FIRST TR VALUE LINE 100 ETF - COM SHS (FVL) Institutional Ownership

CUSIP: 33735G107

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2020

Type / Class
Equity / COM SHS
Symbol
FVL
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 33735G107?
CUSIP 33735G107 identifies FVL - FIRST TR VALUE LINE 100 ETF - COM SHS in SEC 13F datasets.

Where can I see the latest institutional holders?
Use the ownership history tables below to review the newest available institutional filing periods.

Institutional Holders of FIRST TR VALUE LINE 100 ETF - COM SHS (FVL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2020 Q4 0 $0 -$8,724,530 0
2020 Q3 396,665 $8,724,530 +$1,832,544 $22.04 18
2020 Q2 314,340 $6,642,854 +$175,137 $21.14 20
2020 Q1 309,674 $5,562,471 +$807,035 $17.96 20
2019 Q4 258,196 $5,886,093 -$791,162 $22.79 20
2019 Q3 294,029 $6,562,740 -$1,467,013 $22.32 23
2019 Q2 360,023 $8,008,681 +$323,431 $22.24 25
2019 Q1 346,503 $7,370,951 +$646,922 $21.27 27
2018 Q4 315,769 $5,934,093 -$2,886,357 $18.79 26
2018 Q3 433,978 $10,046,359 +$747,634 $23.15 22
2018 Q2 400,432 $9,223,270 -$1,643,851 $23.03 22
2018 Q1 472,322 $11,018,549 -$3,442,268 $23.38 23
2017 Q4 619,469 $14,490,549 -$428,108 $23.40 26
2017 Q3 636,455 $14,300,744 +$53,286 $22.48 22
2017 Q2 650,596 $13,844,384 +$491,945 $21.27 24
2017 Q1 585,316 $12,672,502 -$8,344 $21.65 26
2016 Q4 588,023 $12,706,486 -$1,349,595 $21.61 25
2016 Q3 641,261 $13,257,216 +$2,433,508 $20.71 26
2016 Q2 523,971 $10,642,096 -$1,046,677 $20.32 26
2016 Q1 577,425 $11,180,812 -$4,468,478 $19.38 26
2015 Q4 803,828 $15,849,940 +$1,487,566 $19.80 27
2015 Q3 728,971 $13,958,730 +$2,246,111 $19.10 24
2015 Q2 609,796 $12,778,270 -$34,441 $20.90 22
2015 Q1 611,440 $13,022,438 +$105,623 $21.46 20
2014 Q4 608,630 $12,428,090 -$1,251,302 $20.42 22
2014 Q3 670,980 $12,995,808 +$3,115,649 $19.36 21
2014 Q2 512,730 $10,429,453 -$1,967,503 $20.39 21
2014 Q1 609,300 $11,732,781 -$82,303 $19.27 20