FIRST TR EXCH TRADED FD III - RIVRFRNT DYN DEV (RFDI)

Historical Holders from Q1 2016 to Q4 2025

Type / Class
Equity / RIVRFRNT DYN DEV
Symbol
RFDI
Price per share
$80.51
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1,402,827
Total reported value
$107,615,880
% of total 13F portfolios
0%
Share change
+26,840
Value change
+$2,079,582
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
40
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCH TRADED FD III - RIVRFRNT DYN DEV (RFDI) has 40 institutional shareholders filing 13F forms. They hold 1,402,827 shares. .

Institutional Holders of FIRST TR EXCH TRADED FD III - RIVRFRNT DYN DEV (RFDI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 4,733 $381,035 8,050.6% 1
2025 Q3 1,402,827 $107,615,880 +$2,079,582 7,671.33% 40
2025 Q2 1,375,987 $100,338,319 +$3,282,722 7,292% 40
2025 Q1 1,347,670 $89,505,150 -$3,320,698 6,648% 40
2024 Q4 1,382,947 $85,049,621 -$14,130,343 6,146% 39
2024 Q3 1,606,525 $108,207,126 +$223,766 6,735.01% 40
2024 Q2 1,618,773 $103,003,557 -$5,566,670 6,363% 42
2024 Q1 1,705,557 $109,616,667 -$4,958,736 6,427% 43
2023 Q4 1,769,911 $108,295,094 +$2,924,075 6,119.01% 44
2023 Q3 1,724,059 $95,809,687 -$7,213,499 5,558% 45
2023 Q2 1,847,297 $105,580,260 +$2,644,179 5,715% 43
2023 Q1 1,801,050 $101,291,534 -$9,008,972 5,621% 49
2022 Q4 1,970,513 $104,840,147 -$1,833,645 5,315.98% 49
2022 Q3 1,907,905 $88,234,013 -$5,473,092 4,618.05% 43
2022 Q2 2,000,205 $107,170,423 -$442,999 5,353.03% 45
2022 Q1 2,028,028 $132,347,743 +$3,630,890 6,532.42% 50
2021 Q4 1,945,860 $142,165,200 +$4,999,438 7,313.86% 48
2021 Q3 1,892,830 $131,143,298 -$5,230,290 6,921% 44
2021 Q2 1,957,657 $138,636,030 +$3,177,764 7,077.11% 50
2021 Q1 1,938,904 $127,274,725 +$23,083,945 6,553.14% 44
2020 Q4 1,607,507 $103,541,606 +$515,656 6,440.96% 46
2020 Q3 1,572,484 $108,054 -$8,854 5.66% 40
2020 Q2 1,700,508 $108,936 -$17,063 5.34% 43
2020 Q1 2,007,822 $106,349 -$30,961 4.55% 44
2019 Q4 2,681,968 $180,804 -$42,235 6% 54
2019 Q3 923 $51,000 $0 5,509.74% 2
2019 Q2 923 $53,000 -$849,602 5,745.57% 2
2019 Q1 4,239,683 $238,698,330 -$7,125,243 5,633.97% 57
2018 Q4 4,207,523 $215,770,933 -$115,090,771 5,123.59% 54
2018 Q3 6,058,700 $374,278,012 -$54,140,472 6,177.94% 63
2018 Q2 7,436,096 $455,399,199 -$611,728 6,125.9% 60
2018 Q1 7,467,778 $477,118,525 +$158,205,476 6,389.99% 59
2017 Q4 5,052,763 $324,047,452 +$29,057,273 6,407.99% 51
2017 Q3 4,474,546 $282,155,074 +$116,983,256 6,305.97% 41
2017 Q2 2,619,884 $157,568,070 +$82,100,499 6,013.88% 36
2017 Q1 1,190,341 $67,092,650 +$28,710,463 5,648.36% 30
2016 Q4 738,837 $38,932,000 +$24,429,464 5,252.74% 22
2016 Q3 275,023 $14,521,220 +$1,520,478 5,280.67% 18
2016 Q2 246,392 $12,219,200 +$12,214,206 4,964.29% 13
2016 Q1 1,565 $88,000 $0 5,623% 1