NEW YORK COMMUNITY CAPITAL TRUST V - Units, 11/01/2051 (FLGPRU)

Historical Holders from Q1 2014 to Q3 2025

Symbol
FLGPRU
Type / Class
Equity / Units, 11/01/2051
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
1.83M
Holdings value
$72.2M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
27
Number of buys
8
Number of sells
-11
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of NEW YORK COMMUNITY CAPITAL TRUST V - Units, 11/01/2051 (FLGPRU)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.83M $72.2M +$2.93M $39.86 27
2025 Q2 1.76M $67.5M +$3.6M $38.46 27
2025 Q1 1.66M $62M +$2.37M $37.28 24
2024 Q4 1.6M $60.3M +$3.03M $37.54 28
2024 Q3 1.51M $58.7M +$1.77M $38.72 24
2024 Q2 1.49M $47.7M -$9.16M $31.95 23
2024 Q1 1.71M $56.5M -$19M $32.83 23
2023 Q4 2.15M $89.6M -$4.78M $41.51 35
2023 Q3 2.28M $83.4M +$536K $36.47 37
2023 Q2 2.27M $91.7M +$11.1M $40.45 35
2023 Q1 2.01M $77.7M +$629K $38.70 33
2022 Q4 1.99M $86.6M +$2.19M $43.38 35
2022 Q3 1.99M $87.6M -$991K $44.58 38
2022 Q2 2.01M $93M -$1.11M $46.20 39
2022 Q1 2.03M $102M -$693K $51.59 40
2021 Q4 2.01M $106M -$7.8M $52.90 36
2021 Q3 2.19M $116M +$6.97M $53.29 35
2021 Q2 2.06M $106M +$3M $51.95 33
2021 Q1 2.03M $101M +$8.95M $50.00 35
2020 Q4 1.89M $86.9M -$2.47M $45.85 34
2020 Q3 1.91M $84.1M -$2.95M $44.21 29
2020 Q2 1.98M $88.1M -$4.27M $44.67 34
2020 Q1 2.08M $86.5M -$2.1M $41.32 35
2019 Q4 2.61M $132M -$11.6M $50.70 37
2019 Q3 2.84M $142M +$14.1M $50.00 38
2019 Q2 2.56M $123M -$2.96M $47.84 37
2019 Q1 2.63M $127M +$1.47M $48.25 40
2018 Q4 2.6M $117M -$20.7M $44.74 33
2018 Q3 3.01M $149M +$20.4M $49.23 35
2018 Q2 2.6M $130M -$22.5M $49.89 31
2018 Q1 3.05M $152M -$1.85M $50.00 35
2017 Q4 3.07M $156M -$4.88M $50.73 40
2017 Q3 3.16M $161M +$10.7M $50.85 37
2017 Q2 2.95M $151M +$37.4M $51.49 36
2017 Q1 2.22M $112M -$42M $50.39 31
2016 Q4 3.06M $153M -$4.16M $49.82 33
2016 Q3 3.11M $155M -$9.15M $50.10 29
2016 Q2 3.28M $165M +$34.8M $50.44 29
2016 Q1 2.98M $149M -$37.8M $50.40 27
2015 Q4 3.73M $186M +$37.8M $50.00 28
2015 Q3 3.02M $151M -$32.9M $50.00 28
2015 Q2 3.72M $190M +$34.6M $51.14 28
2015 Q1 3.04M $154M -$34.2M $50.75 26
2014 Q4 3.73M $186M +$5.37M $49.84 27
2014 Q3 3.62M $179M -$8.64M $50.25 30
2014 Q2 3.79M $187M +$10.2M $49.17 27
2014 Q1 3.73M $182M +$38.2M $48.71 25