FIRST TR EXCH TRADED FD III - INSTL PFD SECS (FPEI)

Historical Holders from Q3 2017 to Q4 2025

Type / Class
Equity / INSTL PFD SECS
Symbol
FPEI
Price per share
$19.39
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
69,648,829
Total reported value
$1,346,838,739
% of total 13F portfolios
0.01%
Share change
+3,778,918
Value change
+$73,186,338
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
186
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCH TRADED FD III - INSTL PFD SECS (FPEI) has 186 institutional shareholders filing 13F forms. They hold 69,648,829 shares. .

Institutional Holders of FIRST TR EXCH TRADED FD III - INSTL PFD SECS (FPEI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 979,870 $19,000,958 -$1,458,687 1,939% 12
2025 Q3 69,648,829 $1,346,838,739 +$73,186,338 1,934% 186
2025 Q2 65,813,022 $1,249,687,928 -$25,758,052 1,899% 177
2025 Q1 67,313,994 $1,258,675,672 +$66,405,855 1,870% 179
2024 Q4 63,858,610 $1,194,019,142 +$71,025,977 1,870% 184
2024 Q3 58,962,235 $1,124,382,462 +$143,796,731 1,907% 162
2024 Q2 51,490,973 $945,915,140 +$15,337,655 1,837% 165
2024 Q1 50,479,347 $919,629,336 +$6,740,989 1,822% 150
2023 Q4 72,240 $1,288,053 -$9,570,103 1,783% 3
2023 Q3 42,616,405 $719,356,712 +$10,056,625 1,688% 134
2023 Q2 41,844,460 $706,128,648 +$29,057,483 1,685% 135
2023 Q1 40,058,236 $671,998,964 +$65,377,732 1,675% 141
2022 Q4 36,135,435 $643,713,668 +$239,544,789 1,781% 134
2022 Q3 22,281,384 $382,315,005 +$36,564,891 1,715.04% 106
2022 Q2 19,840,587 $351,789,404 +$35,785,440 1,771.95% 97
2022 Q1 18,040,654 $349,898,763 -$674,068 1,939.96% 100
2021 Q4 17,631,770 $359,689,779 +$70,508,732 2,039.99% 96
2021 Q3 13,068,224 $269,858,489 +$53,067,974 2,064.97% 82
2021 Q2 9,687,867 $200,135,000 +$16,204,600 2,066.95% 69
2021 Q1 8,282,585 $167,844,624 +$24,113,806 2,026.03% 66
2020 Q4 7,011,483 $142,891,000 -$23,688,426 2,037.94% 55
2020 Q3 8,050,443 $156,083,000 +$10,465,442 1,938.02% 52
2020 Q2 7,512,448 $141,628,000 -$9,007,911 1,883.87% 45
2020 Q1 7,956,698 $134,712,000 +$15,265,824 1,690.85% 47
2019 Q4 6,927,408 $139,037,000 +$27,123,218 2,005.98% 45
2019 Q3 5,005,811 $98,202,000 +$22,088,148 1,961.98% 41
2019 Q2 3,876,777 $75,293,000 +$7,817,479 1,941.87% 29
2019 Q1 3,576,896 $67,988,000 +$20,519,539 1,900.98% 35
2018 Q4 2,404,369 $43,843,000 +$8,641,302 1,823.89% 30
2018 Q3 1,925,759 $36,544,000 -$1,853,528 1,897.82% 27
2018 Q2 1,958,591 $37,220,000 +$1,604,730 1,899.94% 25
2018 Q1 2,155,437 $36,492,000 +$6,344,687 1,949.05% 23
2017 Q4 1,534,398 $30,893,000 +$20,048,945 2,013.97% 16
2017 Q3 515,510 $5,130,000 +$5,125,003 2,008.39% 8