FIRST TR EXCHANGE TRADED FD - TECH ALPHADEX (FXL)

Historical Holders from Q1 2014 to Q1 2025

Symbol
FXL
CUSIP
33734X176
Type / Class
Equity / TECH ALPHADEX
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
5.49M
Holdings value
$815M
% of all portfolios
0.004%
Grand Portfolio weight change
0%
Number of holders
249
Number of buys
74
Number of sells
-86
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIRST TR EXCHANGE TRADED FD - TECH ALPHADEX (FXL)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 453K $59.9M +$2.01M $132.25 40
2024 Q4 5.49M $815M -$5.92M $148.55 249
2024 Q3 5.58M $772M -$23.4M $138.65 226
2024 Q2 5.72M $780M -$22M $136.26 225
2024 Q1 5.87M $790M -$14.7M $134.82 220
2023 Q4 5.19M $665M +$23.2M $128.07 214
2023 Q3 5.82M $647M +$16.2M $111.15 200
2023 Q2 5.72M $658M +$6.01M $115.04 196
2023 Q1 5.65M $594M -$20.1M $105.19 193
2022 Q4 5.85M $536M -$11.3M $91.55 191
2022 Q3 5.98M $519M -$16.4M $86.70 181
2022 Q2 6.16M $581M -$69.9M $94.11 179
2022 Q1 6.71M $779M -$263M $116.15 198
2021 Q4 9.2M $1.21B -$755M $132.02 223
2021 Q3 15.1M $1.85B +$68M $122.87 206
2021 Q2 14.7M $1.82B -$61.9M $124.15 199
2021 Q1 15.2M $1.73B -$187M $113.63 211
2020 Q4 16.8M $1.88B -$57.3M $111.82 217
2020 Q3 17M $1.54B -$53.7M $90.92 186
2020 Q2 17.6M $1.46B -$137M $83.39 174
2020 Q1 19.2M $1.14B -$310M $59.40 179
2019 Q4 24.3M $1.76B -$50.3M $72.57 196
2019 Q3 25.3M $1.64B -$8.71M $65.15 182
2019 Q2 25.4M $1.69B -$1.91M $66.54 182
2019 Q1 25.6M $1.64B +$12.4M $63.92 181
2018 Q4 25.9M $1.37B -$96.3M $52.55 156
2018 Q3 27.7M $1.76B +$61.1M $63.54 158
2018 Q2 26.7M $1.5B +$33.6M $56.27 148
2018 Q1 26.1M $1.44B +$87.1M $55.02 153
2017 Q4 24.6M $1.26B +$867M $51.32 135
2017 Q3 7.51M $361M -$76.2M $47.97 102
2017 Q2 9.15M $398M +$20.9M $43.52 102
2017 Q1 8.63M $363M -$10.7M $42.03 93
2016 Q4 8.85M $335M +$30.9M $37.90 93
2016 Q3 7.98M $293M -$9.17M $36.75 75
2016 Q2 8.24M $272M -$77.8M $32.99 77
2016 Q1 10.5M $347M -$145M $32.96 77
2015 Q4 15M $497M +$6.95M $33.24 84
2015 Q3 14.5M $461M -$55.3M $31.65 80
2015 Q2 16.2M $571M +$117M $35.35 85
2015 Q1 12.4M $445M -$404M $35.76 75
2014 Q4 24.7M $852M +$183M $34.51 84
2014 Q3 19.3M $626M +$68.1M $32.42 69
2014 Q2 17.2M $560M -$104M $32.52 69
2014 Q1 20.5M $639M +$271M $31.17 62