FIRST TR EXCHANGE-TRADED FD - DORSEY WRIGHT (IFV)

Historical Portfolio Holders from Q3 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / DORSEY WRIGHT
Shares, excl. options Q2 2024
7.16M
Holdings value Q2 2024
$141M
Value change Q2 2024
-$3.27M
Grand Portfolio weight change Q2 2024
0%
Number of holders
58
Number of buys Q2 2024
20
Number of sells Q2 2024
-27
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 7.16M $141M -$3.27M $19.67 58
2024 Q1 7.31M $146M -$7.21M $20.00 54
2023 Q4 7.68M $150M -$54.5M $19.54 57
2023 Q3 9.73M $173M -$14.3M $17.74 57
2023 Q2 10.6M $191M +$12.2M $18.08 52
2023 Q1 9.89M $171M +$22M $17.24 55
2022 Q4 7.72M $129M +$37.4M $16.73 57
2022 Q3 5.59M $90.1M -$4.78M $16.11 56
2022 Q2 5.86M $104M -$2.58M $17.67 63
2022 Q1 5.99M $125M -$4.85M $20.85 59
2021 Q4 6.19M $144M -$29.3M $23.22 68
2021 Q3 7.42M $169M -$503K $22.73 72
2021 Q2 7.43M $183M -$7.23M $24.65 68
2021 Q1 7.71M $177M +$4.76M $22.97 65
2020 Q4 7.5M $167M +$13.2M $22.22 62
2020 Q3 6.8M $128M -$60.4M $18.79 57
2020 Q2 9.92M $167M -$29.3M $16.84 57
2020 Q1 11.7M $160M -$59.6M $13.71 60
2019 Q4 16M $342M +$2.93M $21.33 72
2019 Q3 15.6M $296M -$40.7M $19.03 67
2019 Q2 17.7M $350M -$28.1M $19.79 70
2019 Q1 19.1M $365M +$44M $19.08 75
2018 Q4 16.9M $294M -$141M $17.42 82
2018 Q3 24.8M $502M -$76.4M $20.24 86
2018 Q2 28.5M $594M +$8.14M $20.82 82
2018 Q1 28.1M $625M +$23.7M $22.22 85
2017 Q4 27M $602M +$38.8M $22.25 79
2017 Q3 25.3M $541M +$51.1M $21.38 65
2017 Q2 22.9M $450M +$103M $19.64 67
2017 Q1 17.7M $339M +$123M $19.12 63
2016 Q4 12.2M $208M -$49.8M $17.03 69
2016 Q3 15.1M $265M -$14.3M $17.47 65
2016 Q2 16M $265M -$27.6M $16.60 69
2016 Q1 13.3M $227M -$62.9M $17.14 71
2015 Q4 23M $410M +$14.8M $17.89 78
2015 Q3 22M $377M -$140M $17.08 70
2015 Q2 30.4M $594M +$458M $19.54 65
2015 Q1 6.34M $123M +$81.3M $19.39 35
2014 Q4 2.17M $39.5M +$14.4M $18.20 16
2014 Q3 1.38M $25.6M +$25.6M $18.62 13