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

Historical Holders from Q4 2014 to Q4 2025

Type / Class
Equity / FIRST TR ENH NEW
Symbol
FTSM
Price per share
$59.93
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
77,223,215
Total reported value
$4,626,926,500
% of total 13F portfolios
0.03%
Share change
-3,216,922
Value change
-$192,623,162
Avg buy value change
+0%
Avg sell value change
-0.01%
Number of holders
394
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCHANGE-TRADED FD - FIRST TR ENH NEW (FTSM) has 394 institutional shareholders filing 13F forms. They hold 77,223,215 shares. .

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 2,352,191 $140,974,991 +$4,458,417 5,993% 21
2025 Q3 77,223,215 $4,626,926,500 -$192,623,162 5,991% 394
2025 Q2 79,138,500 $4,738,898,144 -$15,653,232 5,987% 412
2025 Q1 80,477,413 $4,816,151,858 +$220,732,806 5,984% 421
2024 Q4 78,079,065 $4,667,009,913 +$2,902,864 5,977% 430
2024 Q3 77,516,933 $4,641,579,288 -$134,206,666 5,987% 397
2024 Q2 79,592,507 $4,744,250,471 -$214,828,116 5,960% 388
2024 Q1 82,832,512 $4,938,842,156 -$387,929,809 5,962% 394
2023 Q4 33,921 $2,023,718 -$2,244,944 5,966% 4
2023 Q3 77,758,220 $4,620,060,709 -$481,138,938 5,942% 380
2023 Q2 102,724,456 $6,103,619,428 -$195,902,996 5,941% 379
2023 Q1 106,533,201 $6,340,543,278 +$274,445,620 5,951% 392
2022 Q4 100,537,859 $5,976,467,408 +$1,301,899,523 5,944% 375
2022 Q3 76,119,270 $4,515,942,389 +$732,363,015 5,932% 336
2022 Q2 63,348,254 $3,761,705,940 +$1,101,777,749 5,938.04% 310
2022 Q1 43,683,572 $2,590,359,348 -$28,059,269 5,953.01% 285
2021 Q4 44,517,344 $2,660,123,000 -$106,103,085 5,980% 279
2021 Q3 44,867,003 $2,687,438,226 -$36,004,257 5,994.49% 257
2021 Q2 45,641,130 $2,734,478,132 -$255,712,268 5,994.02% 263
2021 Q1 49,867,277 $2,984,492,400 -$291,684,533 5,997.07% 270
2020 Q4 54,895,026 $3,291,019,085 +$46,344,379 6,003.91% 279
2020 Q3 53,380,513 $3,200,425,184 +$99,784,810 6,001.96% 247
2020 Q2 51,313,739 $3,075,482,388 -$97,992,386 5,998.99% 240
2020 Q1 52,428,917 $3,092,064,804 -$96,412,400 5,903.06% 232
2019 Q4 53,991,023 $3,242,089,816 +$9,072,030 6,009% 248
2019 Q3 53,119,630 $3,189,537,625 +$183,604,938 6,007.02% 214
2019 Q2 49,391,132 $2,965,904,725 +$94,384,986 6,005% 207
2019 Q1 48,416,293 $2,903,959,460 +$197,608,089 5,998% 202
2018 Q4 45,241,510 $2,707,842,127 +$917,340,794 5,984.99% 188
2018 Q3 28,893,905 $1,734,265,740 +$361,417,271 6,002% 144
2018 Q2 22,838,945 $1,370,165,813 +$345,010,119 5,999.05% 140
2018 Q1 17,100,240 $1,025,344,202 +$132,493,235 5,996% 111
2017 Q4 14,465,252 $867,621,448 +$191,784,066 5,997.96% 99
2017 Q3 11,156,019 $669,397,634 +$84,441,801 6,000.01% 72
2017 Q2 9,618,184 $577,058,941 +$120,066,415 5,999.27% 71
2017 Q1 7,092,813 $425,346,000 +$90,666,081 5,996.87% 57
2016 Q4 6,099,804 $365,603,000 +$125,832,646 5,993.51% 49
2016 Q3 4,000,309 $239,772,000 -$57,910,542 5,993.88% 41
2016 Q2 4,984,352 $298,832,000 -$49,554,412 5,988.11% 44
2016 Q1 5,768,904 $345,243,000 +$248,170,054 5,983.04% 40
2015 Q4 1,353,061 $80,944,000 -$29,539,954 5,982.3% 30
2015 Q3 1,753,589 $105,016,000 +$45,815,508 5,988.09% 30
2015 Q2 1,544,804 $92,704,002 -$808,718,399 6,001.05% 31
2015 Q1 15,015,738 $901,517,791 +$798,987,252 6,003.04% 28
2014 Q4 1,707,748 $102,260,516 +$101,318,529 5,988.06% 17