FIRST TR EXCHANGE-TRADED FD - FIRST TR ENH NEW (FTSM)

Historical Holders from Q4 2014 to Q1 2025

Symbol
FTSM
CUSIP
33739Q408
Type / Class
Equity / FIRST TR ENH NEW
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
78M
Holdings value
$4.66B
% of all portfolios
0.035%
Grand Portfolio weight change
+0%
Number of holders
425
Number of buys
177
Number of sells
-209
Average Value change %
-0.01%
Average buys %
+0.004%
Average sells %
-0.018%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIRST TR EXCHANGE-TRADED FD - FIRST TR ENH NEW (FTSM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 6.38M $382M +$16.8M $59.84 97
2024 Q4 78M $4.66B +$2.82M $59.77 425
2024 Q3 77.5M $4.64B -$134M $59.87 397
2024 Q2 79.6M $4.74B -$215M $59.60 388
2024 Q1 82.8M $4.94B -$388M $59.62 394
2023 Q4 90.6M $5.41B -$184M $59.66 408
2023 Q3 77.8M $4.62B -$481M $59.42 380
2023 Q2 103M $6.1B -$196M $59.41 379
2023 Q1 107M $6.34B +$274M $59.51 392
2022 Q4 101M $5.98B +$1.3B $59.44 375
2022 Q3 76.1M $4.52B +$732M $59.32 336
2022 Q2 63.3M $3.76B +$1.1B $59.38 310
2022 Q1 43.7M $2.59B -$28.1M $59.53 285
2021 Q4 44.5M $2.66B -$106M $59.80 279
2021 Q3 44.9M $2.69B -$36M $59.94 257
2021 Q2 45.6M $2.73B -$256M $59.94 263
2021 Q1 49.9M $2.98B -$292M $59.97 270
2020 Q4 54.9M $3.29B +$46.3M $60.04 279
2020 Q3 53.4M $3.2B +$99.8M $60.02 247
2020 Q2 51.3M $3.08B -$98M $59.99 240
2020 Q1 52.4M $3.09B -$96.4M $59.03 232
2019 Q4 54M $3.24B +$9.07M $60.09 248
2019 Q3 53.1M $3.19B +$184M $60.07 214
2019 Q2 49.4M $2.97B +$94.4M $60.05 207
2019 Q1 48.4M $2.9B +$198M $59.98 202
2018 Q4 45.2M $2.71B +$917M $59.85 188
2018 Q3 28.9M $1.73B +$361M $60.02 144
2018 Q2 22.8M $1.37B +$345M $59.99 140
2018 Q1 17.1M $1.03B +$132M $59.96 111
2017 Q4 14.5M $868M +$192M $59.98 99
2017 Q3 11.2M $669M +$84.4M $60.00 72
2017 Q2 9.62M $577M +$120M $59.99 71
2017 Q1 7.09M $425M +$90.7M $59.97 57
2016 Q4 6.1M $366M +$126M $59.94 49
2016 Q3 4M $240M -$57.9M $59.94 41
2016 Q2 4.98M $299M -$49.6M $59.88 44
2016 Q1 5.77M $345M +$248M $59.83 40
2015 Q4 1.35M $80.9M -$29.5M $59.82 30
2015 Q3 1.75M $105M +$45.8M $59.88 30
2015 Q2 1.54M $92.7M -$809M $60.01 31
2015 Q1 15M $902M +$799M $60.03 28
2014 Q4 1.71M $102M +$101M $59.88 17