All 932 'F' 13F Securities
Filter securities by prefix to quickly locate symbols and classes across 13F datasets.
FNRN
CUSIP 335925103
Equity
- Security class
- Common Stock, Common stock, without par value
- Holdings value
- $97.29M
- Net change Q2 2026
- +$92.84M
- Identifier
- CUSIP 335925103
FNWB
CUSIP 335834107
Equity
- Security class
- COMMON STOCK
- Holdings value
- $39.52M
- Net change Q2 2026
- +$782K
- Identifier
- CUSIP 335834107
FOTB
CUSIP 335876108
Equity
- Security class
- Com
- Holdings value
- $8.66M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP 335876108
FPAFY
CUSIP 335889200
Equity
- Security class
- COMMON STK
- Holdings value
- $1.22M
- Net change Q2 2026
- -$367.4K
- Identifier
- CUSIP 335889200
FQVLF
CUSIP 335934105
Equity
- Security class
- USD
- Holdings value
- $5.78M
- Net change Q2 2026
- +$2.4M
- Identifier
- CUSIP 335934105
FSRL
CUSIP 33615Q100
Equity
- Security class
- COMMON STOCK
- Holdings value
- $5.48M
- Net change Q2 2026
- -$808K
- Identifier
- CUSIP 33615Q100
FSEA
CUSIP 33631F104
Equity
- Security class
- Common Stock
- Holdings value
- $18.64M
- Net change Q2 2026
- +$2.37M
- Identifier
- CUSIP 33631F104
FSV
CUSIP 33767E202
Equity
- Security class
- Common Stock
- Holdings value
- $4.6B
- Net change Q2 2026
- -$29.64M
- Identifier
- CUSIP 33767E202
No ticker
CUSIP 336433957
Equity
- Security class
- COM
- Holdings value
- $3.42M
- Net change Q2 2026
- -$9.48M
- Identifier
- CUSIP 336433957
FSLR
CUSIP 336433107
Equity
- Security class
- Common Stock, $0.001 par value per share
- Holdings value
- $23.39B
- Net change Q2 2026
- +$1.22B
- Identifier
- CUSIP 336433107
FSUN
CUSIP 33767U107
Equity
- Security class
- Common Stock
- Holdings value
- $955.59M
- Net change Q2 2026
- +$514.5M
- Identifier
- CUSIP 33767U107
TRAX
CUSIP 337185102
Equity
- Security class
- Common Stock, par value $0.001 per share
- Holdings value
- $685.82M
- Net change Q2 2026
- +$663.76M
- Identifier
- CUSIP 337185102
FEX
CUSIP 33734K109
Equity
- Security class
- COM SHS
- Holdings value
- $1.02B
- Net change Q2 2026
- +$35.65M
- Identifier
- CUSIP 33734K109
FYX
CUSIP 33734Y109
Equity
- Security class
- COM SHS
- Holdings value
- $992.88M
- Net change Q2 2026
- +$115.42M
- Identifier
- CUSIP 33734Y109
FTC
CUSIP 33735K108
Equity
- Security class
- COM SHS
- Holdings value
- $957.19M
- Net change Q2 2026
- -$10.68M
- Identifier
- CUSIP 33735K108
FNX
CUSIP 33735B108
Equity
- Security class
- COM SHS
- Holdings value
- $942.48M
- Net change Q2 2026
- +$17.14M
- Identifier
- CUSIP 33735B108
FTA
CUSIP 33735J101
Equity
- Security class
- COM SHS
- Holdings value
- $924.78M
- Net change Q2 2026
- -$14.98M
- Identifier
- CUSIP 33735J101
FNY
CUSIP 33737M102
Equity
- Security class
- MID CP GR ALPH
- Holdings value
- $449.05M
- Net change Q2 2026
- -$4.94M
- Identifier
- CUSIP 33737M102
FAD
CUSIP 33733F101
Equity
- Security class
- COM SHS
- Holdings value
- $392.91M
- Net change Q2 2026
- +$64.38M
- Identifier
- CUSIP 33733F101
FNK
CUSIP 33737M201
Equity
- Security class
- MID CAP VAL FD
- Holdings value
- $160.42M
- Net change Q2 2026
- -$755.8K
- Identifier
- CUSIP 33737M201
FAB
CUSIP 33733C108
Equity
- Security class
- SHS ISSUED FRST
- Holdings value
- $65.41M
- Net change Q2 2026
- -$2.85M
- Identifier
- CUSIP 33733C108
RDVY
CUSIP 33738R506
Equity
- Security class
- RISNG DIVD ACHIV
- Holdings value
- $18.06B
- Net change Q2 2026
- +$694.87M
- Identifier
- CUSIP 33738R506
SDVY
CUSIP 33741X102
Equity
- Security class
- SMID RISNG ETF
- Holdings value
- $9.09B
- Net change Q2 2026
- +$255.04M
- Identifier
- CUSIP 33741X102
AIRR
CUSIP 33738R704
Equity
- Security class
- RBA INDL ETF
- Holdings value
- $7.91B
- Net change Q2 2026
- +$1.07B
- Identifier
- CUSIP 33738R704
TDIV
CUSIP 33738R118
Equity
- Security class
- NASD TECH DIV
- Holdings value
- $2.73B
- Net change Q2 2026
- +$72.94M
- Identifier
- CUSIP 33738R118
FV
CUSIP 33738R605
Equity
- Security class
- DORSEY WRT 5 ETF
- Holdings value
- $2.52B
- Net change Q2 2026
- -$66.78M
- Identifier
- CUSIP 33738R605
ROBT
CUSIP 33738R720
Equity
- Security class
- NASDQ ARTFCIAL
- Holdings value
- $353.2M
- Net change Q2 2026
- -$14.86M
- Identifier
- CUSIP 33738R720
IFV
CUSIP 33738R886
Equity
- Security class
- DORSEY WRIGHT
- Holdings value
- $213.72M
- Net change Q2 2026
- +$36.25M
- Identifier
- CUSIP 33738R886
MDIV
CUSIP 33738R100
Equity
- Security class
- MULTI ASSET DI
- Holdings value
- $156.63M
- Net change Q2 2026
- +$11.18M
- Identifier
- CUSIP 33738R100
FICS
CUSIP 33738R662
Equity
- Security class
- INTL DEV STRNGTH
- Holdings value
- $152.41M
- Net change Q2 2026
- -$1.69M
- Identifier
- CUSIP 33738R662
FID
CUSIP 33738R688
Equity
- Security class
- S&P INTL DIVID
- Holdings value
- $123.36M
- Net change Q2 2026
- -$14.76M
- Identifier
- CUSIP 33738R688
DALI
CUSIP 33738R712
Equity
- Security class
- DORSEY WRIGHT
- Holdings value
- $98.58M
- Net change Q2 2026
- -$9.25M
- Identifier
- CUSIP 33738R712
FTCE
CUSIP 33738R597
Equity
- Security class
- NEW CO CO EA ETF
- Holdings value
- $72.64M
- Net change Q2 2026
- +$8.03M
- Identifier
- CUSIP 33738R597
FVC
CUSIP 33738R878
Equity
- Security class
- DORSEY WRIGHT
- Holdings value
- $64.96M
- Net change Q2 2026
- -$6.47M
- Identifier
- CUSIP 33738R878
LEGR
CUSIP 33741X201
Equity
- Security class
- INDXX INOVTV ETF
- Holdings value
- $56.43M
- Net change Q2 2026
- +$1.64M
- Identifier
- CUSIP 33741X201
DVOL
CUSIP 33741L108
Equity
- Security class
- DORSY WR MOMNT
- Holdings value
- $55.81M
- Net change Q2 2026
- +$722.4K
- Identifier
- CUSIP 33741L108
FSCS
CUSIP 33738R753
Equity
- Security class
- SMID CAPITAL STR
- Holdings value
- $47.64M
- Net change Q2 2026
- +$678.5K
- Identifier
- CUSIP 33738R753
DDIV
CUSIP 33738R696
Equity
- Security class
- DORSEYWRIGHT MOM
- Holdings value
- $46.84M
- Net change Q2 2026
- -$1.36M
- Identifier
- CUSIP 33738R696
KNGZ
CUSIP 33738R738
Equity
- Security class
- FIRST TRUST S&P
- Holdings value
- $42.68M
- Net change Q2 2026
- +$584.4K
- Identifier
- CUSIP 33738R738
DVLU
CUSIP 33741L207
Equity
- Security class
- DORSY WRGH VLU
- Holdings value
- $32.86M
- Net change Q2 2026
- -$1.81M
- Identifier
- CUSIP 33741L207
FTKI
CUSIP 33738R589
Equity
- Security class
- SM CAP BUYWRITE
- Holdings value
- $22.14M
- Net change Q2 2026
- +$244.3K
- Identifier
- CUSIP 33738R589
FTXG
CUSIP 33738R852
Equity
- Security class
- NASDQ FOD BVRG
- Holdings value
- $14.12M
- Net change Q2 2026
- +$5.23M
- Identifier
- CUSIP 33738R852
RNEM
CUSIP 33738R779
Equity
- Security class
- EMERGING MKTS
- Holdings value
- $12.44M
- Net change Q2 2026
- +$56.8K
- Identifier
- CUSIP 33738R779
FSGS
CUSIP 33738R746
Equity
- Security class
- FIRST TRUST SMID
- Holdings value
- $10.92M
- Net change Q2 2026
- -$4.78M
- Identifier
- CUSIP 33738R746
SHRY
CUSIP 33738R761
Equity
- Security class
- FIRST TR BLOOMBE
- Holdings value
- $6.85M
- Net change Q2 2026
- -$2.72M
- Identifier
- CUSIP 33738R761
RND
CUSIP 33738R621
Equity
- Security class
- BLOOMBERG R
- Holdings value
- $4.98M
- Net change Q2 2026
- +$3.51M
- Identifier
- CUSIP 33738R621
BNGE
CUSIP 33738R647
Equity
- Security class
- S NE ST GA ETF
- Holdings value
- $2.89M
- Net change Q2 2026
- +$406.2K
- Identifier
- CUSIP 33738R647
ISHP
CUSIP 33738R829
Equity
- Security class
- S NETWRK E-COM
- Holdings value
- $2.36M
- Net change Q2 2026
- +$97.2K
- Identifier
- CUSIP 33738R829
FTBI
CUSIP 33738R571
Equity
- Security class
- BALANCED INCOME
- Holdings value
- $2.29M
- Net change Q2 2026
- +$458.5K
- Identifier
- CUSIP 33738R571
DGLO
CUSIP 33738R563
Equity
- Security class
- RBA DEGLO ETF
- Holdings value
- $1.96M
- Net change Q2 2026
- +$692.8K
- Identifier
- CUSIP 33738R563
EMOT
CUSIP 33738R613
Equity
- Security class
- S&P 500 ECONOMIC
- Holdings value
- $1.59M
- Net change Q2 2026
- +$381.9K
- Identifier
- CUSIP 33738R613
MDEV
CUSIP 33738R639
Equity
- Security class
- INDXX GBL MED
- Holdings value
- $1.17M
- Net change Q2 2026
- -$3.2K
- Identifier
- CUSIP 33738R639
CIBR
CUSIP 33734X846
Equity
- Security class
- NASDAQ CYB ETF
- Holdings value
- $7.89B
- Net change Q2 2026
- +$481.01M
- Identifier
- CUSIP 33734X846
GRID
CUSIP 33737A108
Equity
- Security class
- NASDQ CLN EDGE
- Holdings value
- $6.33B
- Net change Q2 2026
- +$1.48B
- Identifier
- CUSIP 33737A108
FVD
CUSIP 33734H106
Equity
- Security class
- SHS
- Holdings value
- $5.15B
- Net change Q2 2026
- -$156.13M
- Identifier
- CUSIP 33734H106
LMBS
CUSIP 33739Q200
Equity
- Security class
- FST LOW OPPT EFT
- Holdings value
- $5.02B
- Net change Q2 2026
- +$231.55M
- Identifier
- CUSIP 33739Q200
FTSM
CUSIP 33739Q408
Equity
- Security class
- FIRST TR ENH NEW
- Holdings value
- $5B
- Net change Q2 2026
- -$77.55M
- Identifier
- CUSIP 33739Q408
FTCS
CUSIP 33733E104
Equity
- Security class
- CAP STRENGTH ETF
- Holdings value
- $4.64B
- Net change Q2 2026
- -$99.68M
- Identifier
- CUSIP 33733E104
FDL
CUSIP 336917109
Equity
- Security class
- SHS
- Holdings value
- $4.43B
- Net change Q2 2026
- +$140.17M
- Identifier
- CUSIP 336917109
EMLP
CUSIP 33738D101
Equity
- Security class
- NO AMER ENERGY
- Holdings value
- $2.98B
- Net change Q2 2026
- +$10.15M
- Identifier
- CUSIP 33738D101
FTSL
CUSIP 33738D309
Equity
- Security class
- SENIOR LN FD
- Holdings value
- $1.63B
- Net change Q2 2026
- +$65.81M
- Identifier
- CUSIP 33738D309
SKYY
CUSIP 33734X192
Equity
- Security class
- CLOUD COMPUTING
- Holdings value
- $1.15B
- Net change Q2 2026
- -$33.12M
- Identifier
- CUSIP 33734X192
QQEW
CUSIP 337344105
Equity
- Security class
- NASDAQ-100 SEL
- Holdings value
- $1.12B
- Net change Q2 2026
- -$113.01M
- Identifier
- CUSIP 337344105
FIW
CUSIP 33733B100
Equity
- Security class
- WTR ETF
- Holdings value
- $960.56M
- Net change Q2 2026
- +$2.9M
- Identifier
- CUSIP 33733B100
FTGS
CUSIP 33733E823
Equity
- Security class
- GROWTH STRENGTH
- Holdings value
- $944.29M
- Net change Q2 2026
- +$27.32M
- Identifier
- CUSIP 33733E823
FGD
CUSIP 33734X200
Equity
- Security class
- DJ GLBL DIVID
- Holdings value
- $894.55M
- Net change Q2 2026
- +$93.27M
- Identifier
- CUSIP 33734X200
FPX
CUSIP 336920103
Equity
- Security class
- US EQTY OPPT ETF
- Holdings value
- $853.95M
- Net change Q2 2026
- +$102.98M
- Identifier
- CUSIP 336920103
ACYN
CUSIP 33733E690
Equity
- Security class
- VEST LADDERED
- Holdings value
- $675.96M
- Net change Q2 2026
- +$600.6M
- Identifier
- CUSIP 33733E690
FXH
CUSIP 33734X143
Equity
- Security class
- HLTH CARE ALPH
- Holdings value
- $520.58M
- Net change Q2 2026
- +$25.35M
- Identifier
- CUSIP 33734X143
FDD
CUSIP 33735T109
Equity
- Security class
- COMMON SHS
- Holdings value
- $481.55M
- Net change Q2 2026
- -$5.45M
- Identifier
- CUSIP 33735T109
EIPX
CUSIP 33739Q804
Equity
- Security class
- ENERGY INM PARTN
- Holdings value
- $457.52M
- Net change Q2 2026
- +$11.61M
- Identifier
- CUSIP 33739Q804
FXZ
CUSIP 33734X168
Equity
- Security class
- MATERIALS ALPH
- Holdings value
- $280.71M
- Net change Q2 2026
- +$27.02M
- Identifier
- CUSIP 33734X168
NXTG
CUSIP 33737K205
Equity
- Security class
- INDXX NEXTG ETF
- Holdings value
- $278.58M
- Net change Q2 2026
- +$7.33M
- Identifier
- CUSIP 33737K205
QCLN
CUSIP 33733E500
Equity
- Security class
- NAS CLNEDG GREEN
- Holdings value
- $276.77M
- Net change Q2 2026
- +$84.66M
- Identifier
- CUSIP 33733E500
FCG
CUSIP 33733E807
Equity
- Security class
- NAT GAS ETF
- Holdings value
- $275.54M
- Net change Q2 2026
- -$87.71M
- Identifier
- CUSIP 33733E807
LQTI
CUSIP 33738D747
Equity
- Security class
- VEST INVESTMENT
- Holdings value
- $258.94M
- Net change Q2 2026
- +$27.9M
- Identifier
- CUSIP 33738D747
FAN
CUSIP 33736G106
Equity
- Security class
- GBL WND ENRG ETF
- Holdings value
- $150.76M
- Net change Q2 2026
- +$54.52M
- Identifier
- CUSIP 33736G106
FRI
CUSIP 33734G108
Equity
- Security class
- COM
- Holdings value
- $126.66M
- Net change Q2 2026
- +$5.04M
- Identifier
- CUSIP 33734G108
ACYS
CUSIP 33733E641
Equity
- Security class
- VEST LAD AUT ETF
- Holdings value
- $116.86M
- Net change Q2 2026
- +$109.81M
- Identifier
- CUSIP 33733E641
FXG
CUSIP 33734X119
Equity
- Security class
- CONSUMR STAPLE
- Holdings value
- $115.96M
- Net change Q2 2026
- -$6.62M
- Identifier
- CUSIP 33734X119
FAI
CUSIP 33734X739
Equity
- Security class
- BLOOMBERG AI ETF
- Holdings value
- $106.38M
- Net change Q2 2026
- +$84.96M
- Identifier
- CUSIP 33734X739
HISF
CUSIP 33739Q309
Equity
- Security class
- HIGH INCM STRGC
- Holdings value
- $85.55M
- Net change Q2 2026
- +$11.52M
- Identifier
- CUSIP 33739Q309
FTRI
CUSIP 33734X838
Equity
- Security class
- INDXX NAT RE ETF
- Holdings value
- $77.12M
- Net change Q2 2026
- +$1.09M
- Identifier
- CUSIP 33734X838
HYTI
CUSIP 33738D739
Equity
- Security class
- VEST HIGH YIELD
- Holdings value
- $63.55M
- Net change Q2 2026
- +$4.17M
- Identifier
- CUSIP 33738D739
FTHF
CUSIP 33734X747
Equity
- Security class
- EMER MA HUMA ETF
- Holdings value
- $52.45M
- Net change Q2 2026
- +$6.36M
- Identifier
- CUSIP 33734X747
QABA
CUSIP 33736Q104
Equity
- Security class
- UT COM SHS ETF
- Holdings value
- $48.95M
- Net change Q2 2026
- +$4.1M
- Identifier
- CUSIP 33736Q104
FCTR
CUSIP 33733E872
Equity
- Security class
- LUNT US FACTOR
- Holdings value
- $45.89M
- Net change Q2 2026
- +$3.97M
- Identifier
- CUSIP 33733E872
DOGG
CUSIP 33738D846
Equity
- Security class
- FT VEST DJIA
- Holdings value
- $44.29M
- Net change Q2 2026
- +$9.17M
- Identifier
- CUSIP 33738D846
WCME
CUSIP 33733E740
Equity
- Security class
- WCM DEVELOPING W
- Holdings value
- $36.6M
- Net change Q2 2026
- +$20.16M
- Identifier
- CUSIP 33733E740
BGLD
CUSIP 33733E849
Equity
- Security class
- VEST GOLD STRTGY
- Holdings value
- $35.18M
- Net change Q2 2026
- +$2.05M
- Identifier
- CUSIP 33733E849
RBLD
CUSIP 33736M103
Equity
- Security class
- ALERIAN US NXTGN
- Holdings value
- $26.77M
- Net change Q2 2026
- +$16.7M
- Identifier
- CUSIP 33736M103
CARZ
CUSIP 33734X309
Equity
- Security class
- S NETWRK FUT VEH
- Holdings value
- $19.53M
- Net change Q2 2026
- -$10.14M
- Identifier
- CUSIP 33734X309
FTDS
CUSIP 33733E708
Equity
- Security class
- DIVIDEND STRNGTH
- Holdings value
- $18.7M
- Net change Q2 2026
- +$1.78M
- Identifier
- CUSIP 33733E708
EMDM
CUSIP 33734X754
Equity
- Security class
- BLOOMBERG EMMKT
- Holdings value
- $18.31M
- Net change Q2 2026
- +$904.6K
- Identifier
- CUSIP 33734X754
RCTR
CUSIP 33734X721
Equity
- Security class
- BLOO NUC PWR ETF
- Holdings value
- $15.28M
- Net change Q2 2026
- +$7.04M
- Identifier
- CUSIP 33734X721
LTTI
CUSIP 33738D721
Equity
- Security class
- VEST 20 PLUS YEA
- Holdings value
- $11.96M
- Net change Q2 2026
- +$4.79M
- Identifier
- CUSIP 33738D721
FMTL
CUSIP 33734X713
Equity
- Security class
- INDX CRI MET ETF
- Holdings value
- $11.57M
- Net change Q2 2026
- +$3.94M
- Identifier
- CUSIP 33734X713
FPWR
CUSIP 33738D705
Equity
- Security class
- EIP PWR SOLU ETF
- Holdings value
- $10.43M
- Net change Q2 2026
- -$426.8K
- Identifier
- CUSIP 33738D705
FTAG
CUSIP 33734X812
Equity
- Security class
- INDXX GLOBAL AGR
- Holdings value
- $7.31M
- Net change Q2 2026
- -$323.9K
- Identifier
- CUSIP 33734X812
BFOC
CUSIP 33733E674
Equity
- Security class
- BITC ST F15 OCTO
- Holdings value
- $7.01M
- Net change Q2 2026
- +$69.2K
- Identifier
- CUSIP 33733E674
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