First Trust Exchange-Traded Fund (FCFY)

Società di gestione · ARCX · Serie S000081453 · Visualizza su SEC EDGAR ↗

I dati sulle partecipazioni non sono ancora disponibili per questo fondo.

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Flussi di fondi (segnalati dalla SEC)

Ultimo mese (Mar 2026)
+$0
Trimestre terminato il Mar 2026
+$0
Ultimi 12 mesi
-$7K

Apr 2025 – Mar 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Composizione completa 101 partecipazioni

NomeCUSIP Valore % Saldo Categoria Paese
Citigroup Inc. 172967424 $10K 0,81 91 EC US
EOG Resources Inc. 26875P101 $10K 0,79 69 EC US
Hologic Inc 436440101 $10K 0,78 131 EC US
Mckesson Corp. 58155Q103 $10K 0,75 11 EC US
Truist Financial Corp. 89832Q109 $9K 0,73 203 EC US
CF Industries Holdings, Inc. 125269100 $9K 0,73 71 EC US
Snap-On Incorporated 833034101 $9K 0,72 25 EC US
Huntington Bancshares Incorporated 446150104 $9K 0,71 576 EC US
Capital One Financial Corp. 14040H105 $9K 0,70 49 EC US
Diamondback Energy Inc 25278X109 $9K 0,70 45 EC US
Interactive Brokers Group Inc 45841N107 $9K 0,70 132 EC US
Huntington Ingalls Industries, Inc. 446413106 $9K 0,69 23 EC US
FedEx Corporation 31428X106 $9K 0,67 24 EC US
NextEra Energy Inc 65339F101 $9K 0,67 92 EC US
The Allstate Corporation 020002101 $9K 0,67 41 EC US
Expeditors International Of Washington Inc. 302130109 $8K 0,67 59 EC US
Paccar Inc 693718108 $8K 0,66 73 EC US
Booking Holdings Inc 09857L108 $8K 0,66 2 EC US
Target Corp. 87612E106 $8K 0,66 69 EC US
Franklin Resources Inc. 354613101 $8K 0,65 350 EC US
Altria Group, Inc. 02209S103 $8K 0,62 120 EC US
The Kraft Heinz Co. 500754106 $8K 0,61 347 EC US
Global Payments Inc 37940X102 $7K 0,59 111 EC US
Generac Holdings Inc. 368736104 $7K 0,58 38 EC US
Molson Coors Beverage Company 60871R209 $7K 0,58 171 EC US
UnitedHealth Group Inc. 91324P102 $7K 0,58 27 EC US
Constellation Brands, Inc. 21036P108 $7K 0,57 48 EC US
Conagra Brands Inc 205887102 $7K 0,55 445 EC US
Delta Air Lines Inc. 247361702 $7K 0,55 105 EC US
Idex Corporation 45167R104 $7K 0,54 36 EC US
Smith(Ao)Corp 831865209 $6K 0,50 97 EC US
Masco Corporation 574599106 $6K 0,45 95 EC US
Builders Firstsource, Inc. 12008R107 $6K 0,44 68 EC US
Corteva Inc 22052L104 $5K 0,42 63 EC US
Leidos Holdings Inc 525327102 $5K 0,39 32 EC US
Newmont Corporation 651639106 $5K 0,38 44 EC US
Pentair PLC $5K 0,37 54 EC IE
Uber Technologies Inc 90353T100 $4K 0,33 58 EC US
Host Hotels & Resorts Inc 44107P104 $4K 0,32 215 EC US
Avery Dennison Corporation 053611109 $4K 0,30 22 EC US
Realty Income Corporation 756109104 $4K 0,28 59 EC US
Alexandria Real Estate Equities, Inc. 015271109 $4K 0,28 76 EC US
WEC Energy Group Inc. 92939U106 $3K 0,27 30 EC US
Healthpeak Properties Inc 42250P103 $3K 0,26 200 EC US
INVITATION HOMES INC 46187W107 $3K 0,24 124 EC US
Vici Properties Inc 925652109 $3K 0,24 111 EC US
Vistra Corp 92840M102 $3K 0,20 17 EC US
BXP Inc 101121101 $3K 0,20 49 EC US
Qnity Electronics Inc. 74743L100 $3K 0,20 22 EC US
Dupont De Nemours Inc 26614N102 $2K 0,16 45 EC US

Proprietari istituzionali (13F) 4 filer

Istituzioni che segnalano di detenere questo ETF nel loro Modulo SEC 13F trimestrale. Solo posizioni lunghe; un singolo presentatore può apparire due volte per diverse gambe di opzioni. Grandi posizioni put/call contrapposte riflettono tipicamente market-making o inventario coperto, non convinzione direzionale.

Istituzione Valore % di 13F tracciati Azioni Tipo Aggiornato al
CITADEL ADVISORS LLC $548.060 60,45% 20.304 Azioni 30 Giugno 2026
Triumph Capital Management $312.656 34,48% 11.583 Azioni 30 Giugno 2026
HARBOUR INVESTMENTS, INC. $35.171 3,88% 1.303 Azioni 30 Giugno 2026
Geneos Wealth Management Inc. $10.796 1,19% 400 Azioni 30 Giugno 2026

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