FIRST TR EXCHNG TRADED FD VI - FLEXIBL MUN HIGH (MFLX)

Historical Holders from Q1 2016 to Q3 2025

Type / Class
Equity / FLEXIBL MUN HIGH
Symbol
MFLX
Price per share
$16.92
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
550,164
Total reported value
$9,297,809
% of total 13F portfolios
0%
Share change
+127,205
Value change
+$2,153,448
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
22
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST TR EXCHNG TRADED FD VI - FLEXIBL MUN HIGH (MFLX) has 22 institutional shareholders filing 13F forms. They hold 550,164 shares. .

Institutional Holders of FIRST TR EXCHNG TRADED FD VI - FLEXIBL MUN HIGH (MFLX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 550,164 $9,297,809 +$2,153,448 1,692.5% 22
2025 Q2 422,960 $7,008,339 +$915,080 1,657% 22
2025 Q1 367,460 $6,217,842 -$124,711 1,692% 17
2024 Q4 374,571 $6,387,224 -$77,672 1,704% 18
2024 Q3 378,330 $6,605,503 +$169,087 1,746% 14
2024 Q2 401,790 $6,828,757 +$58,561 1,699.54% 16
2024 Q1 398,413 $6,755,956 +$1,292,608 1,696% 16
2023 Q4 322,221 $5,497,567 +$2,034,298 1,706% 12
2023 Q3 179,887 $2,832,149 +$415,403 1,574% 12
2023 Q2 153,496 $2,538,639 -$238,775 1,654.5% 12
2023 Q1 167,894 $2,790,750 +$1,315,483 1,656% 14
2022 Q4 95,360 $1,564,999 -$882,972 1,626% 13
2022 Q3 155,086 $2,455,000 -$1,040,066 1,564.51% 11
2022 Q2 217,764 $3,644,000 -$1,085,765 1,666.22% 14
2022 Q1 239,656 $4,326,350 -$586,955 1,806% 13
2021 Q4 324,964 $6,868,803 -$623,961 2,114.49% 18
2021 Q3 361,726 $7,533,128 +$3,157,947 2,083.22% 20
2021 Q2 207,958 $4,442,925 -$501,440 2,135.38% 14
2021 Q1 265,359 $5,398,085 +$868,239 2,033.03% 15
2020 Q4 179,325 $3,628,000 +$399,631 2,023.28% 12
2020 Q3 161,086 $3,059,000 +$342,281 1,903.75% 12
2020 Q2 143,193 $2,658,000 -$837,345 1,855.3% 12
2020 Q1 213,310 $3,821,000 -$299,511 1,800% 13
2019 Q4 188,276 $3,679,000 -$378,466 1,957.55% 7
2019 Q3 217,229 $4,226,555 -$738,490 1,945% 9
2019 Q2 249,260 $4,721,982 +$555,945 1,894.95% 10
2019 Q1 226,475 $4,172,326 -$806,977 1,842.08% 8
2018 Q4 274,107 $4,721,968 -$3,227,214 1,722.81% 10
2018 Q3 459,642 $8,077,000 -$290,571 1,757.17% 6
2018 Q2 475,678 $8,501,000 -$317,258 1,786.95% 8
2018 Q1 493,621 $8,795,000 -$739,369 1,778.85% 9
2017 Q4 534,550 $10,020,000 -$4,383 1,873.61% 8
2017 Q3 534,785 $10,137,000 +$141,362 1,902.95% 7
2017 Q2 555,864 $10,499,000 +$3,184,252 1,888.66% 5
2017 Q1 387,353 $7,177,000 +$1,652,400 1,852.84% 4
2016 Q4 298,141 $5,495,000 +$3,487,991 1,842.91% 4
2016 Q3 99,749 $2,007,000 +$2,007,000 2,012.05% 1
2016 Q1 6,472 $119,000 $0 1,838.69% 1