All 932 'F' 13F Securities
Filter securities by prefix to quickly locate symbols and classes across 13F datasets.
DFII
CUSIP 33733E724
Equity
- Security class
- FT VEST BITCOIN
- Holdings value
- $6.43M
- Net change Q2 2026
- -$1.91M
- Identifier
- CUSIP 33733E724
ACYQ
CUSIP 33733E658
Equity
- Security class
- VEST AUTOCALLABL
- Holdings value
- $6M
- Net change Q2 2026
- +$6M
- Identifier
- CUSIP 33733E658
DTRE
CUSIP 33736N101
Equity
- Security class
- ALERIAN DISRUPT
- Holdings value
- $3.97M
- Net change Q2 2026
- -$1.49M
- Identifier
- CUSIP 33736N101
FPXE
CUSIP 33734X788
Equity
- Security class
- IPOX EUROPE EQ
- Holdings value
- $2.98M
- Net change Q2 2026
- -$165.5K
- Identifier
- CUSIP 33734X788
BFJL
CUSIP 33733E682
Equity
- Security class
- VEST BI ST JULY
- Holdings value
- $2.88M
- Net change Q2 2026
- -$13.8K
- Identifier
- CUSIP 33733E682
FGSI
CUSIP 33738D713
Equity
- Security class
- VEST GROW ST ETF
- Holdings value
- $2.47M
- Net change Q2 2026
- -$320.6K
- Identifier
- CUSIP 33738D713
No ticker
CUSIP CA33741A1
Equity
- Security class
- CAP STRENGTH ETF
- Holdings value
- $1.78M
- Net change Q2 2026
- -$1.78M
- Identifier
- CUSIP CA33741A1
FDND
CUSIP 33738D754
Equity
- Security class
- FT VEST DOW JONE
- Holdings value
- $1.55M
- Net change Q2 2026
- -$521.1K
- Identifier
- CUSIP 33738D754
ARVR
CUSIP 33734X762
Equity
- Security class
- INDXX METAVERSE
- Holdings value
- $1.39M
- Net change Q2 2026
- -$1.9M
- Identifier
- CUSIP 33734X762
No ticker
CUSIP US33733E3
Equity
- Security class
- DJ INTERNT IDX
- Holdings value
- $1.19M
- Net change Q2 2026
- -$1.19M
- Identifier
- CUSIP US33733E3
No ticker
CUSIP 00337E207
Equity
- Security class
- NY ARCA BIOTECH
- Holdings value
- $1.19M
- Net change Q2 2026
- +$1.19M
- Identifier
- CUSIP 00337E207
FTGC
CUSIP 33739H101
Equity
- Security class
- FST TR GLB FD
- Holdings value
- $2.19B
- Net change Q2 2026
- +$358.98M
- Identifier
- CUSIP 33739H101
ESBG
CUSIP 33739H200
Equity
- Security class
- ENHANCED STOCKS
- Holdings value
- $1.23M
- Net change Q2 2026
- -$117.9K
- Identifier
- CUSIP 33739H200
BUFR
CUSIP 33740F755
Equity
- Security class
- FT VEST LADDERED
- Holdings value
- $8.26B
- Net change Q2 2026
- +$489.58M
- Identifier
- CUSIP 33740F755
UCON
CUSIP 33740F888
Equity
- Security class
- SMITH UNCONSTRAI
- Holdings value
- $2.79B
- Net change Q2 2026
- +$73.21M
- Identifier
- CUSIP 33740F888
BUFD
CUSIP 33740U703
Equity
- Security class
- FT VEST LADDERED
- Holdings value
- $1.54B
- Net change Q2 2026
- +$91.61M
- Identifier
- CUSIP 33740U703
BUFQ
CUSIP 33740U752
Equity
- Security class
- FT VEST LADDERED
- Holdings value
- $1.2B
- Net change Q2 2026
- +$160.72M
- Identifier
- CUSIP 33740U752
BUFZ
CUSIP 33740U729
Equity
- Security class
- FT VEST LAD
- Holdings value
- $814.08M
- Net change Q2 2026
- +$85.96M
- Identifier
- CUSIP 33740U729
AFLG
CUSIP 33740F821
Equity
- Security class
- ACTV FCTR LGCP
- Holdings value
- $576.96M
- Net change Q2 2026
- +$58.59M
- Identifier
- CUSIP 33740F821
EIPI
CUSIP 33740F276
Equity
- Security class
- FT ENERGY INCOME
- Holdings value
- $390.31M
- Net change Q2 2026
- +$19.92M
- Identifier
- CUSIP 33740F276
LALT
CUSIP 33740F490
Equity
- Security class
- MULTI STRATEGY
- Holdings value
- $255.25M
- Net change Q2 2026
- +$215.77M
- Identifier
- CUSIP 33740F490
ILDR
CUSIP 33740F565
Equity
- Security class
- INNOVATION LEAD
- Holdings value
- $247.31M
- Net change Q2 2026
- +$20.23M
- Identifier
- CUSIP 33740F565
BUFG
CUSIP 33740U778
Equity
- Security class
- VEST BUFFERED
- Holdings value
- $244.89M
- Net change Q2 2026
- +$7.67M
- Identifier
- CUSIP 33740U778
BUFS
CUSIP 33740F243
Equity
- Security class
- VEST LADDERED SM
- Holdings value
- $145.5M
- Net change Q2 2026
- +$22.66M
- Identifier
- CUSIP 33740F243
AFMC
CUSIP 33740F813
Equity
- Security class
- ACTV FCTR MDCP
- Holdings value
- $140.65M
- Net change Q2 2026
- +$13.98M
- Identifier
- CUSIP 33740F813
BUFY
CUSIP 33740F169
Equity
- Security class
- FT VEST INTL ETF
- Holdings value
- $132.39M
- Net change Q2 2026
- +$51.58M
- Identifier
- CUSIP 33740F169
DHDG
CUSIP 33740U547
Equity
- Security class
- FT VEST US EQUIT
- Holdings value
- $128.74M
- Net change Q2 2026
- +$75.92M
- Identifier
- CUSIP 33740U547
BUFT
CUSIP 33740U760
Equity
- Security class
- VEST BUFFERED
- Holdings value
- $123.69M
- Net change Q2 2026
- -$17.6K
- Identifier
- CUSIP 33740U760
QCAP
CUSIP 33740F284
Equity
- Security class
- FT VEST NASDAQ 1
- Holdings value
- $101.37M
- Net change Q2 2026
- +$79.9M
- Identifier
- CUSIP 33740F284
AFGR
CUSIP 33740F789
Equity
- Security class
- MLT MNGD LRG GRW
- Holdings value
- $62.22M
- Net change Q2 2026
- -$949.6K
- Identifier
- CUSIP 33740F789
DLFE
CUSIP 33740U273
Equity
- Security class
- VEST US BUFR ETF
- Holdings value
- $60.31M
- Net change Q2 2026
- +$9.89M
- Identifier
- CUSIP 33740U273
DLMY
CUSIP 33744U600
Equity
- Security class
- FT VEST US EQUTY
- Holdings value
- $60.26M
- Net change Q2 2026
- +$60.26M
- Identifier
- CUSIP 33744U600
FHDG
CUSIP 33740U539
Equity
- Security class
- FT VEST US EQUIT
- Holdings value
- $59.84M
- Net change Q2 2026
- +$27.92M
- Identifier
- CUSIP 33740U539
RSDE
CUSIP 33740U489
Equity
- Security class
- FT VE US EQ EQUA
- Holdings value
- $59.53M
- Net change Q2 2026
- -$11.94M
- Identifier
- CUSIP 33740U489
DEED
CUSIP 33740U109
Equity
- Security class
- SECURITIZED PLUS
- Holdings value
- $56.53M
- Net change Q2 2026
- -$3.36M
- Identifier
- CUSIP 33740U109
QCJA
CUSIP 33740U448
Equity
- Security class
- FT VEST NASD 100
- Holdings value
- $55.29M
- Net change Q2 2026
- -$3.74M
- Identifier
- CUSIP 33740U448
CRPT
CUSIP 33740F540
Equity
- Security class
- SKYBRIDGE CRYPTO
- Holdings value
- $53.75M
- Net change Q2 2026
- +$5.26M
- Identifier
- CUSIP 33740F540
XIJN
CUSIP 33740F235
Equity
- Security class
- VEST US EQUITY B
- Holdings value
- $46.49M
- Net change Q2 2026
- -$2.73M
- Identifier
- CUSIP 33740F235
FCEF
CUSIP 33740F409
Equity
- Security class
- INCOME OPPRTNTES
- Holdings value
- $45.61M
- Net change Q2 2026
- +$4.7M
- Identifier
- CUSIP 33740F409
SQMX
CUSIP 33740U463
Equity
- Security class
- FT VEST QUAR ETF
- Holdings value
- $45.55M
- Net change Q2 2026
- +$18.56M
- Identifier
- CUSIP 33740U463
QCOC
CUSIP 33740F151
Equity
- Security class
- FT VEST NASD 100
- Holdings value
- $41.89M
- Net change Q2 2026
- -$9.28M
- Identifier
- CUSIP 33740F151
JUNM
CUSIP 33740U588
Equity
- Security class
- VEST US EQUITY M
- Holdings value
- $41.38M
- Net change Q2 2026
- +$1.71M
- Identifier
- CUSIP 33740U588
QMNV
CUSIP 33740U513
Equity
- Security class
- FT VEST NASD 100
- Holdings value
- $34.57M
- Net change Q2 2026
- +$6.5M
- Identifier
- CUSIP 33740U513
MMSC
CUSIP 33740U794
Equity
- Security class
- MULTI MGR SML CP
- Holdings value
- $32.84M
- Net change Q2 2026
- +$305.2K
- Identifier
- CUSIP 33740U794
QMFE
CUSIP 33740F128
Equity
- Security class
- FT VEST NASDAQ
- Holdings value
- $28.5M
- Net change Q2 2026
- +$3.7M
- Identifier
- CUSIP 33740F128
XIMR
CUSIP 33740U620
Equity
- Security class
- VEST US EQUITY B
- Holdings value
- $26.34M
- Net change Q2 2026
- +$944.7K
- Identifier
- CUSIP 33740U620
UXOC
CUSIP 33740F144
Equity
- Security class
- FT VEST US EQUIT
- Holdings value
- $20M
- Net change Q2 2026
- +$1.67M
- Identifier
- CUSIP 33740F144
DLNV
CUSIP 33744U402
Equity
- Security class
- FT VEST US EQUTY
- Holdings value
- $15.89M
- Net change Q2 2026
- -$1.49M
- Identifier
- CUSIP 33744U402
RSJN
CUSIP 33740F227
Equity
- Security class
- VEST U S EQUITY
- Holdings value
- $13.96M
- Net change Q2 2026
- +$3.55M
- Identifier
- CUSIP 33740F227
BUFX
CUSIP 33744U204
Equity
- Security class
- FT VEST ENHA ETF
- Holdings value
- $13.85M
- Net change Q2 2026
- +$3.06M
- Identifier
- CUSIP 33744U204
AGQI
CUSIP 33740F383
Equity
- Security class
- ACTIVE GLOBAL
- Holdings value
- $13.58M
- Net change Q2 2026
- +$344.1K
- Identifier
- CUSIP 33740F383
UXJA
CUSIP 33740U430
Equity
- Security class
- FT VEST US EQ UN
- Holdings value
- $11.88M
- Net change Q2 2026
- +$7.93M
- Identifier
- CUSIP 33740U430
TMAR
CUSIP 33740U380
Equity
- Security class
- VEST EM MKTS BU
- Holdings value
- $10.18M
- Net change Q2 2026
- +$6.57M
- Identifier
- CUSIP 33740U380
TDEC
CUSIP 33740U471
Equity
- Security class
- FT VES MARK DECE
- Holdings value
- $9.34M
- Net change Q2 2026
- +$5.2M
- Identifier
- CUSIP 33740U471
MFLX
CUSIP 33740F508
Equity
- Security class
- FLEXIBL MUN HIGH
- Holdings value
- $9.19M
- Net change Q2 2026
- -$588.1K
- Identifier
- CUSIP 33740F508
FBDC
CUSIP 33744U303
Equity
- Security class
- CONFLUENCE BDC
- Holdings value
- $7.36M
- Net change Q2 2026
- -$1.44M
- Identifier
- CUSIP 33744U303
TSEP
CUSIP 33740F177
Equity
- Security class
- FT VEST EMERGING
- Holdings value
- $7.33M
- Net change Q2 2026
- -$5.83M
- Identifier
- CUSIP 33740F177
RSMR
CUSIP 33740U398
Equity
- Security class
- VEST US EQTY EQL
- Holdings value
- $6.36M
- Net change Q2 2026
- +$957.3K
- Identifier
- CUSIP 33740U398
UXAP
CUSIP 33740U364
Equity
- Security class
- VEST US EQU UNCA
- Holdings value
- $5.89M
- Net change Q2 2026
- +$251.5K
- Identifier
- CUSIP 33740U364
DGAP
CUSIP 33740U265
Equity
- Security class
- U S EQUITY BUF
- Holdings value
- $5.35M
- Net change Q2 2026
- +$5.35M
- Identifier
- CUSIP 33740U265
DGOC
CUSIP 33740U281
Equity
- Security class
- VEST US EQUITY
- Holdings value
- $3.04M
- Net change Q2 2026
- -$48.5K
- Identifier
- CUSIP 33740U281
DGJA
CUSIP 33744U501
Equity
- Security class
- US EQ BU DI RETU
- Holdings value
- $2.45M
- Net change Q2 2026
- -$29.5K
- Identifier
- CUSIP 33744U501
DQJN
CUSIP 33740U240
Equity
- Security class
- VEST NSDQ-100 DL
- Holdings value
- $2.21M
- Net change Q2 2026
- +$2.21M
- Identifier
- CUSIP 33740U240
BUFE
CUSIP 33744U808
Equity
- Security class
- VEST LADDERED
- Holdings value
- $1.59M
- Net change Q2 2026
- +$1.59M
- Identifier
- CUSIP 33744U808
BFXU
CUSIP 33744U709
Equity
- Security class
- FT VE LA U S ETF
- Holdings value
- $1.39M
- Net change Q2 2026
- +$1.39M
- Identifier
- CUSIP 33744U709
FPE
CUSIP 33739E108
Equity
- Security class
- PFD SECS INC ETF
- Holdings value
- $4.28B
- Net change Q2 2026
- +$65.23M
- Identifier
- CUSIP 33739E108
FTLS
CUSIP 33739P103
Equity
- Security class
- LNG/SHT EQUITY
- Holdings value
- $1.95B
- Net change Q2 2026
- +$112.08M
- Identifier
- CUSIP 33739P103
FMB
CUSIP 33739N108
Equity
- Security class
- MANAGD MUN ETF
- Holdings value
- $1.57B
- Net change Q2 2026
- +$48.3M
- Identifier
- CUSIP 33739N108
FPEI
CUSIP 33739P855
Equity
- Security class
- INSTL PFD SECS
- Holdings value
- $1.55B
- Net change Q2 2026
- +$6.91M
- Identifier
- CUSIP 33739P855
FMHI
CUSIP 33739P301
Equity
- Security class
- MUNI HI INCM ETF
- Holdings value
- $727.96M
- Net change Q2 2026
- +$55.3M
- Identifier
- CUSIP 33739P301
FUMB
CUSIP 33740J104
Equity
- Security class
- ULTRA SHT DUR MU
- Holdings value
- $161.26M
- Net change Q2 2026
- -$2.44M
- Identifier
- CUSIP 33740J104
RFDI
CUSIP 33739P608
Equity
- Security class
- RIVRFRNT DYN DEV
- Holdings value
- $132.3M
- Net change Q2 2026
- +$4.47M
- Identifier
- CUSIP 33739P608
NTRL
CUSIP 33740J203
Equity
- Security class
- MERGER ARBITRA
- Holdings value
- $13.48M
- Net change Q2 2026
- -$12.64M
- Identifier
- CUSIP 33740J203
HDMV
CUSIP 33739P871
Equity
- Security class
- HORIZON MNGD ETF
- Holdings value
- $11.13M
- Net change Q2 2026
- -$2.12M
- Identifier
- CUSIP 33739P871
No ticker
CUSIP 33739E112
Equity
- Security class
- PFD SECS INC ETF
- Holdings value
- $3.96M
- Net change Q2 2026
- +$349.8K
- Identifier
- CUSIP 33739E112
No ticker
CUSIP 00337E112
Equity
- Security class
- PFD SECS INC ETF
- Holdings value
- $2.96M
- Net change Q2 2026
- +$2.96M
- Identifier
- CUSIP 00337E112
FDT
CUSIP 33737J174
Equity
- Security class
- DEV MRK EX US
- Holdings value
- $925.55M
- Net change Q2 2026
- +$95.54M
- Identifier
- CUSIP 33737J174
FEM
CUSIP 33737J182
Equity
- Security class
- EMERG MKT ALPH
- Holdings value
- $590.6M
- Net change Q2 2026
- +$9.69M
- Identifier
- CUSIP 33737J182
FEMS
CUSIP 33737J307
Equity
- Security class
- EM SML CP ALPH
- Holdings value
- $151.74M
- Net change Q2 2026
- +$895.4K
- Identifier
- CUSIP 33737J307
FLN
CUSIP 33737J125
Equity
- Security class
- LATIN AMER ALP
- Holdings value
- $19.99M
- Net change Q2 2026
- -$161K
- Identifier
- CUSIP 33737J125
FDTS
CUSIP 33737J406
Equity
- Security class
- EX US SML CP
- Holdings value
- $7.99M
- Net change Q2 2026
- +$1.17M
- Identifier
- CUSIP 33737J406
No ticker
CUSIP 75943J100
Equity
- Security class
- ETF
- Holdings value
- $23.71M
- Net change Q2 2026
- +$7.22M
- Identifier
- CUSIP 75943J100
FFA
CUSIP 337318109
Equity
- Security class
- Common Stock
- Holdings value
- $145.69M
- Net change Q2 2026
- +$528.9K
- Identifier
- CUSIP 337318109
FYT
CUSIP 33737M409
Equity
- Security class
- Exchange Traded Fund
- Holdings value
- $120.45M
- Net change Q2 2026
- -$2.04M
- Identifier
- CUSIP 33737M409
FKU
CUSIP 33737J224
Equity
- Security class
- First Trust United Kingdom AlphaDEX(R) Fund
- Holdings value
- $18.65M
- Net change Q2 2026
- -$74M
- Identifier
- CUSIP 33737J224
FXL
CUSIP 33734X176
Equity
- Security class
- First Trust Technology AlphaDEX(R) Fund
- Holdings value
- $2.08B
- Net change Q2 2026
- +$972.1M
- Identifier
- CUSIP 33734X176
FYC
CUSIP 33737M300
Equity
- Security class
- First Trust Small Cap Growth AlphaDEX(R) Fund
- Holdings value
- $963.95M
- Net change Q2 2026
- +$129.26M
- Identifier
- CUSIP 33737M300
FXO
CUSIP 33734X135
Equity
- Security class
- First Trust Financials AlphaDEX(R) Fund
- Holdings value
- $664.69M
- Net change Q2 2026
- -$68.72M
- Identifier
- CUSIP 33734X135
FXU
CUSIP 33734X184
Equity
- Security class
- First Trust Utilities AlphaDEX(R) Fund
- Holdings value
- $573.88M
- Net change Q2 2026
- -$76.25M
- Identifier
- CUSIP 33734X184
FXR
CUSIP 33734X150
Equity
- Security class
- First Trust Industrials/Producer Durables AlphaDEX(R) Fund
- Holdings value
- $539.64M
- Net change Q2 2026
- +$8.51M
- Identifier
- CUSIP 33734X150
FXN
CUSIP 33734X127
Equity
- Security class
- First Trust Energy AlphaDEX(R) Fund
- Holdings value
- $244.39M
- Net change Q2 2026
- -$751.66M
- Identifier
- CUSIP 33734X127
FXD
CUSIP 33734X101
Equity
- Security class
- First Trust Consumer Discretionary AlphaDEX(R) Fund
- Holdings value
- $156.77M
- Net change Q2 2026
- -$6.24M
- Identifier
- CUSIP 33734X101
FEP
CUSIP 33737J117
Equity
- Security class
- First Trust Europe AlphaDEX(R) Fund
- Holdings value
- $360.6M
- Net change Q2 2026
- +$7.07M
- Identifier
- CUSIP 33737J117
FJP
CUSIP 33737J158
Equity
- Security class
- First Trust Japan AlphaDEX(R) Fund
- Holdings value
- $211.1M
- Net change Q2 2026
- +$7.49M
- Identifier
- CUSIP 33737J158
FEUZ
CUSIP 33737J505
Equity
- Security class
- First Trust Eurozone AlphaDEX(R) ETF
- Holdings value
- $127.27M
- Net change Q2 2026
- -$11.75M
- Identifier
- CUSIP 33737J505
FPA
CUSIP 33737J109
Equity
- Security class
- First Trust Asia Pacific ex-Japan AlphaDEX(R) Fund
- Holdings value
- $108.69M
- Net change Q2 2026
- +$81.23M
- Identifier
- CUSIP 33737J109
FGM
CUSIP 33737J190
Equity
- Security class
- First Trust Germany AlphaDEX(R) Fund
- Holdings value
- $89.7M
- Net change Q2 2026
- -$3.99M
- Identifier
- CUSIP 33737J190
NFTY
CUSIP 33737J802
Equity
- Security class
- First Trust India NIFTY 50 Equal Weight ETF
- Holdings value
- $66.92M
- Net change Q2 2026
- -$12.72M
- Identifier
- CUSIP 33737J802
FSZ
CUSIP 33737J232
Equity
- Security class
- First Trust Switzerland AlphaDEX(R) Fund
- Holdings value
- $22.12M
- Net change Q2 2026
- -$3.91M
- Identifier
- CUSIP 33737J232
FCA
CUSIP 33737J141
Equity
- Security class
- First Trust China AlphaDEX(R) Fund
- Holdings value
- $19.43M
- Net change Q2 2026
- -$70.15M
- Identifier
- CUSIP 33737J141
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