FIRST TR EXCHANGE-TRADED FD - WTR ETF (FIW)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / WTR ETF
Symbol
FIW
Price per share
$108.64
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
8,435,546
Total reported value
$944,164,164
% of total 13F portfolios
0.01%
Share change
-124,912
Value change
-$14,314,485
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
288
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCHANGE-TRADED FD - WTR ETF (FIW) has 288 institutional shareholders filing 13F forms. They hold 8,435,546 shares. .

Institutional Holders of FIRST TR EXCHANGE-TRADED FD - WTR ETF (FIW) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 46,831 $5,134,939 +$540,414 10,864.15% 10
2025 Q3 8,435,546 $944,164,164 -$14,314,485 11,235% 288
2025 Q2 8,636,450 $931,962,835 +$6,955,884 10,798% 292
2025 Q1 8,548,857 $860,580,640 -$1,391,935 10,071% 294
2024 Q4 8,594,764 $877,622,804 +$15,835,669 10,205% 292
2024 Q3 8,384,905 $915,924,768 +$48,809,348 10,933% 282
2024 Q2 7,959,418 $796,251,342 +$30,465,804 9,998% 264
2024 Q1 7,658,916 $781,935,764 +$19,939,641 10,210% 260
2023 Q4 11,872 $1,125,442 +$190 9,479.8% 3
2023 Q3 7,393,424 $611,852,647 +$3,090,022 8,275% 232
2023 Q2 7,476,402 $662,333,375 +$33,265,617 8,857% 231
2023 Q1 7,127,226 $595,744,628 -$6,244,000 8,363% 219
2022 Q4 7,176,956 $570,095,736 -$8,020,265 7,936% 225
2022 Q3 7,318,161 $526,081,756 +$20,969,961 7,180.05% 214
2022 Q2 7,025,321 $506,186,499 -$36,549,301 7,199.11% 202
2022 Q1 7,295,102 $614,272,788 -$34,337,645 8,428.99% 216
2021 Q4 7,955,759 $753,164,563 +$54,092,168 9,479.78% 229
2021 Q3 7,331,964 $607,619,794 +$122,875,951 8,513.94% 177
2021 Q2 5,553,322 $464,162,490 +$79,671,748 8,354.96% 160
2021 Q1 4,601,455 $356,253,915 +$29,117,316 7,819.07% 135
2020 Q4 4,384,157 $316,353,993 +$19,293,766 7,211.97% 119
2020 Q3 3,842,144 $232,434,823 +$5,124,322 6,043.9% 105
2020 Q2 3,713,497 $207,071,645 -$24,906,162 5,570.66% 95
2020 Q1 4,161,341 $198,698,370 +$6,755,078 4,774.45% 106
2019 Q4 3,976,461 $238,463,157 +$14,017,261 5,995% 104
2019 Q3 3,732,655 $209,454,193 +$46,425,569 5,610.91% 90
2019 Q2 2,904,530 $158,810,153 +$23,909,315 5,468.33% 88
2019 Q1 2,464,119 $125,922,255 +$4,717,814 5,108.67% 83
2018 Q4 2,386,079 $104,942,862 -$10,207,749 4,391.06% 81
2018 Q3 2,554,660 $129,650,448 +$8,708,450 5,086.27% 82
2018 Q2 2,386,234 $114,817,440 +$7,590,556 4,811% 73
2018 Q1 1,792,009 $85,548,728 +$8,061,755 4,774.5% 68
2017 Q4 2,088,397 $101,673,358 +$7,305,987 4,869.66% 65
2017 Q3 1,910,163 $86,621,318 +$901,137 4,531.8% 55
2017 Q2 1,898,847 $81,314,476 +$1,691,834 4,280.14% 50
2017 Q1 1,848,484 $77,072,506 -$16,225,611 4,167.15% 50
2016 Q4 2,254,414 $89,255,348 +$49,430,485 3,956.92% 49
2016 Q3 1,024,344 $38,628,700 +$1,309,601 3,779.79% 41
2016 Q2 1,007,434 $35,513,198 +$7,087,335 3,515.99% 44
2016 Q1 793,703 $26,264,030 -$4,610,537 3,309.77% 37
2015 Q4 942,835 $28,335,144 -$3,863,518 3,010.02% 36
2015 Q3 765,852 $21,153,868 -$33,464,461 2,759.17% 36
2015 Q2 2,873,267 $89,984,799 +$628,702 3,132.04% 46
2015 Q1 2,881,151 $91,134,313 -$237,110 3,160.96% 43
2014 Q4 2,886,259 $97,281,488 +$3,603,842 3,370.04% 47
2014 Q3 2,686,888 $85,264,974 -$21,152,018 3,175% 42
2014 Q2 2,305,421 $79,690,393 +$2,462,014 3,456.98% 42
2014 Q1 3,200,062 $110,208,013 -$17,519,408 3,444% 39