FIRST TR EXCHANGE TRADED FD - INDXX NAT RE ETF (FTRI)

Historical Holders from Q4 2015 to Q4 2025

Type / Class
Equity / INDXX NAT RE ETF
Symbol
FTRI
Price per share
$15.92
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
4,294,725
Total reported value
$65,872,993
% of total 13F portfolios
0%
Share change
+271,177
Value change
+$4,197,678
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
63
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCHANGE TRADED FD - INDXX NAT RE ETF (FTRI) has 63 institutional shareholders filing 13F forms. They hold 4,294,725 shares. .

Institutional Holders of FIRST TR EXCHANGE TRADED FD - INDXX NAT RE ETF (FTRI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 290,243 $4,559,634 -$82,802 1,592.31% 3
2025 Q3 4,294,725 $65,872,993 +$4,197,678 1,519.45% 63
2025 Q2 4,004,714 $57,001,814 -$5,238,437 1,423% 62
2025 Q1 4,400,629 $57,937,688 -$19,178,152 1,324% 65
2024 Q4 5,900,092 $71,091,186 -$9,214,770 1,202.59% 75
2024 Q3 6,732,496 $90,807,581 -$35,138,218 1,348.78% 73
2024 Q2 9,333,936 $121,112,802 -$13,883,962 1,297% 74
2024 Q1 10,375,158 $137,716,654 -$17,060,592 1,327.48% 77
2023 Q4 27,612 $359,506 1,301.99% 1
2023 Q3 13,056,480 $164,706,873 -$216,505 1,262.9% 83
2023 Q2 13,070,186 $164,647,283 -$32,287,638 1,257% 77
2023 Q1 15,572,991 $206,487,448 +$24,197,849 1,326% 86
2022 Q4 13,796,779 $189,563,560 +$36,152,569 1,371% 77
2022 Q3 11,284,192 $138,149,821 +$1,668,186 1,220.57% 78
2022 Q2 11,079,294 $147,339,980 +$87,681,825 1,329.5% 75
2022 Q1 3,886,679 $64,282,990 +$42,529,932 1,655.89% 41
2021 Q4 1,276,059 $17,927,262 -$112,789 1,387% 23
2021 Q3 1,131,380 $14,754,474 +$1,740,502 1,304% 21
2021 Q2 1,001,666 $14,682,545 +$5,727,180 1,465.66% 23
2021 Q1 611,038 $8,166,000 +$6,480,398 1,334.21% 19
2020 Q4 124,027 $1,505,000 +$254,189 1,183.96% 12
2020 Q3 92,809 $893,000 +$32,146 962.17% 11
2020 Q2 81,739 $787,000 +$228,308 963.91% 10
2020 Q1 75,466 $633,130 -$500,901 839.22% 8
2019 Q4 124,210 $1,578,593 +$217,199 1,249.05% 12
2019 Q3 96,572 $1,106,000 -$462,988 1,145.72% 9
2019 Q2 136,111 $1,659,000 +$658,120 1,214.13% 9
2019 Q1 83,206 $1,021,000 -$182,550 1,226.69% 11
2018 Q4 100,631 $1,100,000 +$397,117 1,093.37% 11
2018 Q3 64,342 $820,000 +$213,482 1,272.2% 11
2018 Q2 46,179 $580,000 -$364,012 1,254.85% 10
2018 Q1 75,267 $927,000 +$99,411 1,231.36% 10
2017 Q4 66,626 $825,000 +$190,827 1,239.04% 9
2017 Q3 54,501 $643,000 -$1,000,134 1,182.23% 10
2017 Q2 141,874 $1,558,000 +$619,745 1,093.96% 10
2017 Q1 91,264 $1,039,000 -$601,142 1,130.55% 10
2016 Q4 146,315 $1,686,000 +$126,080 1,151.57% 17
2016 Q3 135,892 $1,444,000 +$509,588 1,058.9% 15
2016 Q2 88,550 $926,000 -$1,270,957 1,048.77% 13
2016 Q1 208,894 $2,124,000 +$1,032,044 1,016.93% 13
2015 Q4 168,136 $1,637,000 +$1,587,998 974.24% 15