FIRST TR EXCHANGE TRADED FD - NASDAQ CYB ETF (CIBR)

Historical Holders from Q3 2015 to Q4 2025

Type / Class
Equity / NASDAQ CYB ETF
Symbol
CIBR
Price per share
$71.45
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
79,444,920
Total reported value
$6,036,221,507
% of total 13F portfolios
0.02%
Share change
+11,061,174
Value change
+$841,386,991
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
708
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCHANGE TRADED FD - NASDAQ CYB ETF (CIBR) has 708 institutional shareholders filing 13F forms. They hold 79,444,920 shares. .

Institutional Holders of FIRST TR EXCHANGE TRADED FD - NASDAQ CYB ETF (CIBR) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 1,792,257 $128,630,086 +$3,922,719 7,145% 39
2025 Q3 79,444,920 $6,036,221,507 +$841,386,991 7,601% 708
2025 Q2 68,586,699 $5,182,396,099 +$316,919,324 7,558% 707
2025 Q1 64,563,727 $4,068,809,538 +$350,515,109 6,300% 608
2024 Q4 58,903,103 $3,737,384,366 +$210,537,701 6,345% 592
2024 Q3 55,370,550 $3,279,524,213 -$177,615,376 5,923% 545
2024 Q2 58,556,803 $3,303,841,562 -$29,481,616 5,642% 527
2024 Q1 59,006,461 $3,325,608,608 +$121,069,785 5,639% 516
2023 Q4 132,518 $7,134,787 -$20,783 5,384% 5
2023 Q3 53,722,508 $2,440,274,139 -$19,400,681 4,543% 423
2023 Q2 53,977,241 $2,450,790,372 -$38,628,007 4,541% 399
2023 Q1 54,800,303 $2,341,174,927 -$128,188,056 4,275% 406
2022 Q4 57,652,142 $2,232,328,217 -$117,762,817 3,871% 383
2022 Q3 50,259,702 $1,936,487,227 +$900,395 3,851% 371
2022 Q2 60,262,975 $2,426,375,335 +$34,931,952 4,023.98% 372
2022 Q1 47,461,146 $2,519,958,475 +$315,953,935 5,310.94% 405
2021 Q4 43,044,615 $2,269,331,195 +$267,799,928 5,278.96% 387
2021 Q3 46,863,750 $2,284,016,620 +$282,765,563 4,872% 321
2021 Q2 41,015,332 $1,918,226,948 +$83,240,527 4,676% 296
2021 Q1 39,007,721 $1,631,770,395 +$206,628,336 4,182% 253
2020 Q4 33,964,668 $1,507,640,189 +$159,894,884 4,437.98% 227
2020 Q3 29,912,957 $1,040,936,838 +$84,692,993 3,480% 186
2020 Q2 27,092,895 $895,334,082 +$195,074,678 3,304% 177
2020 Q1 20,616,571 $531,713,484 +$106,771,993 2,577% 146
2019 Q4 17,038,452 $511,914,415 +$52,366,310 3,002.78% 143
2019 Q3 15,142,945 $418,907,153 +$51,809,905 2,765.49% 120
2019 Q2 13,200,340 $377,504,721 +$53,880,142 2,859.79% 115
2019 Q1 11,232,746 $315,653,729 -$1,590,642 2,809.91% 106
2018 Q4 11,441,068 $267,929,906 -$26,060,892 2,341.81% 95
2018 Q3 7,189,200 $204,649,147 +$20,560,373 2,851.89% 96
2018 Q2 10,553,225 $278,314,906 +$99,524,467 2,637.88% 88
2018 Q1 6,825,072 $171,077,803 +$29,348,252 2,506.97% 76
2017 Q4 5,639,929 $130,497,348 +$2,420,912 2,313% 64
2017 Q3 4,508,131 $98,538,000 +$17,850,938 2,186.01% 45
2017 Q2 3,690,769 $79,606,000 +$11,976,973 2,157.02% 41
2017 Q1 3,134,188 $67,981,000 +$18,722,249 2,169.64% 34
2016 Q4 2,266,680 $44,252,000 +$9,495,059 1,951.96% 31
2016 Q3 1,787,240 $35,419,000 +$534,547 1,981.83% 30
2016 Q2 1,748,096 $30,030,000 -$7,196,905 1,718.02% 25
2016 Q1 2,054,528 $34,713,000 -$10,673,265 1,694.45% 20
2015 Q4 2,873,248 $50,902,000 +$15,480,628 1,776.04% 29
2015 Q3 1,978,200 $34,136,000 +$34,135,996 1,721.56% 17