FIRST TR EXCHNG TRADED FD VI - TCW OPPORTUNIS (FIXD)

Historical Holders from Q1 2016 to Q1 2025

Symbol
FIXD
CUSIP
33740F805
Type / Class
Equity / TCW OPPORTUNIS
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
85.3M
Holdings value
$3.67B
% of all portfolios
0.026%
Grand Portfolio weight change
-0.001%
Number of holders
348
Number of buys
155
Number of sells
-169
Average Value change %
-0.02%
Average buys %
+0.003%
Average sells %
-0.024%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FIRST TR EXCHNG TRADED FD VI - TCW OPPORTUNIS (FIXD)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 6.35M $278M -$46.2M $43.84 68
2024 Q4 85.3M $3.67B -$500M $42.97 348
2024 Q3 97.1M $4.39B +$134M $45.24 331
2024 Q2 94M $4.05B -$130M $43.05 334
2024 Q1 97.9M $4.27B +$92.1M $43.60 342
2023 Q4 92.7M $4.14B +$248M $44.61 339
2023 Q3 86.6M $3.64B +$291M $42.06 310
2023 Q2 82.8M $3.65B +$635M $44.17 321
2023 Q1 68.8M $3.1B +$460M $45.06 297
2022 Q4 57.4M $2.52B -$270M $43.92 286
2022 Q3 61M $2.66B +$33.5M $43.54 279
2022 Q2 59.9M $2.78B -$525M $46.37 293
2022 Q1 69.2M $3.43B -$250M $49.58 308
2021 Q4 75.7M $4.03B -$5.76M $53.21 318
2021 Q3 67.8M $3.63B +$56.1M $53.55 281
2021 Q2 67.1M $3.6B -$21.5M $53.63 275
2021 Q1 68.3M $3.6B +$401M $52.83 277
2020 Q4 58.6M $3.2B +$422M $54.73 254
2020 Q3 48.2M $2.65B +$672M $55.03 204
2020 Q2 34.5M $1.89B +$779M $54.79 166
2020 Q1 20M $1.06B +$258M $52.71 135
2019 Q4 16M $830M +$226M $51.82 127
2019 Q3 11.4M $598M +$178M $52.65 104
2019 Q2 7.97M $413M +$62.9M $51.79 77
2019 Q1 6.78M $343M +$105M $50.56 70
2018 Q4 4.94M $243M +$4.58M $49.34 62
2018 Q3 4.77M $233M +$72.2M $48.99 51
2018 Q2 3.29M $162M -$8.78M $49.20 51
2018 Q1 3.53M $175M +$8.38M $49.66 47
2017 Q4 3.52M $178M +$146M $50.75 46
2017 Q3 608K $31M +$1.76M $50.88 16
2017 Q2 574K $29.1M +$9.27M $50.72 17
2017 Q1 388K $19.5M +$19.5M $50.13 8
2016 Q1 15.5K $785K $0 $50.76 1