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

Historical Holders from Q3 2015 to Q1 2025

Symbol
CIBR
CUSIP
33734X846
Type / Class
Equity / NASDAQ CYB ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
58.9M
Holdings value
$3.74B
% of all portfolios
0.018%
Grand Portfolio weight change
+0%
Number of holders
587
Number of buys
303
Number of sells
-182
Average Value change %
-0.05%
Average buys %
+0.002%
Average sells %
-0.051%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

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

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 4.86M $307M +$12.6M $63.00 148
2024 Q4 58.9M $3.74B +$212M $63.45 587
2024 Q3 55.4M $3.28B -$178M $59.23 545
2024 Q2 58.6M $3.3B -$29.5M $56.42 527
2024 Q1 59M $3.33B +$121M $56.39 516
2023 Q4 55.7M $3B +$55M $53.84 475
2023 Q3 53.7M $2.44B -$19.4M $45.43 423
2023 Q2 54M $2.45B -$38.6M $45.41 399
2023 Q1 54.8M $2.34B -$128M $42.75 406
2022 Q4 57.7M $2.23B -$118M $38.71 383
2022 Q3 50.3M $1.94B +$900K $38.51 371
2022 Q2 60.3M $2.43B +$34.9M $40.24 372
2022 Q1 47.5M $2.52B +$316M $53.11 405
2021 Q4 43M $2.27B +$268M $52.79 387
2021 Q3 46.9M $2.28B +$283M $48.72 321
2021 Q2 41M $1.92B +$83.2M $46.76 296
2021 Q1 39M $1.63B +$207M $41.82 253
2020 Q4 34M $1.51B +$160M $44.38 227
2020 Q3 29.9M $1.04B +$84.7M $34.80 186
2020 Q2 27.1M $895M +$195M $33.04 177
2020 Q1 20.6M $532M +$107M $25.77 146
2019 Q4 17M $512M +$52.4M $30.03 143
2019 Q3 15.1M $419M +$51.8M $27.65 120
2019 Q2 13.2M $378M +$53.9M $28.60 115
2019 Q1 11.2M $316M -$1.59M $28.10 106
2018 Q4 11.4M $268M -$26.1M $23.42 95
2018 Q3 7.19M $205M +$20.6M $28.52 96
2018 Q2 10.6M $278M +$99.5M $26.38 88
2018 Q1 6.83M $171M +$29.3M $25.07 76
2017 Q4 5.64M $130M +$2.42M $23.13 64
2017 Q3 4.51M $98.5M +$17.9M $21.86 45
2017 Q2 3.69M $79.6M +$12M $21.57 41
2017 Q1 3.13M $68M +$18.7M $21.70 34
2016 Q4 2.27M $44.3M +$9.5M $19.52 31
2016 Q3 1.79M $35.4M +$535K $19.82 30
2016 Q2 1.75M $30M -$7.2M $17.18 25
2016 Q1 2.05M $34.7M -$10.7M $16.94 20
2015 Q4 2.87M $50.9M +$15.5M $17.76 29
2015 Q3 1.98M $34.1M +$34.1M $17.22 17