FIRST TR EXCH TRADED FD III - PFD SECS INC ETF (FPE)

Historical Holders from Q1 2014 to Q1 2025

Symbol
FPE
CUSIP
33739E108
Type / Class
Equity / PFD SECS INC ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
209M
Holdings value
$3.7B
% of all portfolios
0.019%
Grand Portfolio weight change
+0.001%
Number of holders
438
Number of buys
231
Number of sells
-155
Average Value change %
-0.02%
Average buys %
+0.005%
Average sells %
-0.023%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIRST TR EXCH TRADED FD III - PFD SECS INC ETF (FPE)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 20.8M $365M -$30.9M $17.59 113
2024 Q4 209M $3.7B +$297M $17.70 438
2024 Q3 190M $3.43B +$76.1M $18.10 407
2024 Q2 185M $3.21B +$18.6M $17.36 396
2024 Q1 181M $3.14B -$272M $17.32 398
2023 Q4 150M $2.52B +$95.5M $16.86 394
2023 Q3 192M $3.07B -$62M $15.97 379
2023 Q2 196M $3.13B +$14.5M $15.97 386
2023 Q1 195M $3.11B -$165M $15.96 389
2022 Q4 206M $3.47B -$262M $16.80 418
2022 Q3 216M $3.6B +$83.9M $16.70 382
2022 Q2 214M $3.69B -$424M $17.23 395
2022 Q1 234M $4.45B -$12.2M $19.02 411
2021 Q4 237M $4.81B +$311M $20.32 401
2021 Q3 217M $4.45B +$380M $20.54 354
2021 Q2 199M $4.11B +$464M $20.60 346
2021 Q1 175M $3.74B +$488M $20.15 326
2020 Q4 162M $3.27B +$245M $20.19 327
2020 Q3 147M $2.82B +$116M $19.17 283
2020 Q2 140M $2.58B +$157M $18.42 296
2020 Q1 131M $2.14B +$97.3M $16.40 286
2019 Q4 123M $2.47B +$282M $20.07 297
2019 Q3 108M $2.14B +$278M $19.73 256
2019 Q2 94.1M $1.83B +$271M $19.39 240
2019 Q1 79.5M $1.52B +$80.4M $19.06 226
2018 Q4 75.2M $1.35B -$157M $17.95 230
2018 Q3 82.7M $1.58B +$65.8M $19.10 198
2018 Q2 80.2M $1.53B -$40.3M $19.06 182
2018 Q1 82.5M $1.61B +$165M $19.46 203
2017 Q4 73.2M $1.46B +$150M $20.01 179
2017 Q3 64M $1.29B +$142M $20.08 136
2017 Q2 56.4M $1.13B +$225M $20.01 128
2017 Q1 44.4M $867M +$91.5M $19.52 107
2016 Q4 39.9M $758M +$109M $18.99 98
2016 Q3 33.1M $648M +$160M $19.55 89
2016 Q2 25.2M $479M +$21.4M $19.02 74
2016 Q1 23.7M $442M +$111M $18.67 73
2015 Q4 17.6M $333M +$127M $18.95 60
2015 Q3 10.9M $205M +$60.5M $18.75 52
2015 Q2 7.66M $145M +$57.1M $18.95 41
2015 Q1 4.64M $89.2M +$40.4M $19.20 31
2014 Q4 2.41M $45.4M +$9.18M $18.86 32
2014 Q3 2.03M $38.3M +$10.5M $18.86 27
2014 Q2 1.48M $28.4M +$4.09M $19.26 22
2014 Q1 1.32M $24.8M +$3.23M $18.78 21