FIRST TR EXCHANGE-TRADED FD - NASD TECH DIV (TDIV)

Historical Holders from Q1 2014 to Q1 2025

Symbol
TDIV
CUSIP
33738R118
Type / Class
Equity / NASD TECH DIV
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
20.8M
Holdings value
$1.63B
% of all portfolios
0.01%
Grand Portfolio weight change
+0%
Number of holders
345
Number of buys
171
Number of sells
-117
Average Value change %
-0.01%
Average buys %
+0%
Average sells %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIRST TR EXCHANGE-TRADED FD - NASD TECH DIV (TDIV)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 2.17M $160M -$5.03M $73.61 76
2024 Q4 20.8M $1.63B +$30.8M $78.46 345
2024 Q3 20.3M $1.63B +$67.7M $80.30 325
2024 Q2 19.7M $1.49B +$28.4M $75.66 304
2024 Q1 19.1M $1.33B -$12.9M $69.67 277
2023 Q4 19.2M $1.23B +$24.4M $64.09 261
2023 Q3 16.9M $949M +$33.5M $56.09 249
2023 Q2 18.4M $1.08B +$90.5M $58.66 244
2023 Q1 16.8M $911M +$15.1M $54.09 240
2022 Q4 16.4M $782M -$11.6M $47.78 226
2022 Q3 16.9M $737M +$18.4M $43.70 225
2022 Q2 16.3M $817M +$55.7M $50.17 216
2022 Q1 15M $881M +$114M $58.94 221
2021 Q4 13.2M $828M +$28M $62.85 214
2021 Q3 12.5M $707M +$24.6M $56.47 187
2021 Q2 12.1M $696M +$9.55M $57.32 184
2021 Q1 11.8M $635M +$6.07M $53.99 180
2020 Q4 11.6M $574M -$36.6M $49.47 176
2020 Q3 12.3M $537M +$3.46M $43.78 157
2020 Q2 11.8M $493M +$39.9M $41.72 148
2020 Q1 10.9M $385M +$7.86M $35.38 138
2019 Q4 10.8M $465M +$38.6M $43.12 146
2019 Q3 10.2M $410M -$1.07M $40.11 128
2019 Q2 9.83M $384M -$1.56M $39.02 125
2019 Q1 9.94M $381M -$2.89M $38.30 127
2018 Q4 10M $332M +$3.97M $33.16 116
2018 Q3 9.92M $381M +$26.4M $38.42 106
2018 Q2 9.24M $328M -$21M $35.44 104
2018 Q1 9.83M $352M +$2.92M $35.79 104
2017 Q4 9.75M $343M +$27M $35.20 97
2017 Q3 8.24M $267M -$9.05M $32.38 77
2017 Q2 8.53M $266M +$19M $31.19 81
2017 Q1 7.88M $250M -$7.2M $31.70 74
2016 Q4 8.13M $241M +$18.2M $29.58 69
2016 Q3 7.46M $219M +$27.4M $29.32 63
2016 Q2 6.54M $174M -$15.9M $26.57 62
2016 Q1 6.73M $181M +$3.13M $26.91 60
2015 Q4 6.71M $170M +$911K $25.27 63
2015 Q3 6.54M $159M -$92.2M $24.21 66
2015 Q2 10.4M $273M -$50.1M $26.39 71
2015 Q1 12.2M $330M -$35.1M $26.93 66
2014 Q4 13.5M $374M -$62.6M $27.68 70
2014 Q3 15.4M $417M +$92.9M $27.08 62
2014 Q2 12M $318M +$82.1M $26.48 50
2014 Q1 8.9M $224M +$120M $25.12 34