FIRST TR EXCHANGE-TRADED FD - HIGH INCM STRGC (HISF)

Historical Holders from Q3 2014 to Q4 2025

Type / Class
Equity / HIGH INCM STRGC
Symbol
HISF
Price per share
$45.25
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
923,544
Total reported value
$41,713,396
% of total 13F portfolios
0%
Share change
+304,275
Value change
+$13,835,957
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
32
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCHANGE-TRADED FD - HIGH INCM STRGC (HISF) has 32 institutional shareholders filing 13F forms. They hold 923,544 shares. .

Institutional Holders of FIRST TR EXCHANGE-TRADED FD - HIGH INCM STRGC (HISF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 660 $29,862 4,524.55% 1
2025 Q3 923,544 $41,713,396 +$13,835,957 4,516.51% 32
2025 Q2 625,340 $27,916,218 -$2,166,438 4,471% 30
2025 Q1 673,099 $29,784,617 +$1,429,784 4,425.24% 32
2024 Q4 648,206 $28,397,055 -$204,637 4,378% 35
2024 Q3 554,225 $25,197,624 +$1,465,657 4,546.5% 32
2024 Q2 519,105 $22,723,420 +$4,612,554 4,377.33% 36
2024 Q1 413,880 $18,303,926 +$2,382,433 4,423.04% 35
2023 Q4 358,662 $16,072,049 +$1,027,235 4,485.5% 32
2023 Q3 335,718 $14,351,511 +$1,494,975 4,272.99% 29
2023 Q2 300,438 $13,234,419 +$5,018,256 4,405% 26
2023 Q1 9,773 $434,840 -$293,706 5,000% 3
2022 Q4 270,752 $11,927,350 -$5,225,102 4,404% 30
2022 Q3 390,105 $17,025,839 -$1,212,232 4,363.71% 28
2022 Q2 415,714 $18,682,622 -$5,964,461 4,490.81% 27
2022 Q1 526,624 $25,324,817 -$4,094,222 4,813.38% 33
2021 Q4 613,653 $31,135,224 -$4,933,052 5,073.42% 37
2021 Q3 656,214 $32,311,939 +$10,247,587 4,924.01% 31
2021 Q2 448,020 $22,526,022 -$5,625,441 5,027.76% 31
2021 Q1 559,535 $27,321,906 +$6,973,371 4,883.6% 29
2020 Q4 413,304 $19,778,828 -$1,836,484 4,785.2% 30
2020 Q3 444,204 $19,727,548 -$3,997,806 4,436.86% 29
2020 Q2 523,543 $23,505,290 -$12,090,686 4,491.1% 29
2020 Q1 803,633 $33,319,934 -$6,580,737 4,137.74% 33
2019 Q4 903,482 $46,468,376 +$940,027 5,142.93% 34
2019 Q3 920,413 $46,749,732 +$2,658,098 5,079.22% 34
2019 Q2 867,341 $43,636,566 +$174,217 5,029.91% 32
2019 Q1 865,177 $43,017,709 -$6,029,432 4,972.38% 29
2018 Q4 994,344 $45,995,397 +$2,803,068 4,625.81% 31
2018 Q3 912,774 $44,889,964 -$1,724,760 4,918.03% 31
2018 Q2 943,928 $46,320,265 -$5,830,190 4,916.69% 33
2018 Q1 1,061,474 $52,138,371 +$930,427 4,911.15% 37
2017 Q4 935,507 $47,827,739 -$7,384,805 5,112.76% 32
2017 Q3 1,144,762 $58,650,171 -$1,178,191 5,122.98% 32
2017 Q2 1,204,525 $61,449,497 +$6,624,375 5,100.84% 34
2017 Q1 1,028,261 $52,239,756 +$10,285,031 5,080.96% 30
2016 Q4 883,358 $44,219,229 +$37,722,814 5,002.77% 25
2016 Q3 130,659 $6,600,000 -$1,336,483 5,046.71% 16
2016 Q2 157,178 $7,835,000 -$3,969,759 5,000.76% 15
2016 Q1 234,525 $11,197,000 -$5,267,694 4,811.86% 16
2015 Q4 346,184 $16,066,000 +$1,907,715 4,648.13% 14
2015 Q3 298,957 $13,891,000 +$1,335,772 4,597.56% 13
2015 Q2 269,528 $13,188,691 +$191,703 4,892.89% 13
2015 Q1 265,626 $13,355,000 -$1,762,762 5,033% 12
2014 Q4 299,884 $15,240,502 -$1,667,322 5,089.83% 9
2014 Q3 332,897 $16,544,000 +$16,543,999 4,970.97% 8