First Trust Global Tactical Commodity Strategy Fund

Historical 13F Holders

Symbol
FTGC
CUSIP
33739H101
All holders as of
Q2 2025
Type
Equity
Class
FST TR GLB FD
Reported Value, Excluding Options
Total Filings
Period Filings Shares, Excl. Options Value, Excl. Options
2025 Q3 8 914 k $22.8 M
2025 Q2 241 76.9 M $1.90 B
2025 Q1 266 78.2 M $1.99 B
2024 Q4 265 71.9 M $1.72 B
2024 Q3 242 69.4 M $1.65 B
2024 Q2 261 84.5 M $2.81 B
2024 Q1 266 88.7 M $2.11 B
2023 Q4 275 89.6 M $2.01 B
2023 Q3 273 82.8 M $1.99 B
2023 Q2 281 84.4 M $1.92 B
2023 Q1 292 91.4 M $2.16 B
2022 Q4 306 102 M $4.77 B
2022 Q3 299 119 M $3.00 B
2022 Q2 314 126 M $3.37 B
2022 Q1 286 111 M $3.13 B
2021 Q4 211 62.5 M $1.46 B
2021 Q3 168 54.1 M $1.31 B
2021 Q2 161 48.6 M $1.15 B
2021 Q1 106 27.6 M $579 M
2020 Q4 63 7.87 M $152 M
2020 Q3 54 6.12 M $104 M
2020 Q2 38 3.22 M $50.2 M
2020 Q1 51 3.80 M $54.4 M
2019 Q4 55 6.21 M $118 M
2019 Q3 55 5.98 M $109 M
2019 Q2 53 5.82 M $108 M
2019 Q1 59 6.15 M $115 M
2018 Q4 65 6.67 M $120 M
2018 Q3 49 7.92 M $158 M
2018 Q2 58 10.5 M $217 M
2018 Q1 55 6.59 M $138 M
2017 Q4 50 5.96 M $123 M
2017 Q3 48 5.34 M $107 M
2017 Q2 48 5.10 M $100 M
2017 Q1 45 5.15 M $104 M
2016 Q4 58 7.87 M $161 M
2016 Q3 56 9.24 M $190 M
2016 Q2 55 13.7 M $296 M
2016 Q1 43 8.71 M $176 M
2015 Q4 43 7.04 M $143 M
2015 Q3 45 6.69 M $149 M
2015 Q2 44 8.00 M $198 M
2015 Q1 42 7.21 M $174 M
2014 Q4 31 4.81 M $126 M
2014 Q3 36 4.59 M $134 M
2014 Q2 34 4.05 M $138 M
2014 Q1 17 1.89 M $64.4 M