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

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / NASDAQ BK ETF
Symbol
FTXO
Price per share
$35.61
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
4,871,446
Total reported value
$173,296,691
% of total 13F portfolios
0%
Share change
+147,369
Value change
+$5,607,442
Number of holders
96
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCHANGE TRADED FD - NASDAQ BK ETF (FTXO) has 96 institutional shareholders filing 13F forms. They hold 4,871,446 shares. .

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 73,229 $2,793,663 +$447,692 $38.04 4
2025 Q3 4,871,446 $173,296,691 +$5,607,442 $35.61 96
2025 Q2 4,740,411 $156,571,504 -$13,461,258 $33.03 96
2025 Q1 5,180,792 $157,460,092 +$29,621,055 $30.40 95
2024 Q4 4,223,931 $134,384,797 +$73,073,050 $31.81 87
2024 Q3 1,542,075 $44,842,616 -$4,583,917 $29.08 60
2024 Q2 1,705,915 $45,274,279 -$11,318,917 $26.54 59
2024 Q1 2,071,517 $56,145,658 -$22,715,851 $27.14 60
2023 Q4 960 $24,238 $25.25 1
2023 Q3 66,751 $1,747,465 -$864,308 $26.32 3
2023 Q2 3,627,010 $76,980,391 -$20,011,940 $21.22 74
2023 Q1 4,549,977 $96,690,349 -$1,422,489 $21.26 81
2022 Q4 4,671,802 $122,420,689 -$2,512,515 $26.20 84
2022 Q3 4,716,063 $122,590,071 -$13,830,806 $25.90 85
2022 Q2 5,247,962 $137,144,790 -$52,777,360 $26.05 87
2022 Q1 6,870,300 $218,071,222 +$57,549,743 $31.78 91
2021 Q4 5,350,524 $175,594,170 +$23,851,846 $32.84 92
2021 Q3 4,345,617 $141,728,068 -$14,679,770 $32.64 71
2021 Q2 4,808,743 $149,095,107 +$2,776,378 $31.03 78
2021 Q1 4,719,674 $147,041,162 +$60,416,680 $31.19 71
2020 Q4 2,780,858 $66,111,932 +$22,527,130 $23.77 40
2020 Q3 1,827,995 $30,919,706 +$2,095,234 $16.91 32
2020 Q2 1,700,515 $30,178,022 -$4,581,971 $17.75 38
2020 Q1 1,963,834 $30,699,484 -$18,780,048 $15.63 44
2019 Q4 2,732,853 $77,013,152 -$11,476,519 $28.18 62
2019 Q3 3,194,353 $81,719,398 +$280,395 $25.58 62
2019 Q2 3,124,080 $79,204,818 -$18,355,556 $25.35 56
2019 Q1 3,959,198 $96,601,998 -$9,274,626 $24.39 64
2018 Q4 4,301,331 $95,814,775 -$363,720,576 $22.26 65
2018 Q3 19,652,000 $548,099,814 -$575,935,169 $27.89 90
2018 Q2 39,973,164 $1,139,522,202 +$52,692,819 $28.49 83
2018 Q1 38,139,978 $1,125,418,530 +$44,766,531 $29.52 86
2017 Q4 36,651,177 $1,076,100,434 +$33,523,683 $29.36 77
2017 Q3 35,320,666 $975,164,496 -$25,589,655 $27.62 61
2017 Q2 36,252,905 $958,002,282 -$42,378,511 $26.44 61
2017 Q1 36,630,492 $951,110,000 +$949,036,104 $25.97 51
2016 Q4 85,480 $2,223,000 +$2,223,001 $25.99 6
2016 Q1 4,331 $107,000 $0 $24.71 1