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First Trust NASDAQ Technology Dividend Index Fund

Name Holding Trade Value Shares
Change
Change in
Stake
CTC
201
Central Trust Company
Missouri
$562K
PFA
202
Pure Financial Advisors
California
$556K
IG
203
IFS Group
Pennsylvania
$556K +$522K +5,590 New
HAS
204
HBW Advisory Services
California
$550K +$42K +450 +9%
NFG
205
Nations Financial Group
Iowa
$549K +$47.1K +505 +10%
VWA
206
Visionary Wealth Advisors
Illinois
$538K
BPC
207
Bearing Point Capital
Minnesota
$522K
CGH
208
Crossmark Global Holdings
Texas
$522K -$219K -2,343 -31%
MA
209
Mutual Advisors
Nebraska
$520K +$80.8K +866 +20%
PFA
210
Pathway Financial Advisers
Indiana
$518K -$8.77K -94 -2%
SPWG
211
Syntegra Private Wealth Group
Missouri
$514K
M&T Bank
212
M&T Bank
New York
$510K -$86.8K -930 -15%
WCM
213
WealthBridge Capital Management
Ohio
$509K +$373 +4 +0.1%
GM
214
GeoWealth Management
Illinois
$508K +$35K +375 +8%
UAG
215
United Advisor Group
Ohio
$502K -$15.3K -164 -3%
KF
216
Krilogy Financial
Missouri
$496K +$464K +4,976 New
HAC
217
Harbor Advisory Corp
New Hampshire
$493K
CA
218
Claro Advisors
Massachusetts
$492K +$18K +193 +4%
TFP
219
Traction Financial Partners
Wyoming
$491K -$258K -2,767 -36%
AWM
220
Aries Wealth Management
Maine
$490K
LFAS
221
Level Four Advisory Services
Texas
$485K -$8.59K -92 -2%
SWGC
222
Summit Wealth Group (Colorado)
Colorado
$482K -$157K -1,680 -63%
EWM
223
Endowment Wealth Management
Wisconsin
$469K +$85.4K +915 +24%
PS
224
Principal Securities
Iowa
$467K -$5.13K -55 -1%
PNC Financial Services Group
225
PNC Financial Services Group
Pennsylvania
$461K +$467 +5 +0.1%