FIRST TR EXCHANGE-TRADED FD - MNGD FUTRS STRGY (FMF)

Historical Holders from Q1 2014 to Q3 2025

Symbol
FMF
Type / Class
Equity / MNGD FUTRS STRGY
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
3,165,266
Holdings value
$154,092,187
% of all portfolios
0%
Number of holders
76
Number of buys
49
Number of sells
26
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
82 filings reported holding FMF - FIRST TR EXCHANGE-TRADED FD - MNGD FUTRS STRGY as of 30 Sep 2025.
FIRST TR EXCHANGE-TRADED FD - MNGD FUTRS STRGY (FMF) has 76 institutional shareholders that have filed 13F forms with the Securities Exchange Commission (SEC). These institutions hold a total of 3,165,266 shares of stock. of the company stock as of 30 Sep 2025.

Institutional Holders of FIRST TR EXCHANGE-TRADED FD - MNGD FUTRS STRGY (FMF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 3,165,266 $154,092,187 +$12,292,724 $48.70 76
2025 Q2 2,975,365 $134,479,556 +$9,877,015 $45.21 73
2025 Q1 2,794,997 $128,820,050 +$9,706,281 $46.12 73
2024 Q4 2,572,233 $122,388,166 -$87,903,828 $47.58 78
2024 Q3 4,409,911 $209,479,926 +$106,698,329 $47.50 69
2024 Q2 2,175,686 $105,911,698 -$9,055,057 $48.66 66
2024 Q1 2,324,873 $117,374,881 -$22,685,614 $50.57 76
2023 Q4 38,190 $1,761,043 +$392,047 $46.11 2
2023 Q3 2,798,182 $137,072,463 -$1,735,375 $48.98 76
2023 Q2 3,047,014 $145,696,981 -$6,200,159 $47.81 75
2023 Q1 3,219,030 $151,406,738 -$18,581,473 $47.01 80
2022 Q4 3,534,798 $168,274,527 +$20,554,763 $47.60 79
2022 Q3 2,830,889 $145,360,911 +$28,887,813 $51.48 68
2022 Q2 2,263,849 $116,265,432 +$40,377,354 $51.53 70
2022 Q1 1,209,348 $58,737,682 +$10,817,930 $48.84 47
2021 Q4 1,035,089 $46,780,447 +$6,479,342 $45.42 45
2021 Q3 907,341 $47,793,526 +$8,895,432 $47.53 44
2021 Q2 821,752 $39,878,041 +$5,173,601 $48.76 46
2021 Q1 717,475 $33,723,375 +$1,225,450 $47.35 40
2020 Q4 688,818 $31,194,414 +$5,708,944 $45.29 33
2020 Q3 543,787 $23,683,790 +$2,809,479 $43.56 30
2020 Q2 450,349 $19,916,000 +$7,315,876 $44.23 29
2020 Q1 265,868 $11,601,000 +$5,660,129 $43.66 17
2019 Q4 131,600 $5,640,000 +$524,703 $42.86 9
2019 Q3 118,901 $5,299,000 -$1,538,063 $44.57 11
2019 Q2 153,378 $6,743,000 +$817,694 $43.97 11
2019 Q1 135,603 $6,077,000 +$149,229 $44.82 13
2018 Q4 131,948 $6,022,000 +$39,675 $45.58 14
2018 Q3 131,080 $6,608,000 +$4,944,321 $50.39 12
2018 Q2 32,075 $1,556,000 +$652,151 $48.50 8
2018 Q1 18,690 $888,000 -$576,396 $47.51 8
2017 Q4 31,186 $1,484,000 -$87,459 $46.53 8
2017 Q3 32,817 $1,522,000 -$56,887 $46.20 6
2017 Q2 49,267 $2,259,000 +$1,468,630 $45.71 8
2017 Q1 17,221 $791,000 -$509,934 $45.91 3
2016 Q4 28,495 $1,347,000 -$1,158,005 $47.29 9
2016 Q3 52,093 $2,463,000 +$259,286 $47.42 6
2016 Q2 46,513 $2,189,000 -$2,153,610 $47.16 6
2016 Q1 90,693 $4,269,000 -$5,384,689 $47.07 4
2015 Q4 203,027 $9,933,000 +$2,588,121 $49.25 7
2015 Q3 148,686 $7,326,000 +$220,342 $49.27 6
2015 Q2 143,954 $7,245,000 +$576,522 $50.29 5
2015 Q1 132,486 $6,918,000 +$994,897 $52.31 3
2014 Q4 113,434 $5,624,934 +$290,471 $49.59 6
2014 Q3 107,098 $5,305,000 +$5,296,030 $49.59 3
2014 Q2 183 $8,974 -$949,026 $50.02 2
2014 Q1 18,886 $958,000 -$1,416,186 $50.73 1