FIRST TR EXCHANGE-TRADED FD - NASDAQ BK ETF (FTXO)

Historical Holders from Q1 2016 to Q1 2025

Symbol
FTXO
CUSIP
33738R860
Type / Class
Equity / NASDAQ BK ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
4M
Holdings value
$127M
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
86
Number of buys
49
Number of sells
-18
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIRST TR EXCHANGE-TRADED FD - NASDAQ BK ETF (FTXO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 547K $16.6M -$5.39M $30.40 17
2024 Q4 4M $127M +$73.1M $31.81 86
2024 Q3 1.54M $44.8M -$4.58M $29.08 60
2024 Q2 1.71M $45.3M -$11.3M $26.54 59
2024 Q1 2.07M $56.1M -$22.7M $27.14 60
2023 Q4 2.73M $69M +$35.6M $25.26 68
2023 Q3 66.8K $1.75M -$864K $26.32 3
2023 Q2 3.63M $77M -$20M $21.22 74
2023 Q1 4.55M $96.7M -$1.42M $21.26 81
2022 Q4 4.67M $122M -$2.51M $26.20 84
2022 Q3 4.72M $123M -$13.8M $25.90 85
2022 Q2 5.25M $137M -$52.8M $26.05 87
2022 Q1 6.87M $218M +$57.5M $31.78 91
2021 Q4 5.35M $176M +$23.9M $32.84 92
2021 Q3 4.35M $142M -$14.7M $32.64 71
2021 Q2 4.81M $149M +$2.78M $31.03 78
2021 Q1 4.72M $147M +$60.4M $31.19 71
2020 Q4 2.78M $66.1M +$22.5M $23.77 40
2020 Q3 1.83M $30.9M +$2.1M $16.91 32
2020 Q2 1.7M $30.2M -$4.58M $17.75 38
2020 Q1 1.96M $30.7M -$18.8M $15.63 44
2019 Q4 2.73M $77M -$11.5M $28.18 62
2019 Q3 3.19M $81.7M +$280K $25.58 62
2019 Q2 3.12M $79.2M -$18.4M $25.35 56
2019 Q1 3.96M $96.6M -$9.27M $24.39 64
2018 Q4 4.3M $95.8M -$364M $22.26 65
2018 Q3 19.7M $548M -$576M $27.89 90
2018 Q2 40M $1.14B +$52.7M $28.49 83
2018 Q1 38.1M $1.13B +$44.8M $29.52 86
2017 Q4 36.7M $1.08B +$33.5M $29.36 77
2017 Q3 35.3M $975M -$25.6M $27.62 61
2017 Q2 36.3M $958M -$42.4M $26.44 61
2017 Q1 36.6M $951M +$949M $25.97 51
2016 Q4 85.5K $2.22M +$2.22M $25.99 6
2016 Q1 4.33K $107K $0 $24.71 1