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First Trust NASDAQ Technology Dividend Index Fund

Name Holding Trade Value Shares
Change
Change in
Stake
ES
251
Eagle Strategies
New York
$324K -$2.41M -24,720 -88%
TF
252
Trek Financial
Arizona
$323K -$976 -10 -0.3%
SF
253
Sun Financial
Utah
$321K -$8.1K -83 -3%
ATC
254
Argent Trust Co
Tennessee
$318K
OL
255
Owen LaRue
Kentucky
$316K +$586 +6 +0.2%
UCFA
256
United Capital Financial Advisors
Texas
$316K
AFS
257
Access Financial Services
Minnesota
$312K -$59.5K -610 -15%
SB
258
Strategic Blueprint
Georgia
$308K +$42.1K +431 +15%
AWM
259
Avaii Wealth Management
Wisconsin
$304K -$13.2M -134,884 -98%
IAIM
260
International Assets Investment Management
Florida
$303K +$24.6K +252 +8%
AEPWM
261
Atlantic Edge Private Wealth Management
Florida
$302K
CI
262
CX Institutional
Indiana
$300K -$93.5K -958 -23%
FCFC
263
First Commonwealth Financial Corp
Pennsylvania
$297K
QCM
264
Quantinno Capital Management
New York
$297K -$50.2K -514 -14%
AZ
265
Alpha Zero
Florida
$294K
CF
266
Centaurus Financial
California
$291K +$55.3K +567 +22%
TWM
267
Trueblood Wealth Management
Ohio
$290K +$71K +727 +31%
TW
268
ticino wealth
California
$288K
EWA
269
EP Wealth Advisors
California
$287K -$195K -2,000 -40%
PTP
270
Platform Technology Partners
New York
$283K +$15.2K +156 +5%
TAM
271
Tucker Asset Management
Colorado
$281K +$3.61K +37 +1%
RF
272
Rossby Financial
Florida
$279K +$54.4K +557 +23%
PNC Financial Services Group
273
PNC Financial Services Group
Pennsylvania
$278K -$168K -1,718 -37%
DWP
274
Destiny Wealth Partners
Florida
$277K
HBW
275
Hazlett, Burt & Watson
West Virginia
$277K -$4.29K -44 -1%