FIRST TR EXCHANGE-TRADED FD - SENIOR LN FD (FTSL)

Historical Holders from Q1 2014 to Q1 2025

Symbol
FTSL
CUSIP
33738D309
Type / Class
Equity / SENIOR LN FD
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
34.4M
Holdings value
$1.59B
% of all portfolios
0.015%
Grand Portfolio weight change
+0%
Number of holders
347
Number of buys
174
Number of sells
-131
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIRST TR EXCHANGE-TRADED FD - SENIOR LN FD (FTSL)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 4.19M $191M +$4.31M $45.65 67
2024 Q4 34.4M $1.59B +$71.1M $46.24 347
2024 Q3 32.3M $1.48B -$112M $45.89 320
2024 Q2 34.6M $1.58B +$56.5M $45.71 328
2024 Q1 33.2M $1.53B -$147M $46.21 311
2023 Q4 32.5M $1.5B +$191M $46.07 318
2023 Q3 28M $1.28B -$44.2M $45.74 294
2023 Q2 33.9M $1.53B -$193M $45.30 297
2023 Q1 37.4M $1.69B -$239M $45.24 307
2022 Q4 42.4M $1.89B -$175M $44.59 324
2022 Q3 46.4M $2.04B -$418M $44.07 308
2022 Q2 55.8M $2.46B -$2.75M $44.10 316
2022 Q1 55.8M $2.63B +$460M $47.05 324
2021 Q4 45.7M $2.19B +$309M $47.92 303
2021 Q3 38.6M $1.84B +$247M $47.85 259
2021 Q2 33.4M $1.6B +$456M $48.01 242
2021 Q1 23.7M $1.14B +$359M $47.89 216
2020 Q4 16.1M $769M +$58.7M $47.59 189
2020 Q3 14.3M $657M -$39M $46.01 173
2020 Q2 15.1M $683M -$161M $45.12 170
2020 Q1 18.4M $771M -$64.8M $41.79 183
2019 Q4 20.5M $981M +$79.8M $47.92 201
2019 Q3 18.3M $868M -$12.6M $47.41 171
2019 Q2 18.2M $857M +$47.5M $47.12 170
2019 Q1 17.5M $826M -$67.6M $47.10 175
2018 Q4 19.3M $880M -$161M $45.52 171
2018 Q3 22.3M $1.07B +$181M $48.05 159
2018 Q2 18.5M $882M +$70.8M $47.77 155
2018 Q1 16.9M $813M +$71.1M $48.12 146
2017 Q4 15.9M $763M -$18.8M $48.04 140
2017 Q3 15.9M $766M +$21.7M $48.19 119
2017 Q2 15.4M $747M +$2.84M $48.38 120
2017 Q1 15.2M $737M +$272M $48.39 115
2016 Q4 9.65M $469M +$157M $48.55 95
2016 Q3 6.33M $307M +$34.9M $48.47 82
2016 Q2 5.59M $267M +$2.32M $47.73 72
2016 Q1 5.43M $258M +$1.07M $47.53 70
2015 Q4 5.28M $247M +$74.8M $46.87 71
2015 Q3 3.74M $180M +$20.9M $48.28 60
2015 Q2 3.33M $163M +$21.4M $48.89 60
2015 Q1 2.89M $142M +$44.1M $49.23 53
2014 Q4 2.02M $97.9M +$6.12M $48.49 46
2014 Q3 1.91M $93.3M +$11.5M $48.84 47
2014 Q2 1.73M $85.9M +$8.24M $49.78 40
2014 Q1 1.47M $73M +$17.9M $49.68 30