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First Trust NASDAQ Technology Dividend Index Fund

Name Holding Trade Value Shares
Change
Change in
Stake
CMP
326
Coston McIsaac & Partners
Maine
$87K -$4K -41 -4%
GI
327
GAMMA Investing
California
$86.7K -$20.3K -208 -18%
AF
328
Advisornet Financial
Minnesota
$84.2K -$32.2K -330 -27%
S
329
SignatureFD
Georgia
$83.8K
KFA
330
Kelleher Financial Advisors
New York
$83.1K
GA
331
GoalVest Advisory
New York
$82.4K +$36.7K +376 +75%
ADL
332
Asset Dedication LLC
California
$78.4K
NSIM
333
North Star Investment Management
Illinois
$76.1K
CFB
334
Cullen/Frost Bankers
Texas
$75.4K +$28.2K +289 +56%
Citigroup
335
Citigroup
New York
$75K +$195 +2 +0.3%
EWM
336
Evolution Wealth Management
Florida
$72.4K +$1.37K +14 +2%
BIAS
337
Beacon Investment Advisory Services
New Jersey
$70.2K +$73.2K +750 New
DWM
338
Darwin Wealth Management
Florida
$69.2K +$195 +2 +0.3%
TRCT
339
Tower Research Capital (TRC)
New York
$66.3K +$69.1K +708 New
Russell Investments Group
340
Russell Investments Group
United Kingdom
$59.3K +$8.49K +87 +16%
RIL
341
Rothschild Investment LLC
Illinois
$58.5K
CA
342
Clearstead Advisors
Ohio
$56.2K
KFAS
343
Keating Financial Advisory Services
Kansas
$56.2K
SAM
344
Smartleaf Asset Management
Massachusetts
$55.7K -$7.32K -75 -11%
WT
345
Whittier Trust
California
$55.4K +$195 +2 +0.3%
MPG
346
My Portfolio Guide
California
$53.6K +$55.8K +572 New
EWP
347
Elevation Wealth Partners
California
$52K +$195 +2 +0.4%
TCOT
348
Trust Company of Toledo
Ohio
$50.6K
CIAS
349
Capital Investment Advisory Services
North Carolina
$50.1K +$5.27K +54 +11%
BWM
350
Bernard Wealth Management
Michigan
$49.5K