940 Act, an affiliated company is one in which the Funds own 5% or more of the outstanding voting securities, or a company which is under common ownership or control with the Funds. The following companies were considered affiliated companies for all or some portion of the period ended June 30, 2026. The following transactions were effected in such companies for the period ended June 30, 2026.
Dividend Growth ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government Money Market
Fund, Class A Shares
 $128,493
 $230,488
230,488
 $213,235
213,235
 $1,357
 $145,746

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Franklin Templeton ETF Trust 2026 Quarterly Report

Notes to Schedules of Investments (unaudited) (cont’d)

Exponential Data ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government Money Market
Fund, Class A Shares
 $129,820
 $243,869
243,869
 $341,424
341,424
 $648
 $32,265

Focused Dynamic Growth ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government
Money Market Fund, Class A Shares
 $937,212
 $16,032,218
16,032,218
 $14,817,701
14,817,701
 $25,939
 $2,151,729

High Yield Corporate ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government
Money Market Fund, Class A Shares
 $34,462,779
 $72,567,762
72,567,762
 $81,969,945
81,969,945
 $309,625
 $25,060,596

Income Equity Focus ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government
Money Market Fund, Class A Shares
 $3,122,478
 $28,128,139
28,128,139
 $26,598,482
26,598,482
 $32,650
 $4,652,135

Income Focus ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S.
Government Money Market Fund,
Class A Shares
 $74,158,691
 $145,285,120
145,285,120
 $164,199,764
164,199,764
 $426,954
 $55,244,047

Intelligent Machines ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government Money
Market Fund, Class A Shares
 $3,294,835
3,294,835
 $319
 $3,294,835

International Aggregate Bond ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government
Money Market Fund, Class A Shares
 $69,987,874
 $44,844,008
44,844,008
 $90,118,150
90,118,150
 $486,105
 $24,713,732

Investment Grade Corporate ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government
Money Market Fund, Class A Shares
 $5,872,377
 $50,495,339
50,495,339
 $49,164,063
49,164,063
 $40,699
 $7,203,653

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Franklin Templeton ETF Trust 2026 Quarterly Report


Multisector Income ETF 
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government Money
Market Fund, Class A Shares
 $606,423
 $2,344,545
2,344,545
 $906,748
906,748
 $5,529
 $2,044,220

Senior Loan ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Money Market Funds:
Franklin Institutional U.S. Government
Money Market Fund, Class A Shares
 $43,063,904
 $132,798,022
132,798,022
 $92,797,398
92,797,398
 $701,071
 $83,064,528
Investments in Underlying Funds:
Franklin Templeton ETF Trust —
Franklin High Yield Corporate ETF
6,179,019
100,116
 $38,395
6,217,414
Total
$49,242,923
$132,798,022
$92,797,398
$801,187
$38,395
$89,281,942

Systematic Style Premia ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S.
Government Money Market
Fund, Class A Shares
 $185,378,756
 $402,404,191
402,404,191
 $378,213,837
378,213,837
 $1,735,800
 $209,569,110

U.S. Core Bond ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Money Market Funds:
Franklin Institutional U.S.
Government Money Market Fund,
Class A Shares
 $54,330,305
 $485,458,445
485,458,445
 $491,432,184
491,432,184
 $278,662
 $48,356,566
Investments in Underlying Funds:
Franklin Templeton ETF Trust —
Franklin Ultra Short Bond ETF
12,280,970
490,650
 $2,453
12,283,423
Total
$54,330,305
$497,739,415
$491,432,184
$278,662
$2,453
$60,639,989

U.S. Treasury Bond ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government
Money Market Fund, Class A Shares
 $6,778,710
 $34,593,214
34,593,214
 $31,997,091
31,997,091
 $114,947
 $9,374,833

Ultra Short Bond ETF
Affiliate
Value at

March 31,
2026
Purchased
Sold
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
June 30,
2026
Cost
Shares
Proceeds
Shares
Franklin Institutional U.S. Government Money
Market Fund, Class A Shares
 $3,409
 $18,534,014
18,534,014
 $18,534,200
18,534,200
 $4,221
 $3,223

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Franklin Templeton ETF Trust 2026 Quarterly Report

Notes to Schedules of Investments (unaudited) (cont’d)
4. Restricted securities
The following investments in Genomic Advancements ETF are restricted as to resale and, in the absence of readily ascertainable market values, are fair valued in accordance with procedures approved by the Board.
Security
Number of
Shares
Acquisition
Date
Cost
Value
at 6/30/2026
Value Per
Share
Percent of
Net Assets
OmniAb Inc., $12.50 EARNOUT, Common Shares
240
11/22
 $0
(a)
 $0
(a)
 $0.00
(b)
0.00
 %(c)
OmniAb Inc., $15.00 EARNOUT, Common Shares
240
11/22
0
(a)
0
(a)
0.00
(b)
0.00
(c)
Total
$0
(a)
$0
(a)
0.00
%(c)
(a)
Amount represents less than $1.
(b)
Amount represents less than $0.005 per share.
(c)
Amount represents less than 0.005%.

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Franklin Templeton ETF Trust 2026 Quarterly Report