FIRST TR EXCHANGE TRADED FD - CONSUMR STAPLE (FXG)

Historical Holders from Q1 2014 to Q1 2025

Symbol
FXG
CUSIP
33734X119
Type / Class
Equity / CONSUMR STAPLE
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
3.51M
Holdings value
$225M
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
126
Number of buys
42
Number of sells
-55
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIRST TR EXCHANGE TRADED FD - CONSUMR STAPLE (FXG)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 134K $8.79M -$1.75M $65.34 20
2024 Q4 3.51M $225M -$21M $64.06 126
2024 Q3 3.82M $261M -$12.3M $68.33 117
2024 Q2 4.02M $259M +$6.7M $64.44 122
2024 Q1 3.94M $270M -$47.8M $68.49 126
2023 Q4 4.63M $292M -$142M $63.09 132
2023 Q3 6.89M $416M -$10.8M $60.34 135
2023 Q2 7.07M $443M -$10.8M $62.65 138
2023 Q1 7.22M $448M -$16.7M $62.07 141
2022 Q4 7.4M $465M +$65M $62.77 143
2022 Q3 6.33M $360M -$55M $56.87 139
2022 Q2 7.24M $444M +$227M $61.37 142
2022 Q1 3.42M $218M +$71.4M $63.72 123
2021 Q4 2.45M $152M -$1.4M $61.91 105
2021 Q3 2.46M $138M +$3.97M $56.29 92
2021 Q2 2.38M $135M +$21.2M $56.97 97
2021 Q1 1.99M $115M -$14.4M $57.47 90
2020 Q4 2.35M $121M -$15.1M $51.62 86
2020 Q3 2.67M $128M +$3.81M $48.08 84
2020 Q2 2.58M $120M +$11.5M $46.04 76
2020 Q1 2.35M $94.2M -$34.8M $39.97 81
2019 Q4 3.13M $157M -$53.3M $50.04 97
2019 Q3 4.29M $207M +$34.5M $48.32 94
2019 Q2 3.6M $164M +$12.6M $45.67 101
2019 Q1 3.31M $152M +$5.72M $45.80 96
2018 Q4 3.02M $128M -$14.9M $42.20 87
2018 Q3 3.32M $156M -$5.79M $46.90 90
2018 Q2 3.5M $165M +$39.3M $47.11 86
2018 Q1 2.67M $125M -$15.8M $46.91 93
2017 Q4 3.02M $147M -$38.8M $48.67 94
2017 Q3 3.83M $175M -$94.4M $45.67 97
2017 Q2 5.93M $273M -$37.2M $46.01 108
2017 Q1 6.68M $308M -$114M $46.14 116
2016 Q4 8.97M $410M -$1.28B $45.75 120
2016 Q3 37.7M $1.75B -$55.1M $46.43 144
2016 Q2 39M $1.88B -$99.7M $48.37 146
2016 Q1 40.9M $1.89B -$505M $46.12 131
2015 Q4 52.5M $2.33B +$190M $44.45 141
2015 Q3 47.7M $2B +$332M $41.91 123
2015 Q2 39.8M $1.75B +$135M $44.02 122
2015 Q1 36.7M $1.64B +$20M $44.63 128
2014 Q4 36.9M $1.57B +$377M $42.57 106
2014 Q3 22.8M $892M +$115M $39.07 83
2014 Q2 24M $956M +$397M $39.81 86
2014 Q1 14.1M $521M -$155M $36.88 74