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First Trust NASDAQ Technology Dividend Index Fund

Name Holding Trade Value Shares
Change
Change in
Stake
PTP
201
Platform Technology Partners
New York
$212K -$129K -2,177 -41%
AEPWM
202
Atlantic Edge Private Wealth Management
Florida
$207K +$191K +3,227 New
CPIG
203
Chicago Partners Investment Group
Illinois
$203K -$87.5K -1,478 -33%
Bank of Montreal
204
Bank of Montreal
Ontario, Canada
$198K +$29.8K +504 +20%
CTC
205
Central Trust Company
Missouri
$192K
IGWM
206
ICA Group Wealth Management
Colorado
$189K +$174K +2,943 New
KFI
207
Key Financial Inc
Pennsylvania
$173K
TAM
208
Tucker Asset Management
Colorado
$172K -$75.7K -1,279 -32%
RA
209
Rise Advisors
New York
$170K -$21.1K -356 -12%
William Blair & Company
210
William Blair & Company
Illinois
$155K
GWM
211
Geneos Wealth Management
Colorado
$152K -$29K -490 -17%
PTC
212
Private Trust Company
Ohio
$130K -$3.26K -55 -3%
HBW
213
Hazlett, Burt & Watson
West Virginia
$130K +$118 +2 +0.1%
GWSG
214
GPS Wealth Strategies Group
Colorado
$120K -$5.74K -97 -5%
Citigroup
215
Citigroup
New York
$112K -$829 -14 -0.8%
CT
216
Colonial Trust
South Carolina
$109K
ADL
217
Asset Dedication LLC
California
$102K
CFD
218
Creative Financial Designs
Indiana
$99.1K -$21.3K -359 -19%
PS
219
Principal Securities
Iowa
$91.6K +$84.7K +1,430 New
LF
220
Lee Financial
Texas
$86.1K
Fifth Third Bancorp
221
Fifth Third Bancorp
Ohio
$80.8K
WT
222
Whittier Trust
California
$74.8K +$355 +6 +0.5%
RFG
223
REAP Financial Group
Texas
$73.9K +$68.3K +1,153 New
BHWM
224
Beaird Harris Wealth Management
Texas
$71.8K
CAM
225
Creekmur Asset Management
Illinois
$68.1K +$62.9K +1,062 New