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First Trust NASDAQ Technology Dividend Index Fund

Name Holding Trade Value Shares
Change
Change in
Stake
PI
176
PFG Investments
New York
$239K +$222K +4,080 New
RA
177
Rise Advisors
New York
$233K -$109 -2 -0.1%
KIA
178
Kraematon Investment Advisors
Massachusetts
$231K +$327 +6 +0.2%
William Blair & Company
179
William Blair & Company
Illinois
$230K
BBPWM
180
Blue Bell Private Wealth Management
Pennsylvania
$221K
GAA
181
Global Assets Advisory
Florida
$220K -$196K -3,594 -49%
AWM
182
Apollon Wealth Management
South Carolina
$219K +$204K +3,738 New
VWA
183
V Wealth Advisors
Kansas
$212K +$197K +3,608 New
IGWM
184
ICA Group Wealth Management
Colorado
$204K +$4.2K +77 +2%
BEI
185
Benjamin Edwards Inc
Missouri
$191K +$8.66K +159 +5%
BWA
186
BDO Wealth Advisors
Florida
$189K
RIA
187
Realta Investment Advisors
Delaware
$172K +$160K +2,936 New
CFD
188
Creative Financial Designs
Indiana
$166K +$7.9K +145 +5%
KFI
189
Key Financial Inc
Pennsylvania
$158K +$21.4K +392 +17%
Bank of Montreal
190
Bank of Montreal
Ontario, Canada
$152K -$5.45K -100 -4%
Citigroup
191
Citigroup
New York
$143K +$21.7K +398 +19%
SSB
192
Sandy Spring Bank
Maryland
$123K
PTC
193
Private Trust Company
Ohio
$122K +$31.7K +582 +39%
GWSG
194
GPS Wealth Strategies Group
Colorado
$121K -$3K -55 -3%
HBW
195
Hazlett, Burt & Watson
West Virginia
$119K +$109 +2 +0.1%
CF
196
Centaurus Financial
California
$109K -$25.1K -460 -20%
CT
197
Colonial Trust
South Carolina
$98.7K
LFG
198
Larson Financial Group
Missouri
$95.7K +$272 +5 +0.3%
TAM
199
Tucker Asset Management
Colorado
$95.5K -$19.9K -365 -18%
ADL
200
Asset Dedication LLC
California
$94K +$43.6K +800 +100%