Current Value of Holding

$450 Thousand

Shares

15.2 Thousand

% of Portfolio

0.00%

Average Buy Price

$28.1

Avg closing price
Price range

20 Ken Griffin First Trust Exchange-Traded Fund III - First Trust Horizon Managed Volatility Developed International ETF Trades

Ken Griffin acquired 15.2 Thousand First Trust Exchange-Traded Fund III - First Trust Horizon Managed Volatility Developed International ETF shares worth $450 Thousand. That's 0.00% of their equity portfolio (3596th largest holding). The investor owns 4.74% of the outstanding First Trust Exchange-Traded Fund III - First Trust Horizon Managed Volatility Developed International ETF stock. The first First Trust Exchange-Traded Fund III - First Trust Horizon Managed Volatility Developed International ETF trade was made in Q3 2018. Since then Ken Griffin bought shares eight more times and sold shares on eleven occasions. The stake costed the investor $429 Thousand, netting the investor a gain of 4.9% so far.

Avg closing price
Price range
Sold 15.9% shares (-2.87 Thousand shares) Q1 2024
Avg closing price $28.84
Price range $28.05 - $29.39
Sold 12.2% shares (-2.51 Thousand shares) Q4 2023
Avg closing price $27.40
Price range $25.96 - $28.83
New holding (+20.6 Thousand shares) Q3 2023
Avg closing price $28.14
Price range $26.94 - $29.16
Sold -20 Thousand shares Q2 2023
Avg closing price $29.07
Price range $28.26 - $29.79
Increased shares by 15.8% (+2.73 Thousand shares) Q1 2023
Avg closing price $28.00
Price range $27.21 - $28.82
Sold 46.7% shares (-15.1 Thousand shares) Q4 2022
Avg closing price $25.88
Price range $23.86 - $27.55
Increased shares by 49.9% (+10.8 Thousand shares) Q3 2022
Avg closing price $27.37
Price range $24.52 - $28.70
Sold 40.6% shares (-14.7 Thousand shares) Q2 2022
Avg closing price $29.49
Price range $27.77 - $31.04
Sold 33.0% shares (-17.9 Thousand shares) Q1 2022
Avg closing price $30.93
Price range $28.80 - $32.07
New holding (+54.2 Thousand shares) Q4 2021
Avg closing price $31.46
Price range $30.45 - $32.28
Sold -46.5 Thousand shares Q3 2021
Avg closing price $32.15
Price range $30.85 - $32.80
Increased shares by 406.2% (+37.3 Thousand shares) Q2 2021
Avg closing price $31.94
Price range $31.22 - $32.77
Sold 9.4% shares (-952 shares) Q1 2021
Avg closing price $30.84
Price range $29.99 - $31.50
Sold 95.4% shares (-208 Thousand shares) Q3 2020
Avg closing price $28.79
Price range $27.98 - $29.46
Increased shares by 644.7% (+189 Thousand shares) Q2 2020
Avg closing price $27.35
Price range $25.03 - $29.04
New holding (+29.3 Thousand shares) Q1 2020
Avg closing price $31.35
Price range $23.45 - $34.49
Sold -76.7 Thousand shares Q4 2019
Avg closing price $33.91
Price range $32.66 - $34.38
New holding (+76.7 Thousand shares) Q3 2019
Avg closing price $33.24
Price range $32.02 - $34.35
Sold -6.34 Thousand shares Q4 2018
Avg closing price $31.71
Price range $29.97 - $33.48
New holding (+6.34 Thousand shares) Q3 2018
Avg closing price $33.40
Price range $32.58 - $33.97

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