All 902 'F' 13F Securities
Filter securities by prefix to quickly locate symbols and classes across 13F datasets.
EIPI
CUSIP 33740F276
Equity
- Security class
- FT ENERGY INCOME
- Holdings value
- $379.86M
- Net change Q1 2026
- +$21.02M
- Identifier
- CUSIP 33740F276
BUFG
CUSIP 33740U778
Equity
- Security class
- VEST BUFFERED
- Holdings value
- $226.14M
- Net change Q1 2026
- +$15.88M
- Identifier
- CUSIP 33740U778
ILDR
CUSIP 33740F565
Equity
- Security class
- INNOVATION LEAD
- Holdings value
- $173.51M
- Net change Q1 2026
- +$15.33M
- Identifier
- CUSIP 33740F565
BUFT
CUSIP 33740U760
Equity
- Security class
- VEST BUFFERED
- Holdings value
- $124.86M
- Net change Q1 2026
- +$3.66M
- Identifier
- CUSIP 33740U760
BUFS
CUSIP 33740F243
Equity
- Security class
- VEST LADDERED SM
- Holdings value
- $113.8M
- Net change Q1 2026
- +$36.65M
- Identifier
- CUSIP 33740F243
AFMC
CUSIP 33740F813
Equity
- Security class
- ACTV FCTR MDCP
- Holdings value
- $112.62M
- Net change Q1 2026
- +$33.6M
- Identifier
- CUSIP 33740F813
BUFY
CUSIP 33740F169
Equity
- Security class
- FT VEST LADDERED
- Holdings value
- $75.76M
- Net change Q1 2026
- +$18.14M
- Identifier
- CUSIP 33740F169
RSDE
CUSIP 33740U489
Equity
- Security class
- FT VEST US EQUIT
- Holdings value
- $66.76M
- Net change Q1 2026
- +$7.57M
- Identifier
- CUSIP 33740U489
DEED
CUSIP 33740U109
Equity
- Security class
- SECURITIZED PLUS
- Holdings value
- $59.46M
- Net change Q1 2026
- +$1.48M
- Identifier
- CUSIP 33740U109
QCJA
CUSIP 33740U448
Equity
- Security class
- FT VEST NASD 100
- Holdings value
- $54.61M
- Net change Q1 2026
- +$34.5M
- Identifier
- CUSIP 33740U448
CRPT
CUSIP 33740F540
Equity
- Security class
- SKYBRIDGE CRYPTO
- Holdings value
- $49.87M
- Net change Q1 2026
- -$974.1K
- Identifier
- CUSIP 33740F540
XIJN
CUSIP 33740F235
Equity
- Security class
- VEST US EQUITY B
- Holdings value
- $49.35M
- Net change Q1 2026
- +$17.28M
- Identifier
- CUSIP 33740F235
QCOC
CUSIP 33740F151
Equity
- Security class
- FT VEST NASD 100
- Holdings value
- $47.25M
- Net change Q1 2026
- -$6.24M
- Identifier
- CUSIP 33740F151
DLFE
CUSIP 33740U273
Equity
- Security class
- VEST US EQTY DUA
- Holdings value
- $46.9M
- Net change Q1 2026
- +$46.9M
- Identifier
- CUSIP 33740U273
AFGR
CUSIP 33740F789
Equity
- Security class
- MLT MNGD LRG GRW
- Holdings value
- $44.56M
- Net change Q1 2026
- -$4.17M
- Identifier
- CUSIP 33740F789
LALT
CUSIP 33740F490
Equity
- Security class
- MULTI STRATEGY
- Holdings value
- $39.89M
- Net change Q1 2026
- +$8.26M
- Identifier
- CUSIP 33740F490
JUNM
CUSIP 33740U588
Equity
- Security class
- VEST US EQUITY M
- Holdings value
- $39.39M
- Net change Q1 2026
- -$2.19M
- Identifier
- CUSIP 33740U588
FCEF
CUSIP 33740F409
Equity
- Security class
- INCOME OPPRTNTES
- Holdings value
- $38.37M
- Net change Q1 2026
- +$5.19M
- Identifier
- CUSIP 33740F409
DHDG
CUSIP 33740U547
Equity
- Security class
- FT VEST US EQUIT
- Holdings value
- $37.39M
- Net change Q1 2026
- +$26.35M
- Identifier
- CUSIP 33740U547
MMSC
CUSIP 33740U794
Equity
- Security class
- MULTI MGR SML CP
- Holdings value
- $34.63M
- Net change Q1 2026
- +$2.81M
- Identifier
- CUSIP 33740U794
FHDG
CUSIP 33740U539
Equity
- Security class
- FT VEST US EQUIT
- Holdings value
- $29.72M
- Net change Q1 2026
- -$33.57M
- Identifier
- CUSIP 33740U539
SQMX
CUSIP 33740U463
Equity
- Security class
- FT VEST US EQUIT
- Holdings value
- $26.5M
- Net change Q1 2026
- -$5.44M
- Identifier
- CUSIP 33740U463
QMNV
CUSIP 33740U513
Equity
- Security class
- FT VEST NASD 100
- Holdings value
- $26.2M
- Net change Q1 2026
- -$5.51M
- Identifier
- CUSIP 33740U513
XIMR
CUSIP 33740U620
Equity
- Security class
- VEST US EQUITY B
- Holdings value
- $24.94M
- Net change Q1 2026
- -$1.59M
- Identifier
- CUSIP 33740U620
QMFE
CUSIP 33740F128
Equity
- Security class
- FT VEST NASDAQ
- Holdings value
- $23.75M
- Net change Q1 2026
- -$689.5K
- Identifier
- CUSIP 33740F128
QCAP
CUSIP 33740F284
Equity
- Security class
- FT VEST NASDAQ 1
- Holdings value
- $20.79M
- Net change Q1 2026
- -$5.89M
- Identifier
- CUSIP 33740F284
DLAG
CUSIP 33740U315
Equity
- Security class
- FT VEST US EQT
- Holdings value
- $18.56M
- Net change Q1 2026
- +$562.7K
- Identifier
- CUSIP 33740U315
DLNV
CUSIP 33744U402
Equity
- Security class
- FT VEST US EQUTY
- Holdings value
- $16.29M
- Net change Q1 2026
- +$4.14M
- Identifier
- CUSIP 33744U402
UXOC
CUSIP 33740F144
Equity
- Security class
- FT VEST US EQUIT
- Holdings value
- $15.87M
- Net change Q1 2026
- -$24.35M
- Identifier
- CUSIP 33740F144
TSEP
CUSIP 33740F177
Equity
- Security class
- FT VEST EMERGING
- Holdings value
- $12.4M
- Net change Q1 2026
- -$740.3K
- Identifier
- CUSIP 33740F177
AGQI
CUSIP 33740F383
Equity
- Security class
- ACTIVE GLOBAL
- Holdings value
- $11.91M
- Net change Q1 2026
- -$1.31M
- Identifier
- CUSIP 33740F383
BUFX
CUSIP 33744U204
Equity
- Security class
- FT VEST LADDERED
- Holdings value
- $10.23M
- Net change Q1 2026
- +$1.86M
- Identifier
- CUSIP 33744U204
RSJN
CUSIP 33740F227
Equity
- Security class
- VEST U S EQUITY
- Holdings value
- $9.63M
- Net change Q1 2026
- -$8.17M
- Identifier
- CUSIP 33740F227
MFLX
CUSIP 33740F508
Equity
- Security class
- FLEXIBL MUN HIGH
- Holdings value
- $9.47M
- Net change Q1 2026
- +$421.2K
- Identifier
- CUSIP 33740F508
FBDC
CUSIP 33744U303
Equity
- Security class
- CONFLUENCE BDC
- Holdings value
- $8.89M
- Net change Q1 2026
- +$637.7K
- Identifier
- CUSIP 33744U303
RSMR
CUSIP 33740U398
Equity
- Security class
- VEST US EQTY EQL
- Holdings value
- $5.08M
- Net change Q1 2026
- +$1.4M
- Identifier
- CUSIP 33740U398
UXAP
CUSIP 33740U364
Equity
- Security class
- VEST US EQU UNCA
- Holdings value
- $4.96M
- Net change Q1 2026
- -$455.9K
- Identifier
- CUSIP 33740U364
UXJL
CUSIP 33740U323
Equity
- Security class
- FT VEST US EQUT
- Holdings value
- $4.75M
- Net change Q1 2026
- +$1.25M
- Identifier
- CUSIP 33740U323
TMAR
CUSIP 33740U380
Equity
- Security class
- VEST EMERGING MK
- Holdings value
- $3.99M
- Net change Q1 2026
- +$2.73M
- Identifier
- CUSIP 33740U380
TDEC
CUSIP 33740U471
Equity
- Security class
- FT VEST EMERGING
- Holdings value
- $3.86M
- Net change Q1 2026
- +$2.86M
- Identifier
- CUSIP 33740U471
UXJA
CUSIP 33740U430
Equity
- Security class
- FT VEST US EQ UN
- Holdings value
- $3.21M
- Net change Q1 2026
- -$2.15M
- Identifier
- CUSIP 33740U430
DGOC
CUSIP 33740U281
Equity
- Security class
- VEST US EQUITY
- Holdings value
- $2.94M
- Net change Q1 2026
- +$1.21M
- Identifier
- CUSIP 33740U281
DGJA
CUSIP 33744U501
Equity
- Security class
- US EQUITY BUFFER
- Holdings value
- $2.35M
- Net change Q1 2026
- +$2.35M
- Identifier
- CUSIP 33744U501
FPE
CUSIP 33739E108
Equity
- Security class
- PFD SECS INC ETF
- Holdings value
- $4.19B
- Net change Q1 2026
- +$29.5M
- Identifier
- CUSIP 33739E108
FTLS
CUSIP 33739P103
Equity
- Security class
- LNG/SHT EQUITY
- Holdings value
- $1.76B
- Net change Q1 2026
- +$28.02M
- Identifier
- CUSIP 33739P103
FMB
CUSIP 33739N108
Equity
- Security class
- MANAGD MUN ETF
- Holdings value
- $1.52B
- Net change Q1 2026
- +$42.13M
- Identifier
- CUSIP 33739N108
FPEI
CUSIP 33739P855
Equity
- Security class
- INSTL PFD SECS
- Holdings value
- $1.52B
- Net change Q1 2026
- +$78.8M
- Identifier
- CUSIP 33739P855
FMHI
CUSIP 33739P301
Equity
- Security class
- MUNI HI INCM ETF
- Holdings value
- $657.81M
- Net change Q1 2026
- +$12.41M
- Identifier
- CUSIP 33739P301
FUMB
CUSIP 33740J104
Equity
- Security class
- ULTRA SHT DUR MU
- Holdings value
- $158.66M
- Net change Q1 2026
- +$1.89M
- Identifier
- CUSIP 33740J104
RFDI
CUSIP 33739P608
Equity
- Security class
- RIVRFRNT DYN DEV
- Holdings value
- $121.87M
- Net change Q1 2026
- +$3.07M
- Identifier
- CUSIP 33739P608
NTRL
CUSIP 33740J203
Equity
- Security class
- MERGER ARBITRA
- Holdings value
- $26.16M
- Net change Q1 2026
- -$1.91M
- Identifier
- CUSIP 33740J203
HDMV
CUSIP 33739P871
Equity
- Security class
- HORIZON MNGD ETF
- Holdings value
- $13.18M
- Net change Q1 2026
- -$6.48M
- Identifier
- CUSIP 33739P871
No ticker
CUSIP 33739E112
Equity
- Security class
- PFD SECS INC ETF
- Holdings value
- $3.59M
- Net change Q1 2026
- +$3.59M
- Identifier
- CUSIP 33739E112
No ticker
CUSIP 337390000
Equity
- Security class
- PFD SECS INC ETF
- Holdings value
- $1.99M
- Net change Q1 2026
- +$1.99M
- Identifier
- CUSIP 337390000
FDT
CUSIP 33737J174
Equity
- Security class
- DEV MRK EX US
- Holdings value
- $766.42M
- Net change Q1 2026
- +$188.27M
- Identifier
- CUSIP 33737J174
FEM
CUSIP 33737J182
Equity
- Security class
- EMERG MKT ALPH
- Holdings value
- $546.53M
- Net change Q1 2026
- +$144.33M
- Identifier
- CUSIP 33737J182
FEMS
CUSIP 33737J307
Equity
- Security class
- EM SML CP ALPH
- Holdings value
- $151.8M
- Net change Q1 2026
- +$1.85M
- Identifier
- CUSIP 33737J307
FLN
CUSIP 33737J125
Equity
- Security class
- LATIN AMER ALP
- Holdings value
- $20.63M
- Net change Q1 2026
- +$13.24M
- Identifier
- CUSIP 33737J125
FDTS
CUSIP 33737J406
Equity
- Security class
- EX US SML CP
- Holdings value
- $6.72M
- Net change Q1 2026
- +$392.1K
- Identifier
- CUSIP 33737J406
No ticker
CUSIP 30339Y252
Equity
- Security class
- Unit Investment Trust
- Holdings value
- $1.68M
- Net change Q1 2026
- +$1.62M
- Identifier
- CUSIP 30339Y252
No ticker
CUSIP 75943J100
Equity
- Security class
- Com
- Holdings value
- $16.25M
- Net change Q1 2026
- +$6.15M
- Identifier
- CUSIP 75943J100
FFA
CUSIP 337318109
Equity
- Security class
- Common Stock
- Holdings value
- $132.36M
- Net change Q1 2026
- -$324.3K
- Identifier
- CUSIP 337318109
FYT
CUSIP 33737M409
Equity
- Security class
- Exchange Traded Fund
- Holdings value
- $109.03M
- Net change Q1 2026
- -$10.22M
- Identifier
- CUSIP 33737M409
FKU
CUSIP 33737J224
Equity
- Security class
- First Trust United Kingdom AlphaDEX(R) Fund
- Holdings value
- $91.74M
- Net change Q1 2026
- +$23.62M
- Identifier
- CUSIP 33737J224
FXN
CUSIP 33734X127
Equity
- Security class
- First Trust Energy AlphaDEX(R) Fund
- Holdings value
- $1.03B
- Net change Q1 2026
- +$844.27M
- Identifier
- CUSIP 33734X127
FXL
CUSIP 33734X176
Equity
- Security class
- First Trust Technology AlphaDEX(R) Fund
- Holdings value
- $765.4M
- Net change Q1 2026
- -$24.93M
- Identifier
- CUSIP 33734X176
FXO
CUSIP 33734X135
Equity
- Security class
- First Trust Financials AlphaDEX(R) Fund
- Holdings value
- $661.07M
- Net change Q1 2026
- -$993.5M
- Identifier
- CUSIP 33734X135
FXU
CUSIP 33734X184
Equity
- Security class
- First Trust Utilities AlphaDEX(R) Fund
- Holdings value
- $650.42M
- Net change Q1 2026
- -$1.02B
- Identifier
- CUSIP 33734X184
FYC
CUSIP 33737M300
Equity
- Security class
- First Trust Small Cap Growth AlphaDEX(R) Fund
- Holdings value
- $638.12M
- Net change Q1 2026
- +$105.91M
- Identifier
- CUSIP 33737M300
FXR
CUSIP 33734X150
Equity
- Security class
- First Trust Industrials/Producer Durables AlphaDEX(R) Fund
- Holdings value
- $477.63M
- Net change Q1 2026
- -$142.76M
- Identifier
- CUSIP 33734X150
FXD
CUSIP 33734X101
Equity
- Security class
- First Trust Consumer Discretionary AlphaDEX(R) Fund
- Holdings value
- $147.92M
- Net change Q1 2026
- -$29M
- Identifier
- CUSIP 33734X101
FEP
CUSIP 33737J117
Equity
- Security class
- First Trust Europe AlphaDEX(R) Fund
- Holdings value
- $338.79M
- Net change Q1 2026
- +$53.77M
- Identifier
- CUSIP 33737J117
FJP
CUSIP 33737J158
Equity
- Security class
- First Trust Japan AlphaDEX(R) Fund
- Holdings value
- $193.46M
- Net change Q1 2026
- +$3.84M
- Identifier
- CUSIP 33737J158
FEUZ
CUSIP 33737J505
Equity
- Security class
- First Trust Eurozone AlphaDEX(R) ETF
- Holdings value
- $130.55M
- Net change Q1 2026
- +$49.37M
- Identifier
- CUSIP 33737J505
FCA
CUSIP 33737J141
Equity
- Security class
- First Trust China AlphaDEX(R) Fund
- Holdings value
- $91.17M
- Net change Q1 2026
- +$35.31M
- Identifier
- CUSIP 33737J141
FGM
CUSIP 33737J190
Equity
- Security class
- First Trust Germany AlphaDEX(R) Fund
- Holdings value
- $89.06M
- Net change Q1 2026
- +$26.34M
- Identifier
- CUSIP 33737J190
NFTY
CUSIP 33737J802
Equity
- Security class
- First Trust India NIFTY 50 Equal Weight ETF
- Holdings value
- $76.53M
- Net change Q1 2026
- -$4.56M
- Identifier
- CUSIP 33737J802
FSZ
CUSIP 33737J232
Equity
- Security class
- First Trust Switzerland AlphaDEX(R) Fund
- Holdings value
- $25.21M
- Net change Q1 2026
- -$3.24M
- Identifier
- CUSIP 33737J232
FPA
CUSIP 33737J109
Equity
- Security class
- First Trust Asia Pacific ex-Japan AlphaDEX(R) Fund
- Holdings value
- $22.12M
- Net change Q1 2026
- +$2.56M
- Identifier
- CUSIP 33737J109
FDN
CUSIP 33733E302
Equity
- Security class
- First Trust Dow Jones Internet Index Fund
- Holdings value
- $2.46B
- Net change Q1 2026
- -$864.21M
- Identifier
- CUSIP 33733E302
FBT
CUSIP 33733E203
Equity
- Security class
- First Trust NYSE(R) Arca(R) Biotechnology Index Fund
- Holdings value
- $1.65B
- Net change Q1 2026
- +$961.57M
- Identifier
- CUSIP 33733E203
QTEC
CUSIP 337345102
Equity
- Security class
- First Trust NASDAQ-100-Technology Sector Index Fund
- Holdings value
- $1.58B
- Net change Q1 2026
- -$4.58M
- Identifier
- CUSIP 337345102
MISL
CUSIP 33733E831
Equity
- Security class
- First Trust Indxx Aerospace & Defense ETF
- Holdings value
- $1.28B
- Net change Q1 2026
- +$29.67M
- Identifier
- CUSIP 33733E831
EDOW
CUSIP 33733A201
Equity
- Security class
- Exchange Traded Securities
- Holdings value
- $230.8M
- Net change Q1 2026
- +$73.38M
- Identifier
- CUSIP 33733A201
WCMI
CUSIP 33733E732
Equity
- Security class
- Common Shares
- Holdings value
- $947.51M
- Net change Q1 2026
- +$263.34M
- Identifier
- CUSIP 33733E732
IGLD
CUSIP 33733E856
Equity
- Security class
- Exchange Traded Fund
- Holdings value
- $382.47M
- Net change Q1 2026
- +$69.9M
- Identifier
- CUSIP 33733E856
FDM
CUSIP 33718M105
Equity
- Security class
- Common Shares of Beneficial Interests of First Trust Dow Jones Select MicroCap Index Fund
- Holdings value
- $140.46M
- Net change Q1 2026
- +$3.66M
- Identifier
- CUSIP 33718M105
QQXT
CUSIP 33733E401
Equity
- Security class
- Exchange Traded Fund
- Holdings value
- $135.82M
- Net change Q1 2026
- -$22.52M
- Identifier
- CUSIP 33733E401
BFAP
CUSIP 33733E773
Equity
- Security class
- Exchange Traded Product
- Holdings value
- $1.13M
- Net change Q1 2026
- +$11.6K
- Identifier
- CUSIP 33733E773
FPXI
CUSIP 33734X853
Equity
- Security class
- First Trust International Equity Opportunities ETF
- Holdings value
- $103.58M
- Net change Q1 2026
- -$1.01M
- Identifier
- CUSIP 33734X853
FDNI
CUSIP 33734X770
Equity
- Security class
- First Trust Dow Jones International Internet ETF
- Holdings value
- $36.74M
- Net change Q1 2026
- +$4.61M
- Identifier
- CUSIP 33734X770
FSMB
CUSIP 33739P830
Equity
- Security class
- First Trust Short Duration Managed Municipal ETF
- Holdings value
- $462.36M
- Net change Q1 2026
- +$51.38M
- Identifier
- CUSIP 33739P830
FEMB
CUSIP 33739P202
Equity
- Security class
- First Trust Emerging Markets Local Currency Bond ETF
- Holdings value
- $244.09M
- Net change Q1 2026
- +$64.61M
- Identifier
- CUSIP 33739P202
FCAL
CUSIP 33739P863
Equity
- Security class
- First Trust California Municipal High Income ETF
- Holdings value
- $138.4M
- Net change Q1 2026
- +$7.08M
- Identifier
- CUSIP 33739P863
FMNY
CUSIP 33739P822
Equity
- Security class
- First Trust New York Municipal High Income ETF
- Holdings value
- $24.57M
- Net change Q1 2026
- +$6.27M
- Identifier
- CUSIP 33739P822
HUSV
CUSIP 33739P889
Equity
- Security class
- First Trust Horizon Managed Volatility Domestic ETF
- Holdings value
- $59.05M
- Net change Q1 2026
- -$19.63M
- Identifier
- CUSIP 33739P889
RFEM
CUSIP 33739P707
Equity
- Security class
- Shares of Beneficial Interests of First Trust RiverFront Dynamic Emerging Markets ETF
- Holdings value
- $57.68M
- Net change Q1 2026
- +$5.84M
- Identifier
- CUSIP 33739P707
HSMV
CUSIP 33741Y100
Equity
- Security class
- First Trust Horizon Managed Volatility Small/Mid ETF
- Holdings value
- $34.18M
- Net change Q1 2026
- +$203.3K
- Identifier
- CUSIP 33741Y100
KNG
CUSIP 33739Q705
Equity
- Security class
- FT Vest S&P 500(R) Dividend Aristocrats Target Income ETF(R)
- Holdings value
- $1.92B
- Net change Q1 2026
- +$16.87M
- Identifier
- CUSIP 33739Q705
FTCB
CUSIP 33738D788
Equity
- Security class
- First Trust Core Investment Grade ETF
- Holdings value
- $1.74B
- Net change Q1 2026
- +$384.06M
- Identifier
- CUSIP 33738D788
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