FIRST TR EXCHANGE TRADED FD - SMID CAPITAL STR (FSCS)

Historical Holders from Q2 2017 to Q3 2025

Type / Class
Equity / SMID CAPITAL STR
Symbol
FSCS
Price per share
$36.68
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
973,011
Total reported value
$35,700,812
% of total 13F portfolios
0%
Share change
+112,466
Value change
+$3,878,140
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
30
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCHANGE TRADED FD - SMID CAPITAL STR (FSCS) has 30 institutional shareholders filing 13F forms. They hold 973,011 shares .

Institutional Holders of FIRST TR EXCHANGE TRADED FD - SMID CAPITAL STR (FSCS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 973,011 $35,700,812 +$3,878,140 3,668.05% 30
2025 Q2 885,144 $31,856,663 +$13,558,408 3,574% 27
2025 Q1 512,592 $17,706,509 +$3,286,579 3,454.48% 22
2024 Q4 413,696 $14,651,432 +$591,341 3,541.01% 23
2024 Q3 395,389 $13,989,971 +$3,405,965 3,527% 17
2024 Q2 306,934 $9,840,544 -$1,231,794 3,205.9% 14
2024 Q1 343,929 $11,390,828 -$4,933,379 3,312% 13
2023 Q4 493,630 $15,380,048 +$1,225,647 3,116% 11
2023 Q3 455,584 $12,564,014 +$7,642,579 2,758% 13
2023 Q2 176,438 $5,073,933 -$1,108,039 2,875.73% 14
2023 Q1 219,761 $6,068,551 -$1,304,386 2,762% 19
2022 Q4 261,254 $7,057,964 -$3,821,257 2,710.57% 17
2022 Q3 379,196 $9,132,802 +$38,012 2,409.59% 16
2022 Q2 411,154 $10,471,285 +$4,606,185 2,538.5% 18
2022 Q1 218,432 $6,377,473 -$7,004,842 2,946.91% 11
2021 Q4 436,124 $13,236,774 +$632,050 3,034.93% 17
2021 Q3 415,768 $11,991,206 +$1,610,838 2,875.53% 15
2021 Q2 360,276 $10,439,288 -$228,098 2,898.03% 15
2021 Q1 368,525 $10,244,868 +$175,848 2,779.48% 14
2020 Q4 361,360 $8,818,655 +$436,150 2,438.57% 15
2020 Q3 170,546 $3,340,958 +$573,144 1,959.97% 10
2020 Q2 141,521 $2,725,841 +$466,211 1,927.04% 11
2020 Q1 120,125 $1,897,613 -$1,178,941 1,581.13% 11
2019 Q4 168,771 $3,957,321 +$139,555 2,344.12% 15
2019 Q3 160,490 $3,555,892 +$39,209 2,219.11% 12
2019 Q2 158,689 $3,504,838 +$1,180,863 2,207.89% 13
2019 Q1 105,276 $2,250,565 +$62,952 2,131.27% 10
2018 Q4 280,083 $5,243,617 +$3,759,823 1,864.23% 9
2018 Q3 78,822 $1,762,949 +$531,816 2,238.36% 6
2018 Q2 55,720 $1,221,000 +$439,952 2,185.44% 4
2018 Q1 35,633 $758,000 +$46,064 2,129.9% 4
2017 Q4 33,489 $727,000 -$296,482 2,171.88% 2
2017 Q3 47,186 $969,000 -$1,065,705 2,053.58% 1
2017 Q2 99,081 $1,967,000 +$1,966,996 1,985.24% 1