First Trust Dow Jones Select MicroCap Index Fund (FDM) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Aerospace & Defense — 1.0% | ||||||
30,582 | Vectrus, Inc. (a) | $ | 1,634,302 | |||
Air Freight & Logistics — 0.5% | ||||||
118,296 | Radiant Logistics, Inc. (a) | 822,157 | ||||
Auto Components — 0.7% | ||||||
50,129 | Motorcar Parts of America, Inc. (a) | 1,127,903 | ||||
Banks — 19.0% | ||||||
71,876 | Amalgamated Financial Corp. | 1,192,423 | ||||
40,817 | Arrow Financial Corp. | 1,359,614 | ||||
16,627 | Bank First Corp. (b) | 1,246,859 | ||||
39,236 | Bar Harbor Bankshares | 1,154,323 | ||||
30,566 | Capital City Bank Group, Inc. | 795,327 | ||||
92,121 | Dime Community Bancshares, Inc. | 2,776,527 | ||||
67,481 | Farmers National Banc Corp. | 1,126,933 | ||||
55,543 | First Bancshares (The), Inc. | 2,033,429 | ||||
59,066 | First of Long Island (The) Corp. | 1,255,153 | ||||
150,478 | HarborOne Bancorp, Inc. | 2,026,939 | ||||
57,488 | Independent Bank Corp. | 1,359,016 | ||||
20,294 | Metropolitan Bank Holding Corp. (a) | 1,022,006 | ||||
21,301 | Northeast Bank | 562,133 | ||||
16,443 | Northrim BanCorp, Inc. | 698,992 | ||||
68,664 | Old Second Bancorp, Inc. | 907,051 | ||||
35,608 | Professional Holding Corp., Class A (a) | 654,119 | ||||
39,084 | QCR Holdings, Inc. | 1,845,547 | ||||
12,910 | Red River Bancshares, Inc. | 723,089 | ||||
39,012 | Reliant Bancorp, Inc. | 1,120,425 | ||||
50,367 | Silvergate Capital Corp., Class A (a) | 7,160,676 | ||||
38,990 | West BanCorp, Inc. | 939,269 | ||||
31,959,850 | ||||||
Biotechnology — 7.4% | ||||||
35,741 | Actinium Pharmaceuticals, Inc. (a) (b) | 272,346 | ||||
120,115 | Aldeyra Therapeutics, Inc. (a) (b) | 1,426,966 | ||||
182,789 | Anavex Life Sciences Corp. (a) (b) | 2,732,696 | ||||
46,413 | Axcella Health, Inc. (a) | 220,926 | ||||
76,112 | BrainStorm Cell Therapeutics, Inc. (a) (b) | 291,509 | ||||
36,195 | Cabaletta Bio, Inc. (a) | 401,765 | ||||
172,615 | Calithera Biosciences, Inc. (a) | 417,728 | ||||
253,563 | Catalyst Pharmaceuticals, Inc. (a) | 1,168,926 | ||||
63,643 | ContraFect Corp. (a) | 305,486 | ||||
38,935 | Enochian Biosciences, Inc. (a) (b) | 137,830 | ||||
45,834 | Equillium, Inc. (a) | 327,713 | ||||
111,926 | Genprex, Inc. (a) (b) | 482,401 | ||||
219,118 | IVERIC bio, Inc. (a) | 1,354,149 | ||||
59,704 | Jounce Therapeutics, Inc. (a) | 613,160 | ||||
96,150 | Kezar Life Sciences, Inc. (a) | 573,054 | ||||
53,657 | NeuBase Therapeutics, Inc. (a) | 396,525 | ||||
106,796 | Ovid therapeutics, Inc. (a) | 429,320 | ||||
556,700 | Palatin Technologies, Inc. (a) (b) | 383,900 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Biotechnology (Continued) | ||||||
91,431 | Solid Biosciences, Inc. (a) | $ | 505,614 | |||
12,442,014 | ||||||
Capital Markets — 3.2% | ||||||
7,565 | Diamond Hill Investment Group, Inc. | 1,180,216 | ||||
77,962 | Donnelley Financial Solutions, Inc. (a) | 2,169,682 | ||||
24,160 | Oppenheimer Holdings, Inc., Class A | 967,608 | ||||
42,631 | Victory Capital Holdings, Inc., Class A (b) | 1,089,648 | ||||
5,407,154 | ||||||
Commercial Services & Supplies — 1.0% | ||||||
96,513 | Kimball International, Inc., Class B | 1,351,182 | ||||
88,771 | Quad/Graphics, Inc. (a) | 313,362 | ||||
1,664,544 | ||||||
Communications Equipment — 0.5% | ||||||
90,606 | Casa Systems, Inc. (a) | 863,475 | ||||
Construction & Engineering — 3.8% | ||||||
151,994 | HC2 Holdings, Inc. (a) | 598,857 | ||||
54,636 | IES Holdings, Inc. (a) | 2,754,201 | ||||
25,793 | Northwest Pipe Co. (a) | 862,002 | ||||
74,518 | Orion Group Holdings, Inc. (a) | 452,324 | ||||
73,921 | Sterling Construction Co., Inc. (a) | 1,714,967 | ||||
6,382,351 | ||||||
Construction Materials — 1.8% | ||||||
41,906 | US Concrete, Inc. (a) | 3,072,548 | ||||
Consumer Finance — 3.0% | ||||||
44,095 | Curo Group Holdings Corp. | 643,346 | ||||
95,460 | Enova International, Inc. (a) | 3,386,921 | ||||
45,909 | Oportun Financial Corp. (a) | 950,775 | ||||
4,981,042 | ||||||
Containers & Packaging — 0.5% | ||||||
17,942 | UFP Technologies, Inc. (a) | 893,870 | ||||
Diversified Consumer Services — 0.3% | ||||||
81,816 | Universal Technical Institute, Inc. (a) | 477,805 | ||||
Diversified Financial Services — 0.9% | ||||||
37,842 | Alerus Financial Corp. | 1,126,935 | ||||
12,381 | A-Mark Precious Metals, Inc. | 445,716 | ||||
1,572,651 | ||||||
First Trust Dow Jones Select MicroCap Index Fund (FDM) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Diversified Telecommunication Services — 0.2% | ||||||
125,239 | Alaska Communications Systems Group, Inc. | $ | 407,027 | |||
Electric Utilities — 0.2% | ||||||
30,397 | Spark Energy, Inc., Class A (b) | 324,640 | ||||
Electrical Equipment — 1.7% | ||||||
20,793 | Allied Motion Technologies, Inc. | 1,067,305 | ||||
69,542 | LSI Industries, Inc. | 593,193 | ||||
67,970 | Orion Energy Systems, Inc. (a) | 473,071 | ||||
23,340 | Powell Industries, Inc. | 790,526 | ||||
2,924,095 | ||||||
Electronic Equipment, Instruments & Components — 2.4% | ||||||
66,139 | Kimball Electronics, Inc. (a) | 1,706,386 | ||||
58,660 | LightPath Technologies, Inc., Class A (a) | 181,846 | ||||
30,889 | Napco Security Technologies, Inc. (a) | 1,075,864 | ||||
33,020 | Vishay Precision Group, Inc. (a) | 1,017,346 | ||||
3,981,442 | ||||||
Energy Equipment & Services — 0.1% | ||||||
65,373 | Exterran Corp. (a) | 219,653 | ||||
Entertainment — 0.6% | ||||||
60,127 | Sciplay Corp., Class A (a) | 972,855 | ||||
Equity Real Estate Investment Trusts — 1.7% | ||||||
42,229 | One Liberty Properties, Inc. | 940,440 | ||||
102,039 | UMH Properties, Inc. | 1,956,087 | ||||
2,896,527 | ||||||
Food & Staples Retailing — 0.7% | ||||||
33,257 | Natural Grocers by Vitamin Cottage, Inc. | 583,660 | ||||
22,137 | Village Super Market, Inc., Class A | 521,769 | ||||
1,105,429 | ||||||
Food Products — 0.5% | ||||||
17,614 | Seneca Foods Corp., Class A (a) | 829,443 | ||||
Health Care Equipment & Supplies — 0.7% | ||||||
21,238 | Bellerophon Therapeutics, Inc. (a) (b) | 110,225 | ||||
17,239 | FONAR Corp. (a) | 311,854 | ||||
90,545 | Invacare Corp. | 726,171 | ||||
1,148,250 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Providers & Services — 1.0% | ||||||
62,292 | Triple-S Management Corp., Class B (a) | $ | 1,621,461 | |||
Health Care Technology — 0.6% | ||||||
33,211 | Computer Programs and Systems, Inc. | 1,016,257 | ||||
Hotels, Restaurants & Leisure — 0.8% | ||||||
21,544 | RCI Hospitality Holdings, Inc. | 1,369,983 | ||||
Household Durables — 3.3% | ||||||
78,103 | Beazer Homes USA, Inc. (a) | 1,633,915 | ||||
57,610 | Ethan Allen Interiors, Inc. | 1,590,612 | ||||
11,923 | Hovnanian Enterprises, Inc., Class A (a) | 1,260,738 | ||||
40,713 | Turtle Beach Corp. (a) | 1,085,816 | ||||
5,571,081 | ||||||
Household Products — 0.9% | ||||||
25,644 | Central Garden & Pet Co. (a) | 1,487,608 | ||||
Insurance — 1.6% | ||||||
16,371 | HCI Group, Inc. | 1,257,620 | ||||
64,953 | Heritage Insurance Holdings, Inc. | 719,679 | ||||
3,781 | Investors Title Co. | 627,646 | ||||
2,604,945 | ||||||
IT Services — 2.4% | ||||||
134,682 | GreenSky, Inc., Class A (a) | 833,682 | ||||
62,881 | Grid Dynamics Holdings, Inc. (a) | 1,001,694 | ||||
70,933 | Hackett Group (The), Inc. | 1,162,592 | ||||
68,103 | International Money Express, Inc. (a) | 1,022,226 | ||||
4,020,194 | ||||||
Leisure Products — 1.4% | ||||||
62,920 | Clarus Corp. | 1,072,786 | ||||
49,847 | MasterCraft Boat Holdings, Inc. (a) | 1,325,432 | ||||
2,398,218 | ||||||
Machinery — 5.8% | ||||||
39,939 | Blue Bird Corp. (a) | 999,673 | ||||
106,252 | Energy Recovery, Inc. (a) | 1,948,662 | ||||
25,579 | Hyster-Yale Materials Handling, Inc. | 2,228,443 | ||||
90,968 | Manitowoc (The) Co., Inc. (a) | 1,875,760 | ||||
30,002 | Miller Industries, Inc. | 1,385,792 | ||||
70,505 | REV Group, Inc. | 1,350,876 | ||||
9,789,206 | ||||||
Marine — 0.7% | ||||||
32,605 | Eagle Bulk Shipping, Inc. (a) (b) | 1,177,693 | ||||
First Trust Dow Jones Select MicroCap Index Fund (FDM) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Media — 2.1% | ||||||
114,323 | MSG Networks, Inc., Class A (a) (b) | $ | 1,719,418 | |||
137,089 | WideOpenWest, Inc. (a) | 1,863,039 | ||||
3,582,457 | ||||||
Mortgage Real Estate Investment Trusts — 1.7% | ||||||
41,778 | Cherry Hill Mortgage Investment Corp. | 390,206 | ||||
115,170 | Ellington Financial, Inc. | 1,843,872 | ||||
60,591 | Great Ajax Corp. | 660,442 | ||||
2,894,520 | ||||||
Oil, Gas & Consumable Fuels — 6.6% | ||||||
176,622 | Berry Corp. | 973,187 | ||||
48,789 | Bonanza Creek Energy, Inc. (a) | 1,743,231 | ||||
302,501 | Clean Energy Fuels Corp. (a) | 4,156,364 | ||||
78,776 | CONSOL Energy, Inc. (a) | 765,703 | ||||
65,957 | Diamond S Shipping, Inc. (a) | 661,549 | ||||
72,019 | Dorian LPG Ltd. (a) | 945,609 | ||||
73,615 | International Seaways, Inc. | 1,426,659 | ||||
188,502 | Overseas Shipholding Group, Inc., Class A (a) | 388,314 | ||||
11,060,616 | ||||||
Paper & Forest Products — 0.8% | ||||||
86,997 | Verso Corp., Class A | 1,269,286 | ||||
Personal Products — 0.2% | ||||||
33,914 | Lifevantage Corp. (a) | 317,096 | ||||
Pharmaceuticals — 3.7% | ||||||
473,437 | Ampio Pharmaceuticals, Inc. (a) (b) | 800,108 | ||||
55,315 | Kaleido Biosciences, Inc. (a) (b) | 448,051 | ||||
9,522 | Lyra Therapeutics, Inc. (a) | 110,360 | ||||
86,139 | Marinus Pharmaceuticals, Inc. (a) | 1,333,432 | ||||
53,367 | Phibro Animal Health Corp., Class A | 1,302,155 | ||||
141,703 | Provention Bio, Inc. (a) | 1,487,173 | ||||
21,082 | Satsuma Pharmaceuticals, Inc. (a) | 124,595 | ||||
24,437 | scPharmaceuticals, Inc. (a) | 162,506 | ||||
30,986 | TFF Pharmaceuticals, Inc. (a) | 420,480 | ||||
6,188,860 | ||||||
Professional Services — 2.4% | ||||||
20,114 | Barrett Business Services, Inc. | 1,385,050 | ||||
20,109 | CRA International, Inc. | 1,500,936 | ||||
29,539 | Willdan Group, Inc. (a) | 1,212,576 | ||||
4,098,562 | ||||||
Real Estate Management & Development — 1.1% | ||||||
22,643 | Altisource Portfolio Solutions S.A. (a) | 208,089 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Real Estate Management & Development (Continued) | ||||||
40,500 | RMR Group (The), Inc., Class A | $ | 1,652,805 | |||
1,860,894 | ||||||
Road & Rail — 0.8% | ||||||
162,508 | Daseke, Inc. (a) | 1,379,693 | ||||
Software — 0.8% | ||||||
90,160 | Smith Micro Software, Inc. (a) | 496,331 | ||||
166,360 | VirnetX Holding Corp. (b) | 926,625 | ||||
1,422,956 | ||||||
Specialty Retail — 2.1% | ||||||
54,170 | Big 5 Sporting Goods Corp. (b) | 850,469 | ||||
43,930 | Haverty Furniture Cos., Inc. | 1,633,756 | ||||
38,329 | TravelCenters of America, Inc. (a) | 1,039,866 | ||||
3,524,091 | ||||||
Technology Hardware, Storage & Peripherals — 0.7% | ||||||
149,054 | Quantum Corp. (a) | 1,241,620 | ||||
Textiles, Apparel & Luxury Goods — 0.4% | ||||||
21,097 | Lakeland Industries, Inc. (a) (b) | 587,762 | ||||
Thrifts & Mortgage Finance — 2.5% | ||||||
4,155 | Hingham Institution for Savings | 1,179,023 | ||||
123,605 | Northfield Bancorp, Inc. | 1,967,792 | ||||
54,774 | Waterstone Financial, Inc. | 1,118,485 | ||||
4,265,300 | ||||||
Trading Companies & Distributors — 2.5% | ||||||
24,891 | BlueLinx Holdings, Inc. (a) | 975,478 | ||||
42,287 | CAI International, Inc. | 1,924,904 | ||||
49,839 | Titan Machinery, Inc. (a) | 1,270,895 | ||||
4,171,277 | ||||||
Water Utilities — 0.5% | ||||||
22,255 | Artesian Resources Corp., Class A | 876,402 | ||||
Total Common Stocks — 99.8% | 167,909,065 | |||||
(Cost $123,260,367) | ||||||
Money Market Funds — 5.7% | ||||||
9,561,883 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.02% (c) (d) | 9,561,883 | ||||
(Cost $9,561,883) | ||||||
First Trust Dow Jones Select MicroCap Index Fund (FDM) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Description | Value | |||||
Total Investments — 105.5% | $ | 177,470,948 | ||||
(Cost $132,822,250) (e) | ||||||
Net Other Assets and Liabilities — (5.5)% | (9,267,919 | ) | ||||
Net Assets — 100.0% | $ | 168,203,029 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $9,520,810 and the total value of the collateral held by the Fund is $9,561,883. |
(c) | Rate shown reflects yield as of March 31, 2021. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $49,420,985 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $4,772,287. The net unrealized appreciation was $44,648,698. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): | |||
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 167,909,065 | $ | — | $ | — | ||||||
Money Market Funds | 9,561,883 | — | — | |||||||||
Total Investments | $ | 177,470,948 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. | ||||||||||||
First Trust Morningstar Dividend Leaders Index Fund (FDL) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 98.8% | ||||||
Air Freight & Logistics — 2.5% | ||||||
234,212 | United Parcel Service, Inc., Class B | $ | 39,813,698 | |||
Banks — 13.5% | ||||||
65,913 | Associated Banc-Corp. | 1,406,583 | ||||
26,381 | Atlantic Union Bankshares Corp. | 1,011,975 | ||||
15,206 | Bank of Hawaii Corp. | 1,360,785 | ||||
40,860 | Bank OZK | 1,669,131 | ||||
23,487 | BankUnited, Inc. | 1,032,254 | ||||
9,051 | BOK Financial Corp. | 808,435 | ||||
28,503 | Cathay General Bancorp | 1,162,352 | ||||
763,735 | Citigroup, Inc. | 55,561,721 | ||||
21,784 | Columbia Banking System, Inc. | 938,673 | ||||
159,085 | F.N.B. Corp. | 2,020,380 | ||||
268,382 | Fifth Third Bancorp | 10,050,906 | ||||
64,119 | Fulton Financial Corp. | 1,091,947 | ||||
116,005 | Investors Bancorp, Inc. | 1,704,113 | ||||
452,876 | KeyCorp | 9,048,463 | ||||
47,800 | M&T Bank Corp. | 7,246,958 | ||||
60,248 | Old National Bancorp | 1,165,196 | ||||
219,643 | People’s United Financial, Inc. | 3,931,610 | ||||
145,392 | PNC Financial Services Group (The), Inc. | 25,503,211 | ||||
367,133 | Regions Financial Corp. | 7,584,968 | ||||
30,369 | Simmons First National Corp., Class A | 901,048 | ||||
54,008 | Synovus Financial Corp. | 2,470,866 | ||||
58,704 | TCF Financial Corp. | 2,727,388 | ||||
547,300 | Truist Financial Corp. | 31,918,536 | ||||
567,914 | U.S. Bancorp | 31,411,323 | ||||
59,799 | United Bankshares, Inc. | 2,307,045 | ||||
171,145 | Valley National Bancorp | 2,351,532 | ||||
31,468 | Webster Financial Corp. | 1,734,201 | ||||
31,192 | WesBanco, Inc. | 1,124,784 | ||||
51,321 | Zions Bancorp N.A. | 2,820,602 | ||||
214,066,986 | ||||||
Biotechnology — 7.7% | ||||||
1,127,311 | AbbVie, Inc. | 121,997,596 | ||||
Capital Markets — 0.5% | ||||||
37,526 | Ares Management Corp., Class A | 2,102,582 | ||||
43,122 | Federated Hermes, Inc. | 1,349,718 | ||||
141,413 | Franklin Resources, Inc. | 4,185,825 | ||||
7,638,125 | ||||||
Chemicals — 1.4% | ||||||
19,856 | Cabot Corp. | 1,041,249 | ||||
69,010 | CF Industries Holdings, Inc. | 3,131,674 | ||||
42,414 | Eastman Chemical Co. | 4,670,630 | ||||
131,511 | LyondellBasell Industries N.V., Class A | 13,683,719 | ||||
22,527,272 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Containers & Packaging — 0.0% | ||||||
10,800 | Greif, Inc., Class A | $ | 615,600 | |||
Diversified Consumer Services — 0.2% | ||||||
122,805 | H&R Block, Inc. | 2,677,149 | ||||
Diversified Telecommunication Services — 18.7% | ||||||
5,179,537 | AT&T, Inc. | 156,784,585 | ||||
2,413,201 | Verizon Communications, Inc. | 140,327,638 | ||||
297,112,223 | ||||||
Electric Utilities — 8.8% | ||||||
25,827 | ALLETE, Inc. | 1,735,316 | ||||
414,961 | Duke Energy Corp. | 40,056,185 | ||||
228,488 | Edison International | 13,389,397 | ||||
472,887 | Exelon Corp. | 20,684,077 | ||||
132,921 | OGE Energy Corp. | 4,301,324 | ||||
63,185 | Pinnacle West Capital Corp. | 5,140,100 | ||||
616,365 | PPL Corp. | 17,775,967 | ||||
599,859 | Southern (The) Co. | 37,287,235 | ||||
140,369,601 | ||||||
Electronic Equipment, Instruments & Components — 0.7% | ||||||
249,598 | Corning, Inc. | 10,860,009 | ||||
Food & Staples Retailing — 1.2% | ||||||
352,807 | Walgreens Boots Alliance, Inc. | 19,369,104 | ||||
Food Products — 0.2% | ||||||
45,998 | Bunge Ltd. | 3,646,261 | ||||
Gas Utilities — 0.4% | ||||||
43,365 | National Fuel Gas Co. | 2,167,816 | ||||
56,048 | South Jersey Industries, Inc. | 1,265,564 | ||||
89,424 | UGI Corp. | 3,667,278 | ||||
7,100,658 | ||||||
Health Care Providers & Services — 0.1% | ||||||
37,647 | Patterson Cos., Inc. | 1,202,822 | ||||
Hotels, Restaurants & Leisure — 0.1% | ||||||
21,812 | Travel + Leisure Co. | 1,334,022 | ||||
Household Durables — 0.6% | ||||||
16,704 | M.D.C. Holdings, Inc. | 992,217 | ||||
182,183 | Newell Brands, Inc. | 4,878,861 | ||||
20,263 | Whirlpool Corp. | 4,464,952 | ||||
10,336,030 | ||||||
Independent Power and Renewable Electricity Producers — 0.3% | ||||||
193,166 | AES (The) Corp. | 5,178,780 | ||||
First Trust Morningstar Dividend Leaders Index Fund (FDL) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance — 5.4% | ||||||
305,632 | American International Group, Inc. | $ | 14,123,255 | |||
44,823 | Cincinnati Financial Corp. | 4,620,803 | ||||
138,477 | Fidelity National Financial, Inc. | 5,630,475 | ||||
65,793 | Lincoln National Corp. | 4,096,930 | ||||
13,564 | Mercury General Corp. | 824,827 | ||||
308,635 | MetLife, Inc. | 18,761,922 | ||||
145,637 | Old Republic International Corp. | 3,180,712 | ||||
123,878 | Principal Financial Group, Inc. | 7,427,725 | ||||
260,319 | Prudential Financial, Inc. | 23,715,061 | ||||
105,050 | Unum Group | 2,923,541 | ||||
85,305,251 | ||||||
IT Services — 5.0% | ||||||
552,541 | International Business Machines Corp. | 73,631,614 | ||||
199,473 | Western Union (The) Co. | 4,919,004 | ||||
78,550,618 | ||||||
Media — 1.1% | ||||||
191,443 | Interpublic Group of (The) Cos., Inc. | 5,590,136 | ||||
96,807 | Omnicom Group, Inc. | 7,178,239 | ||||
1,609 | ViacomCBS, Inc., Class A | 75,897 | ||||
86,775 | ViacomCBS, Inc., Class B | 3,913,552 | ||||
16,757,824 | ||||||
Metals & Mining — 0.1% | ||||||
19,519 | Compass Minerals International, Inc. | 1,224,232 | ||||
Multi-Utilities — 3.8% | ||||||
35,276 | Avista Corp. | 1,684,429 | ||||
199,871 | Consolidated Edison, Inc. | 14,950,351 | ||||
372,415 | Dominion Energy, Inc. | 28,288,643 | ||||
25,885 | NorthWestern Corp. | 1,687,702 | ||||
227,722 | Public Service Enterprise Group, Inc. | 13,711,142 | ||||
60,322,267 | ||||||
Personal Products — 0.1% | ||||||
20,077 | Nu Skin Enterprises, Inc., Class A | 1,061,873 | ||||
Pharmaceuticals — 7.5% | ||||||
3,292,144 | Pfizer, Inc. | 119,274,377 | ||||
Semiconductors & Semiconductor Equipment — 4.7% | ||||||
159,530 | Broadcom, Inc. | 73,967,680 | ||||
Technology Hardware, Storage & Peripherals — 1.8% | ||||||
466,633 | HP, Inc. | 14,815,598 | ||||
85,328 | NetApp, Inc. | 6,200,786 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Technology Hardware, Storage & Peripherals (Continued) | ||||||
106,026 | Seagate Technology PLC | $ | 8,137,495 | |||
29,153,879 | ||||||
Textiles, Apparel & Luxury Goods — 0.2% | ||||||
139,560 | Hanesbrands, Inc. | 2,745,145 | ||||
Tobacco — 12.1% | ||||||
1,758,968 | Altria Group, Inc. | 89,988,803 | ||||
1,142,620 | Philip Morris International, Inc. | 101,396,099 | ||||
191,384,902 | ||||||
Trading Companies & Distributors — 0.1% | ||||||
20,363 | MSC Industrial Direct Co., Inc., Class A | 1,836,539 | ||||
Total Investments — 98.8% | 1,567,430,523 | |||||
(Cost $1,305,205,124) (a) | ||||||
Net Other Assets and Liabilities — 1.2% | 18,548,015 | |||||
Net Assets — 100.0% | $ | 1,585,978,538 |
(a) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $271,434,724 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $9,209,325. The net unrealized appreciation was $262,225,399. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 1,567,430,523 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. | ||||||||||||
First Trust US Equity Opportunities ETF (FPX) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Auto Components — 0.3% | ||||||
120,911 | BorgWarner, Inc. | $ | 5,605,434 | |||
Banks — 1.1% | ||||||
612,606 | KeyCorp | 12,239,868 | ||||
167,614 | Old National Bancorp | 3,241,655 | ||||
112,790 | Synovus Financial Corp. | 5,160,142 | ||||
20,641,665 | ||||||
Beverages — 2.5% | ||||||
1,423,759 | Keurig Dr Pepper, Inc. | 48,934,597 | ||||
Biotechnology — 1.3% | ||||||
85,537 | Exact Sciences Corp. (a) | 11,272,066 | ||||
29,729 | Karuna Therapeutics, Inc. (a) | 3,574,318 | ||||
222,730 | REVOLUTION Medicines, Inc. (a) | 10,218,852 | ||||
25,065,236 | ||||||
Building Products — 1.1% | ||||||
78,277 | AZEK (The) Co., Inc. (a) | 3,291,548 | ||||
439,735 | Carrier Global Corp. | 18,565,612 | ||||
21,857,160 | ||||||
Capital Markets — 2.6% | ||||||
109,375 | Focus Financial Partners, Inc., Class A (a) | 4,552,187 | ||||
637,539 | Tradeweb Markets, Inc., Class A | 47,177,886 | ||||
51,730,073 | ||||||
Chemicals — 5.9% | ||||||
1,034,235 | Corteva, Inc. | 48,216,036 | ||||
1,055,542 | Dow, Inc. | 67,491,355 | ||||
115,707,391 | ||||||
Construction & Engineering — 0.5% | ||||||
73,113 | Arcosa, Inc. | 4,758,925 | ||||
171,711 | WillScot Mobile Mini Holdings Corp. (a) | 4,764,980 | ||||
9,523,905 | ||||||
Diversified Financial Services — 0.5% | ||||||
330,487 | Equitable Holdings, Inc. | 10,780,486 | ||||
Electrical Equipment — 0.2% | ||||||
47,171 | Atkore, Inc. (a) | 3,391,595 | ||||
Electronic Equipment, Instruments & Components — 3.1% | ||||||
971,716 | Corning, Inc. | 42,279,363 | ||||
45,060 | Itron, Inc. (a) | 3,994,569 | ||||
94,087 | Keysight Technologies, Inc. (a) | 13,492,076 | ||||
59,766,008 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Energy Equipment & Services — 0.2% | ||||||
152,110 | ChampionX Corp. (a) | $ | 3,305,350 | |||
Entertainment — 2.0% | ||||||
144,773 | Spotify Technology S.A. (a) | 38,791,925 | ||||
Equity Real Estate Investment Trusts — 0.4% | ||||||
747,989 | Colony Capital, Inc. | 4,846,969 | ||||
53,874 | Safehold, Inc. | 3,776,567 | ||||
8,623,536 | ||||||
Food & Staples Retailing — 0.3% | ||||||
138,889 | BJ’s Wholesale Club Holdings, Inc. (a) | 6,230,561 | ||||
Food Products — 0.6% | ||||||
39,799 | Beyond Meat, Inc. (a) | 5,178,646 | ||||
96,842 | Simply Good Foods (The) Co. (a) | 2,945,934 | ||||
138,961 | Utz Brands, Inc. (b) | 3,444,843 | ||||
11,569,423 | ||||||
Health Care Equipment & Supplies — 1.1% | ||||||
247,476 | Alcon, Inc. (a) | 17,367,866 | ||||
121,469 | Envista Holdings Corp. (a) | 4,955,935 | ||||
22,323,801 | ||||||
Health Care Providers & Services — 2.0% | ||||||
136,048 | 1Life Healthcare, Inc. (a) | 5,316,756 | ||||
68,876 | Accolade, Inc. (a) | 3,124,904 | ||||
137,822 | Covetrus, Inc. (a) | 4,130,525 | ||||
88,903 | Guardant Health, Inc. (a) | 13,571,043 | ||||
62,917 | HealthEquity, Inc. (a) | 4,278,356 | ||||
152,237 | Oak Street Health, Inc. (a) (b) | 8,261,902 | ||||
38,683,486 | ||||||
Health Care Technology — 0.7% | ||||||
68,616 | Inspire Medical Systems, Inc. (a) | 14,202,826 | ||||
Hotels, Restaurants & Leisure — 4.3% | ||||||
184,670 | Airbnb, Inc., Class A (a) | 34,706,880 | ||||
499,988 | DraftKings, Inc., Class A (a) | 30,664,264 | ||||
109,163 | Expedia Group, Inc. (a) | 18,789,135 | ||||
84,160,279 | ||||||
Household Durables — 0.6% | ||||||
302,859 | Sonos, Inc. (a) | 11,348,127 | ||||
Insurance — 1.0% | ||||||
62,000 | Lemonade, Inc. (a) (b) | 5,774,060 | ||||
495,033 | Selectquote, Inc. (a) | 14,608,424 | ||||
20,382,484 | ||||||
First Trust US Equity Opportunities ETF (FPX) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Interactive Media & Services — 11.1% | ||||||
186,777 | Bumble, Inc., Class A (a) | $ | 11,651,149 | |||
476,910 | Pinterest, Inc., Class A (a) | 35,305,647 | ||||
3,051,961 | Snap, Inc., Class A (a) | 159,587,041 | ||||
91,305 | Zillow Group, Inc., Class C (a) | 11,836,780 | ||||
218,380,617 | ||||||
Internet & Direct Marketing Retail — 2.3% | ||||||
260,927 | Chewy, Inc., Class A (a) | 22,103,126 | ||||
79,704 | Etsy, Inc. (a) | 16,073,906 | ||||
181,776 | RealReal (The), Inc. (a) | 4,113,591 | ||||
53,796 | Stitch Fix, Inc., Class A (a) | 2,665,054 | ||||
44,955,677 | ||||||
IT Services — 6.0% | ||||||
204,233 | Fidelity National Information Services, Inc. | 28,717,202 | ||||
338,653 | Fiserv, Inc. (a) | 40,313,253 | ||||
244,490 | Shift4 Payments, Inc., Class A (a) | 20,050,625 | ||||
81,926 | Twilio, Inc., Class A (a) | 27,917,104 | ||||
116,998,184 | ||||||
Leisure Products — 0.7% | ||||||
84,561 | Acushnet Holdings Corp. | 3,494,906 | ||||
132,295 | YETI Holdings, Inc. (a) | 9,553,022 | ||||
13,047,928 | ||||||
Life Sciences Tools & Services — 8.2% | ||||||
123,781 | 10X Genomics, Inc., Class A (a) | 22,404,361 | ||||
1,028,308 | Avantor, Inc. (a) | 29,748,950 | ||||
126,434 | Maravai LifeSciences Holdings, Inc., Class A (a) | 4,506,108 | ||||
90,383 | Medpace Holdings, Inc. (a) | 14,827,331 | ||||
531,803 | PPD, Inc. (a) | 20,123,426 | ||||
149,403 | Thermo Fisher Scientific, Inc. | 68,184,541 | ||||
159,794,717 | ||||||
Machinery — 3.1% | ||||||
130,715 | Cummins, Inc. | 33,869,564 | ||||
294,262 | Gates Industrial Corp. PLC (a) | 4,705,249 | ||||
75,932 | Hillenbrand, Inc. | 3,622,716 | ||||
271,760 | Otis Worldwide Corp. | 18,601,972 | ||||
60,799,501 | ||||||
Media — 2.4% | ||||||
478,763 | Altice USA, Inc., Class A (a) | 15,574,160 | ||||
33,010 | Cardlytics, Inc. (a) | 3,621,197 | ||||
626,867 | ViacomCBS, Inc., Class B | 28,271,702 | ||||
47,467,059 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Metals & Mining — 0.2% | ||||||
139,102 | Arconic Corp. (a) | $ | 3,531,800 | |||
Oil, Gas & Consumable Fuels — 0.2% | ||||||
392,402 | Range Resources Corp. (a) | 4,053,513 | ||||
Pharmaceuticals — 1.2% | ||||||
238,852 | Elanco Animal Health, Inc. (a) | 7,034,191 | ||||
170,025 | Horizon Therapeutics PLC (a) | 15,649,101 | ||||
22,683,292 | ||||||
Professional Services — 0.9% | ||||||
131,611 | Jacobs Engineering Group, Inc. | 17,013,354 | ||||
Real Estate Management & Development — 0.5% | ||||||
156,624 | Redfin Corp. (a) | 10,429,592 | ||||
Road & Rail — 6.6% | ||||||
207,991 | Lyft, Inc., Class A (a) | 13,140,871 | ||||
2,115,137 | Uber Technologies, Inc. (a) | 115,296,118 | ||||
128,436,989 | ||||||
Semiconductors & Semiconductor Equipment — 5.1% | ||||||
2,050,844 | Marvell Technology Group Ltd. | 100,450,339 | ||||
Software — 11.8% | ||||||
83,246 | Bill.com Holdings, Inc. (a) | 12,112,293 | ||||
195,278 | Cloudflare, Inc., Class A (a) | 13,720,232 | ||||
201,471 | Crowdstrike Holdings, Inc., Class A (a) | 36,770,472 | ||||
165,150 | DocuSign, Inc. (a) | 33,434,618 | ||||
314,683 | Dropbox, Inc., Class A (a) | 8,389,449 | ||||
428,858 | Dynatrace, Inc. (a) | 20,688,110 | ||||
325,822 | McAfee Corp., Class A | 7,409,192 | ||||
921,812 | Palantir Technologies, Inc., Class A (a) (b) | 21,469,001 | ||||
61,840 | Smartsheet, Inc., Class A (a) | 3,952,813 | ||||
108,042 | Sprout Social, Inc., Class A (a) | 6,240,506 | ||||
29,959 | Trade Desk (The), Inc., Class A (a) | 19,523,082 | ||||
118,099 | Zoom Video Communications, Inc., Class A (a) | 37,944,028 | ||||
58,452 | Zscaler, Inc. (a) | 10,034,455 | ||||
231,688,251 | ||||||
Specialty Retail — 3.3% | ||||||
138,004 | Academy Sports & Outdoors, Inc. (a) | 3,724,728 | ||||
135,729 | Carvana Co. (a) | 35,615,290 | ||||
264,050 | Floor & Decor Holdings, Inc., Class A (a) | 25,211,494 | ||||
64,551,512 | ||||||
First Trust US Equity Opportunities ETF (FPX) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Technology Hardware, Storage & Peripherals — 2.1% | ||||||
474,120 | Dell Technologies, Inc., Class C (a) | $ | 41,793,678 | |||
Textiles, Apparel & Luxury Goods — 0.6% | ||||||
58,044 | Kontoor Brands, Inc. | 2,816,875 | ||||
404,510 | Levi Strauss & Co., Class A | 9,671,834 | ||||
12,488,709 | ||||||
Thrifts & Mortgage Finance — 1.2% | ||||||
1,003,854 | Rocket Cos., Inc., Class A (b) | 23,178,989 | ||||
Total Common Stocks — 99.8% | 1,954,369,049 | |||||
(Cost $1,486,921,714) |
Principal Value | Description | Value | |||||
Repurchase Agreements — 1.7% | |||||||
$ | 10,909,497 | Bank of America Corp., 0.00% (c), dated 03/31/21, due 04/01/21, with a maturity value of $10,909,497. Collateralized by U.S. Treasury Note, interest rate of 2.000%, due 11/30/2022. The value of the collateral including accrued interest is $11,127,697. (d) | 10,909,497 | ||||
16,818,994 | JPMorgan Chase & Co., 0.01% (c), dated 03/31/21, due 04/01/21, with a maturity value of $16,818,999. Collateralized by U.S. Treasury Securities, interest rates of 0.000% to 2.500%, due 01/15/2022 to 11/15/2050. The value of the collateral including accrued interest is $17,155,374. (d) | 16,818,994 | |||||
5,082,018 | Mizuho Financial Group, Inc., 0.00% (c), dated 03/31/21, due 04/01/21, with a maturity value of $5,082,018. Collateralized by U.S. Treasury Securities, interest rates of 0.500% to 2.875%, due 08/15/2021 to 11/15/2029. The value of the collateral including accrued interest is $5,183,663. (d) | 5,082,018 |
Description | Value | |||||
Total Repurchase Agreements — 1.7% | $ | 32,810,509 | ||||
(Cost $32,810,509) | ||||||
Total Investments — 101.5% | 1,987,179,558 | |||||
(Cost $1,519,732,223) (e) | ||||||
Net Other Assets and Liabilities — (1.5)% | (28,828,315 | ) | ||||
Net Assets — 100.0% | $ | 1,958,351,243 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $32,905,921 and the total value of the collateral held by the Fund is $32,810,509. The collateral requirements are determined at the beginning of each business day based on the market value of the loaned securities from the end of the prior day. On March 31, 2021, there was sufficient collateral based on the end of day market value from the prior business day; however, as a result of market movement from March 30 to March 31, the value of the related securities loaned was above the collateral value received. |
(c) | Rate shown reflects yield as of March 31, 2021. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $479,581,157 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $12,133,822. The net unrealized appreciation was $467,447,335. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 1,954,369,049 | $ | — | $ | — | ||||||
Repurchase Agreements | — | 32,810,509 | — | |||||||||
Total Investments | $ | 1,954,369,049 | $ | 32,810,509 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. | ||||||||||||
First Trust NYSE Arca Biotechnology Index Fund (FBT) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Biotechnology — 76.9% | ||||||
1,302,880 | ACADIA Pharmaceuticals, Inc. (a) | $ | 33,614,304 | |||
1,530,566 | Agios Pharmaceuticals, Inc. (a) | 79,038,428 | ||||
446,131 | Alexion Pharmaceuticals, Inc. (a) | 68,217,891 | ||||
3,124,863 | Alkermes PLC (a) | 58,372,441 | ||||
420,347 | Alnylam Pharmaceuticals, Inc. (a) | 59,348,793 | ||||
284,609 | Amgen, Inc. | 70,813,565 | ||||
253,473 | Biogen, Inc. (a) | 70,909,072 | ||||
842,639 | BioMarin Pharmaceutical, Inc. (a) | 63,627,671 | ||||
1,383,151 | Bluebird Bio, Inc. (a) | 41,702,003 | ||||
478,730 | Exact Sciences Corp. (a) | 63,087,039 | ||||
2,946,317 | Exelixis, Inc. (a) | 66,557,301 | ||||
1,617,164 | FibroGen, Inc. (a) | 56,131,762 | ||||
1,103,896 | Gilead Sciences, Inc. | 71,344,799 | ||||
3,663,431 | Grifols S.A., ADR | 63,340,722 | ||||
772,095 | Incyte Corp. (a) | 62,748,161 | ||||
2,546,403 | Intercept Pharmaceuticals, Inc. (a) | 58,770,981 | ||||
1,140,868 | Ionis Pharmaceuticals, Inc. (a) | 51,293,425 | ||||
649,006 | Neurocrine Biosciences, Inc. (a) | 63,115,834 | ||||
134,765 | Regeneron Pharmaceuticals, Inc. (a) | 63,762,712 | ||||
774,042 | Sarepta Therapeutics, Inc. (a) | 57,689,350 | ||||
376,074 | Seagen, Inc. (a) | 52,221,636 | ||||
506,459 | Ultragenyx Pharmaceutical, Inc. (a) | 57,665,422 | ||||
404,290 | United Therapeutics Corp. (a) | 67,625,588 | ||||
309,909 | Vertex Pharmaceuticals, Inc. (a) | 66,596,345 | ||||
1,467,595,245 | ||||||
Life Sciences Tools & Services — 18.8% | ||||||
200,931 | Bio-Techne Corp. | 76,741,577 | ||||
255,420 | Charles River Laboratories International, Inc. (a) | 74,028,379 | ||||
185,847 | Illumina, Inc. (a) | 71,376,399 | ||||
372,180 | IQVIA Holdings, Inc. (a) | 71,882,845 | ||||
1,314,070 | QIAGEN N.V. (a) | 63,982,068 | ||||
358,011,268 | ||||||
Pharmaceuticals — 4.3% | ||||||
4,116,374 | Nektar Therapeutics (a) | 82,327,480 | ||||
Total Investments — 100.0% | 1,907,933,993 | |||||
(Cost $2,005,970,296) (b) | ||||||
Net Other Assets and Liabilities — 0.0% | 424,851 | |||||
Net Assets — 100.0% | $ | 1,908,358,844 |
(a) | Non-income producing security. |
(b) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $256,508,977 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $354,545,280. The net unrealized depreciation was $98,036,303. |
ADR | - | American Depositary Receipt |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 1,907,933,993 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. | ||||||||||||
First Trust Dow Jones Internet Index Fund (FDN) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Communications Equipment — 9.4% | ||||||
517,865 | Arista Networks, Inc. (a) | $ | 156,338,265 | |||
2,071,027 | Ciena Corp. (a) | 113,326,597 | ||||
9,101,022 | Cisco Systems, Inc. | 470,613,848 | ||||
4,515,015 | CommScope Holding Co., Inc. (a) | 69,350,630 | ||||
4,321,550 | Juniper Networks, Inc. | 109,464,862 | ||||
919,094,202 | ||||||
Diversified Telecommunication Services — 0.7% | ||||||
5,473,386 | Vonage Holdings Corp. (a) | 64,695,422 | ||||
Entertainment — 4.8% | ||||||
910,590 | Netflix, Inc. (a) | 475,018,379 | ||||
Health Care Technology — 4.0% | ||||||
959,273 | Teladoc Health, Inc. (a) | 174,347,868 | ||||
836,991 | Veeva Systems, Inc., Class A (a) | 218,655,529 | ||||
393,003,397 | ||||||
Hotels, Restaurants & Leisure — 1.8% | ||||||
1,039,303 | Expedia Group, Inc. (a) | 178,884,832 | ||||
Interactive Media & Services — 28.8% | ||||||
230,402 | Alphabet, Inc., Class A (a) | 475,208,733 | ||||
220,825 | Alphabet, Inc., Class C (a) | 456,805,220 | ||||
2,671,636 | Facebook, Inc., Class A (a) | 786,876,951 | ||||
1,532,891 | Match Group, Inc. (a) | 210,588,566 | ||||
3,150,198 | Pinterest, Inc., Class A (a) | 233,209,158 | ||||
4,623,164 | Snap, Inc., Class A (a) | 241,745,245 | ||||
3,952,978 | Twitter, Inc. (a) | 251,527,990 | ||||
249,459 | Zillow Group, Inc., Class A (a) | 32,773,923 | ||||
1,049,406 | Zillow Group, Inc., Class C (a) | 136,044,994 | ||||
2,824,780,780 | ||||||
Internet & Direct Marketing Retail — 15.9% | ||||||
314,224 | Amazon.com, Inc. (a) | 972,234,194 | ||||
3,875,889 | eBay, Inc. | 237,359,442 | ||||
893,597 | Etsy, Inc. (a) | 180,211,707 | ||||
555,802 | Wayfair, Inc., Class A (a) | 174,938,680 | ||||
1,564,744,023 | ||||||
IT Services — 14.1% | ||||||
1,498,822 | Akamai Technologies, Inc. (a) | 152,729,962 | ||||
1,329,933 | Fastly, Inc., Class A (a) (b) | 89,477,892 | ||||
1,753,380 | GoDaddy, Inc., Class A (a) | 136,097,356 | ||||
843,540 | Okta, Inc. (a) | 185,941,522 | ||||
2,120,223 | PayPal Holdings, Inc. (a) | 514,874,953 | ||||
590,608 | Snowflake, Inc., Class A (a) | 135,414,602 | ||||
830,619 | VeriSign, Inc. (a) | 165,093,833 | ||||
1,379,630,120 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software — 20.5% | ||||||
3,285,013 | Box, Inc., Class A (a) | $ | 75,423,898 | |||
1,112,153 | Citrix Systems, Inc. | 156,101,795 | ||||
4,806,566 | Cloudera, Inc. (a) | 58,495,908 | ||||
587,491 | Coupa Software, Inc. (a) | 149,504,710 | ||||
1,839,411 | Datadog, Inc., Class A (a) | 153,296,513 | ||||
1,060,811 | DocuSign, Inc. (a) | 214,761,187 | ||||
4,129,329 | Dropbox, Inc., Class A (a) | 110,087,911 | ||||
1,714,681 | fuboTV, Inc. (a) (b) | 37,928,744 | ||||
2,026,389 | salesforce.com, Inc. (a) | 429,331,037 | ||||
1,592,830 | Smartsheet, Inc., Class A (a) | 101,813,694 | ||||
983,860 | Workday, Inc., Class A (a) | 244,420,340 | ||||
869,075 | Zoom Video Communications, Inc., Class A (a) | 279,225,107 | ||||
2,010,390,844 | ||||||
Total Common Stocks — 100.0% | 9,810,241,999 | |||||
(Cost $7,200,553,116) | ||||||
Money Market Funds — 1.1% | ||||||
97,249,927 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.02% (c) (d) | 97,249,927 | ||||
5,236,821 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class 0.01% (c) | 5,236,821 | ||||
Total Money Market Funds — 1.1% | 102,486,748 | |||||
(Cost $102,486,748) | ||||||
Total Investments — 101.1% | 9,912,728,747 | |||||
(Cost $7,303,039,864) (e) | ||||||
Net Other Assets and Liabilities — (1.1)% | (103,442,854 | ) | ||||
Net Assets — 100.0% | $ | 9,809,285,893 |
(a) | Non-income producing security. |
First Trust Dow Jones Internet Index Fund (FDN) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $98,029,048 and the total value of the collateral held by the Fund is $97,249,927. The collateral requirements are determined at the beginning of each business day based on the market value of the loaned securities from the end of the prior day. On March 31, 2021, there was sufficient collateral based on the end of day market value from the prior business day; however, as a result of market movement from March 30 to March 31, the value of the related securities loaned was above the collateral value received. |
(c) | Rate shown reflects yield as of March 31, 2021. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $2,770,927,208 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $161,238,325. The net unrealized appreciation was $2,609,688,883. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 9,810,241,999 | $ | — | $ | — | ||||||
Money Market Funds | 102,486,748 | — | — | |||||||||
Total Investments | $ | 9,912,728,747 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Capital Strength ETF (FTCS) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Aerospace & Defense — 4.3% | ||||||
917,778 | General Dynamics Corp. | $ | 166,631,774 | |||
404,805 | Lockheed Martin Corp. | 149,575,447 | ||||
316,207,221 | ||||||
Air Freight & Logistics — 4.2% | ||||||
1,508,489 | Expeditors International of Washington, Inc. | 162,449,181 | ||||
884,683 | United Parcel Service, Inc., Class B | 150,387,263 | ||||
312,836,444 | ||||||
Beverages — 5.8% | ||||||
2,886,573 | Coca-Cola (The) Co. | 152,151,263 | ||||
1,533,834 | Monster Beverage Corp. (a) | 139,716,939 | ||||
994,243 | PepsiCo, Inc. | 140,635,672 | ||||
432,503,874 | ||||||
Biotechnology — 1.9% | ||||||
572,637 | Amgen, Inc. | 142,477,812 | ||||
Capital Markets — 2.0% | ||||||
1,003,829 | Nasdaq, Inc. | 148,024,624 | ||||
Chemicals — 1.9% | ||||||
949,582 | PPG Industries, Inc. | 142,684,191 | ||||
Communications Equipment — 2.2% | ||||||
3,094,344 | Cisco Systems, Inc. | 160,008,528 | ||||
Electrical Equipment — 2.0% | ||||||
1,181,312 | AMETEK, Inc. | 150,888,982 | ||||
Electronic Equipment, Instruments & Components — 3.8% | ||||||
2,134,143 | Amphenol Corp., Class A | 140,789,414 | ||||
960,940 | Keysight Technologies, Inc. (a) | 137,798,796 | ||||
278,588,210 | ||||||
Entertainment — 3.8% | ||||||
1,550,072 | Activision Blizzard, Inc. | 144,156,696 | ||||
1,011,336 | Electronic Arts, Inc. | 136,904,554 | ||||
281,061,250 | ||||||
Food & Staples Retailing — 3.6% | ||||||
388,162 | Costco Wholesale Corp. | 136,819,342 | ||||
971,906 | Walmart, Inc. | 132,013,992 | ||||
268,833,334 | ||||||
Food Products — 2.0% | ||||||
946,897 | Hershey (The) Co. | 149,761,230 | ||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Providers & Services — 2.0% | ||||||
1,130,122 | Quest Diagnostics, Inc. | $ | 145,039,857 | |||
Household Durables — 2.1% | ||||||
1,161,688 | Garmin Ltd. | 153,168,563 | ||||
Household Products — 5.8% | ||||||
1,716,856 | Colgate-Palmolive Co. | 135,339,758 | ||||
1,070,730 | Kimberly-Clark Corp. | 148,885,007 | ||||
1,043,007 | Procter & Gamble (The) Co. | 141,254,438 | ||||
425,479,203 | ||||||
Industrial Conglomerates — 2.2% | ||||||
849,146 | 3M Co. | 163,613,451 | ||||
Insurance — 8.1% | ||||||
1,296,827 | Allstate (The) Corp. | 149,005,422 | ||||
676,073 | Aon PLC, Class A | 155,571,158 | ||||
1,256,939 | Marsh & McLennan Cos., Inc. | 153,095,170 | ||||
1,482,870 | Progressive (The) Corp. | 141,777,201 | ||||
599,448,951 | ||||||
Interactive Media & Services — 2.3% | ||||||
81,370 | Alphabet, Inc., Class A (a) | 167,827,252 | ||||
Internet & Direct Marketing Retail — 1.9% | ||||||
45,287 | Amazon.com, Inc. (a) | 140,121,601 | ||||
IT Services — 6.3% | ||||||
554,213 | Accenture PLC, Class A | 153,101,341 | ||||
872,492 | Automatic Data Processing, Inc. | 164,438,567 | ||||
697,334 | Visa, Inc., Class A | 147,646,528 | ||||
465,186,436 | ||||||
Life Sciences Tools & Services — 1.7% | ||||||
279,400 | Thermo Fisher Scientific, Inc. | 127,512,572 | ||||
Machinery — 4.1% | ||||||
592,546 | Cummins, Inc. | 153,534,594 | ||||
691,847 | Illinois Tool Works, Inc. | 153,257,948 | ||||
306,792,542 | ||||||
Multiline Retail — 3.8% | ||||||
664,852 | Dollar General Corp. | 134,712,312 | ||||
721,643 | Target Corp. | 142,935,829 | ||||
277,648,141 | ||||||
Pharmaceuticals — 5.6% | ||||||
876,955 | Johnson & Johnson | 144,127,555 | ||||
1,685,969 | Merck & Co., Inc. | 129,971,350 | ||||
870,117 | Zoetis, Inc. | 137,026,025 | ||||
411,124,930 | ||||||
First Trust Capital Strength ETF (FTCS) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Road & Rail — 3.9% | ||||||
1,504,773 | CSX Corp. | $ | 145,090,213 | |||
649,012 | Union Pacific Corp. | 143,048,735 | ||||
288,138,948 | ||||||
Semiconductors & Semiconductor Equipment — 2.1% | ||||||
830,875 | Texas Instruments, Inc. | 157,027,066 | ||||
Software — 2.1% | ||||||
661,067 | Microsoft Corp. | 155,859,767 | ||||
Specialty Retail — 4.2% | ||||||
301,220 | O’Reilly Automotive, Inc. (a) | 152,793,845 | ||||
892,661 | Tractor Supply Co. | 158,072,410 | ||||
310,866,255 | ||||||
Technology Hardware, Storage & Peripherals — 2.4% | ||||||
2,323,190 | Seagate Technology PLC | 178,304,833 | ||||
Textiles, Apparel & Luxury Goods — 1.8% | ||||||
998,980 | NIKE, Inc., Class B | 132,754,452 | ||||
Total Investments — 99.9% | 7,389,790,520 | |||||
(Cost $6,480,155,539) (b) | ||||||
Net Other Assets and Liabilities — 0.1% | 7,482,191 | |||||
Net Assets — 100.0% | $ | 7,397,272,711 |
(a) | Non-income producing security. |
(b) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $946,632,146 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $36,997,165. The net unrealized appreciation was $909,634,981. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 7,389,790,520 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. | ||||||||||||
First Trust Value Line® Dividend Index Fund (FVD) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Aerospace & Defense — 2.7% | ||||||
327,405 | General Dynamics Corp. | $ | 59,443,652 | |||
291,893 | L3Harris Technologies, Inc. | 59,160,873 | ||||
161,629 | Lockheed Martin Corp. | 59,721,916 | ||||
183,982 | Northrop Grumman Corp. | 59,543,934 | ||||
751,522 | Raytheon Technologies Corp. | 58,070,105 | ||||
295,940,480 | ||||||
Air Freight & Logistics — 1.1% | ||||||
604,740 | C.H. Robinson Worldwide, Inc. | 57,710,338 | ||||
358,911 | United Parcel Service, Inc., Class B | 61,011,281 | ||||
118,721,619 | ||||||
Automobiles — 0.5% | ||||||
374,202 | Toyota Motor Corp., ADR | 58,397,964 | ||||
Banks — 5.2% | ||||||
628,612 | Bank of Hawaii Corp. | 56,254,488 | ||||
654,141 | Bank of Montreal | 58,297,046 | ||||
921,956 | Bank of Nova Scotia (The) | 57,668,348 | ||||
574,788 | Canadian Imperial Bank of Commerce | 56,254,502 | ||||
382,909 | JPMorgan Chase & Co. | 58,290,237 | ||||
386,871 | M&T Bank Corp. | 58,653,512 | ||||
337,620 | PNC Financial Services Group (The), Inc. | 59,221,924 | ||||
624,130 | Royal Bank of Canada | 57,551,027 | ||||
881,468 | Toronto-Dominion (The) Bank | 57,480,528 | ||||
1,065,764 | U.S. Bancorp | 58,947,407 | ||||
578,619,019 | ||||||
Beverages — 1.6% | ||||||
1,133,459 | Coca-Cola (The) Co. | 59,744,624 | ||||
346,929 | Diageo PLC, ADR | 56,969,211 | ||||
419,497 | PepsiCo, Inc. | 59,337,851 | ||||
176,051,686 | ||||||
Biotechnology — 1.0% | ||||||
231,521 | Amgen, Inc. | 57,604,740 | ||||
882,137 | Gilead Sciences, Inc. | 57,012,514 | ||||
114,617,254 | ||||||
Building Products — 0.5% | ||||||
856,654 | A.O. Smith Corp. | 57,918,377 | ||||
Capital Markets — 4.7% | ||||||
1,278,626 | Bank of New York Mellon (The) Corp. | 60,466,224 | ||||
79,093 | BlackRock, Inc. | 59,632,958 | ||||
572,398 | Cboe Global Markets, Inc. | 56,489,959 | ||||
289,978 | CME Group, Inc. | 59,222,207 | ||||
1,928,174 | Franklin Resources, Inc. | 57,073,951 | ||||
170,351 | Goldman Sachs Group (The), Inc. | 55,704,777 | ||||
876,389 | Houlihan Lokey, Inc. | 58,288,632 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Capital Markets (Continued) | ||||||
705,652 | Morgan Stanley | $ | 54,800,934 | |||
335,574 | T. Rowe Price Group, Inc. | 57,584,498 | ||||
519,264,140 | ||||||
Chemicals — 3.7% | ||||||
207,335 | Air Products and Chemicals, Inc. | 58,331,629 | ||||
910,197 | Dow, Inc. | 58,197,996 | ||||
745,322 | DuPont de Nemours, Inc. | 57,598,484 | ||||
421,025 | International Flavors & Fragrances, Inc. | 58,779,300 | ||||
148,656 | NewMarket Corp. | 56,513,065 | ||||
390,746 | PPG Industries, Inc. | 58,713,494 | ||||
740,922 | Sensient Technologies Corp. | 57,791,916 | ||||
405,925,884 | ||||||
Commercial Services & Supplies — 1.1% | ||||||
598,037 | Republic Services, Inc. | 59,414,976 | ||||
468,558 | Waste Management, Inc. | 60,453,353 | ||||
119,868,329 | ||||||
Communications Equipment — 1.6% | ||||||
1,149,242 | Cisco Systems, Inc. | 59,427,304 | ||||
2,285,744 | Juniper Networks, Inc. | 57,897,896 | ||||
311,267 | Motorola Solutions, Inc. | 58,533,759 | ||||
175,858,959 | ||||||
Containers & Packaging — 1.1% | ||||||
443,132 | Packaging Corp. of America | 59,592,391 | ||||
916,259 | Sonoco Products Co. | 57,999,195 | ||||
117,591,586 | ||||||
Diversified Telecommunication Services — 2.1% | ||||||
1,927,530 | AT&T, Inc. | 58,346,333 | ||||
1,255,845 | BCE, Inc. | 56,688,843 | ||||
2,746,156 | TELUS Corp. | 54,730,889 | ||||
1,021,499 | Verizon Communications, Inc. | 59,400,167 | ||||
229,166,232 | ||||||
Electric Utilities — 10.2% | ||||||
855,123 | ALLETE, Inc. | 57,455,714 | ||||
1,122,236 | Alliant Energy Corp. | 60,780,302 | ||||
691,214 | American Electric Power Co., Inc. | 58,545,826 | ||||
1,208,585 | Avangrid, Inc. | 60,199,619 | ||||
620,770 | Duke Energy Corp. | 59,922,928 | ||||
591,793 | Entergy Corp. | 58,865,650 | ||||
985,956 | Evergy, Inc. | 58,693,961 | ||||
702,813 | Eversource Energy | 60,856,578 | ||||
1,346,537 | Fortis, Inc. | 58,399,310 | ||||
1,375,032 | Hawaiian Electric Industries, Inc. | 61,092,672 | ||||
591,006 | IDACORP, Inc. | 59,082,870 | ||||
822,053 | MGE Energy, Inc. | 58,686,364 |
First Trust Value Line® Dividend Index Fund (FVD) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Electric Utilities (Continued) | ||||||
806,342 | NextEra Energy, Inc. | $ | 60,967,518 | |||
1,801,957 | OGE Energy Corp. | 58,311,328 | ||||
1,275,515 | Otter Tail Corp. | 58,890,527 | ||||
725,026 | Pinnacle West Capital Corp. | 58,980,865 | ||||
1,988,538 | PPL Corp. | 57,349,436 | ||||
968,449 | Southern (The) Co. | 60,198,790 | ||||
906,765 | Xcel Energy, Inc. | 60,308,940 | ||||
1,127,589,198 | ||||||
Electrical Equipment — 2.1% | ||||||
1,831,649 | ABB Ltd., ADR | 55,810,345 | ||||
646,973 | Emerson Electric Co. | 58,369,904 | ||||
313,542 | Hubbell, Inc. | 58,597,864 | ||||
220,750 | Rockwell Automation, Inc. | 58,595,880 | ||||
231,373,993 | ||||||
Electronic Equipment, Instruments & Components — 1.6% | ||||||
1,431,208 | Avnet, Inc. | 59,409,444 | ||||
1,410,953 | Corning, Inc. | 61,390,565 | ||||
449,822 | TE Connectivity Ltd. | 58,076,519 | ||||
178,876,528 | ||||||
Equity Real Estate Investment Trusts — 3.8% | ||||||
255,974 | American Tower Corp. | 61,193,144 | ||||
534,312 | Camden Property Trust | 58,726,232 | ||||
344,314 | Crown Castle International Corp. | 59,266,769 | ||||
574,271 | Federal Realty Investment Trust | 58,259,793 | ||||
404,918 | Mid-America Apartment Communities, Inc. | 58,453,963 | ||||
557,716 | Prologis, Inc. | 59,117,896 | ||||
244,221 | Public Storage | 60,263,974 | ||||
415,281,771 | ||||||
Food & Staples Retailing — 0.5% | ||||||
436,710 | Walmart, Inc. | 59,318,319 | ||||
Food Products — 5.7% | ||||||
1,024,388 | Archer-Daniels-Midland Co. | 58,390,116 | ||||
1,133,017 | Campbell Soup Co. | 56,956,765 | ||||
940,708 | General Mills, Inc. | 57,684,214 | ||||
369,648 | Hershey (The) Co. | 58,463,528 | ||||
1,190,661 | Hormel Foods Corp. | 56,889,783 | ||||
640,803 | Ingredion, Inc. | 57,621,006 | ||||
454,278 | J.M. Smucker (The) Co. | 57,479,795 | ||||
926,541 | Kellogg Co. | 58,650,045 | ||||
314,324 | Lancaster Colony Corp. | 55,119,857 | ||||
658,021 | McCormick & Co., Inc. | 58,669,152 | ||||
982,519 | Mondelez International, Inc., Class A | 57,506,837 | ||||
633,431,098 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Gas Utilities — 3.2% | ||||||
617,991 | Atmos Energy Corp. | $ | 61,088,411 | |||
502,840 | Chesapeake Utilities Corp. | 58,369,667 | ||||
1,426,970 | New Jersey Resources Corp. | 56,893,294 | ||||
790,675 | ONE Gas, Inc. | 60,810,814 | ||||
798,989 | Spire, Inc. | 59,037,297 | ||||
1,417,180 | UGI Corp. | 58,118,552 | ||||
354,318,035 | ||||||
Health Care Equipment & Supplies — 1.0% | ||||||
475,901 | Abbott Laboratories | 57,031,976 | ||||
494,756 | Medtronic PLC | 58,445,526 | ||||
115,477,502 | ||||||
Health Care Providers & Services — 2.1% | ||||||
496,835 | AmerisourceBergen Corp. | 58,661,308 | ||||
786,808 | CVS Health Corp. | 59,191,566 | ||||
1,577,260 | Fresenius Medical Care AG & Co. KGaA, ADR | 58,169,349 | ||||
459,115 | Quest Diagnostics, Inc. | 58,922,819 | ||||
234,945,042 | ||||||
Hotels, Restaurants & Leisure — 1.1% | ||||||
256,839 | McDonald’s Corp. | 57,567,893 | ||||
537,385 | Starbucks Corp. | 58,720,059 | ||||
116,287,952 | ||||||
Household Durables — 0.5% | ||||||
453,105 | Garmin Ltd. | 59,741,894 | ||||
Household Products — 2.2% | ||||||
305,139 | Clorox (The) Co. | 58,855,210 | ||||
762,926 | Colgate-Palmolive Co. | 60,141,456 | ||||
434,535 | Kimberly-Clark Corp. | 60,422,092 | ||||
444,053 | Procter & Gamble (The) Co. | 60,138,098 | ||||
239,556,856 | ||||||
Industrial Conglomerates — 1.1% | ||||||
305,092 | 3M Co. | 58,785,126 | ||||
272,513 | Honeywell International, Inc. | 59,154,397 | ||||
117,939,523 | ||||||
Insurance — 7.3% | ||||||
1,143,555 | Aflac, Inc. | 58,527,145 | ||||
515,026 | Allstate (The) Corp. | 59,176,487 | ||||
473,627 | Arthur J. Gallagher & Co. | 59,094,441 | ||||
410,697 | Assurant, Inc. | 58,224,514 | ||||
1,144,461 | Axis Capital Holdings Ltd. | 56,730,932 | ||||
368,078 | Chubb Ltd. | 58,145,281 | ||||
1,286,306 | CNA Financial Corp. | 57,407,837 | ||||
251,029 | Erie Indemnity Co., Class A | 55,454,816 | ||||
237,037 | Everest Re Group Ltd. | 58,740,139 |
First Trust Value Line® Dividend Index Fund (FVD) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
445,448 | Hanover Insurance Group (The), Inc. | $ | 57,667,698 | |||
859,068 | Hartford Financial Services Group (The), Inc. | 57,377,152 | ||||
492,890 | Marsh & McLennan Cos., Inc. | 60,034,002 | ||||
1,123,995 | Sun Life Financial, Inc. | 56,817,947 | ||||
391,667 | Travelers (The) Cos., Inc. | 58,906,717 | ||||
812,305,108 | ||||||
IT Services — 3.1% | ||||||
722,587 | Amdocs Ltd. | 50,689,478 | ||||
313,506 | Automatic Data Processing, Inc. | 59,086,476 | ||||
391,667 | Broadridge Financial Solutions, Inc. | 59,964,218 | ||||
3,031,287 | Infosys Ltd., ADR | 56,745,692 | ||||
442,797 | International Business Machines Corp. | 59,007,128 | ||||
598,544 | Paychex, Inc. | 58,669,283 | ||||
344,162,275 | ||||||
Machinery — 3.2% | ||||||
255,763 | Caterpillar, Inc. | 59,303,767 | ||||
219,402 | Cummins, Inc. | 56,849,252 | ||||
423,685 | Dover Corp. | 58,099,924 | ||||
263,822 | Illinois Tool Works, Inc. | 58,441,850 | ||||
467,349 | Lincoln Electric Holdings, Inc. | 57,455,886 | ||||
262,700 | Snap-on, Inc. | 60,615,398 | ||||
350,766,077 | ||||||
Media — 1.0% | ||||||
1,025,492 | Comcast Corp., Class A | 55,489,372 | ||||
2,162,607 | Shaw Communications, Inc., Class B | 56,703,556 | ||||
112,192,928 | ||||||
Multiline Retail — 0.5% | ||||||
307,423 | Target Corp. | 60,891,274 | ||||
Multi-Utilities — 6.0% | ||||||
741,395 | Ameren Corp. | 60,319,897 | ||||
1,249,335 | Avista Corp. | 59,655,746 | ||||
886,608 | Black Hills Corp. | 59,198,816 | ||||
988,143 | CMS Energy Corp. | 60,494,115 | ||||
802,310 | Consolidated Edison, Inc. | 60,012,788 | ||||
786,489 | Dominion Energy, Inc. | 59,741,704 | ||||
452,821 | DTE Energy Co. | 60,288,588 | ||||
921,519 | NorthWestern Corp. | 60,083,039 | ||||
998,733 | Public Service Enterprise Group, Inc. | 60,133,714 | ||||
451,257 | Sempra Energy | 59,827,653 | ||||
651,274 | WEC Energy Group, Inc. | 60,952,734 | ||||
660,708,794 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Oil, Gas & Consumable Fuels — 0.5% | ||||||
1,593,789 | Enbridge, Inc. | $ | 58,013,920 | |||
Personal Products — 0.5% | ||||||
1,038,383 | Unilever PLC, ADR | 57,972,923 | ||||
Pharmaceuticals — 5.2% | ||||||
1,129,031 | AstraZeneca PLC, ADR | 56,135,421 | ||||
912,060 | Bristol-Myers Squibb Co. | 57,578,348 | ||||
311,051 | Eli Lilly and Co. | 58,110,548 | ||||
1,576,401 | GlaxoSmithKline PLC, ADR | 56,261,751 | ||||
360,169 | Johnson & Johnson | 59,193,775 | ||||
745,800 | Merck & Co., Inc. | 57,493,722 | ||||
668,202 | Novartis AG, ADR | 57,117,907 | ||||
813,600 | Novo Nordisk A/S, ADR | 54,852,912 | ||||
1,605,738 | Pfizer, Inc. | 58,175,888 | ||||
1,172,789 | Sanofi, ADR | 58,006,144 | ||||
572,926,416 | ||||||
Professional Services — 1.1% | ||||||
765,648 | Robert Half International, Inc. | 59,774,139 | ||||
657,573 | Thomson Reuters Corp. | 57,583,668 | ||||
117,357,807 | ||||||
Road & Rail — 1.6% | ||||||
510,834 | Canadian National Railway Co. | 59,246,527 | ||||
221,805 | Norfolk Southern Corp. | 59,559,079 | ||||
280,248 | Union Pacific Corp. | 61,769,462 | ||||
180,575,068 | ||||||
Semiconductors & Semiconductor Equipment — 2.1% | ||||||
374,151 | Analog Devices, Inc. | 58,023,337 | ||||
880,799 | Intel Corp. | 56,371,136 | ||||
493,307 | Taiwan Semiconductor Manufacturing Co., Ltd., ADR | 58,348,352 | ||||
320,973 | Texas Instruments, Inc. | 60,660,687 | ||||
233,403,512 | ||||||
Software — 1.6% | ||||||
1,172,789 | Open Text Corp. | 55,953,763 | ||||
871,629 | Oracle Corp. | 61,162,207 | ||||
470,168 | SAP SE, ADR | 57,731,929 | ||||
174,847,899 | ||||||
Specialty Retail — 0.6% | ||||||
200,059 | Home Depot (The), Inc. | 61,068,010 | ||||
Technology Hardware, Storage & Peripherals — 0.5% | ||||||
2,615,686 | Canon, Inc., ADR | 59,559,170 | ||||
Trading Companies & Distributors — 2.1% | ||||||
1,204,804 | Fastenal Co. | 60,577,545 |
First Trust Value Line® Dividend Index Fund (FVD) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Trading Companies & Distributors (Continued) | ||||||
658,695 | MSC Industrial Direct Co., Inc., Class A | $ | 59,407,702 | |||
144,626 | W.W. Grainger, Inc. | 57,984,902 | ||||
227,147 | Watsco, Inc. | 59,228,581 | ||||
237,198,730 | ||||||
Water Utilities — 0.5% | ||||||
787,987 | American States Water Co. | 59,587,577 | ||||
Wireless Telecommunication Services — 0.5% | ||||||
1,189,930 | Rogers Communications, Inc., Class B | 54,855,773 | ||||
Total Investments — 99.9% | 11,060,472,501 | |||||
(Cost $9,228,707,290) (a) | ||||||
Net Other Assets and Liabilities — 0.1% | 13,059,704 | |||||
Net Assets — 100.0% | $ | 11,073,532,205 |
(a) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $1,869,819,016 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $38,053,805. The net unrealized appreciation was $1,831,765,211. |
ADR | - | American Depositary Receipt |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): | |||
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 11,060,472,501 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. | ||||||||||||
Additional Information
First Trust Exchange-Traded Fund
March 31, 2021 (Unaudited)
Valuation Inputs
The Funds are subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
• | Level 1 – Level 1 inputs are quoted prices in active markets for identical investments. |
• | Level 2 – Level 2 inputs are observable inputs, either directly or indirectly. (Quoted prices for similar investments, valuations based on interest rates and yield curves, or valuations derived from observable market data.) |
• | Level 3 – Level 3 inputs are unobservable inputs that may reflect the reporting entity’s own assumptions about the assumptions that market participants would use in pricing the investment. |
The inputs or methodologies used for valuing investments are not necessarily an indication of the risk associated with investing in those investments.
Licensing Information
Dow Jones®, Dow Jones Internet Composite IndexSM and Dow Jones Select MicroCap IndexSM (“S&P Dow Jones Indexes”) are products of S&P Dow Jones Indices LLC or its affiliates (“SPDJI”) and have been licensed for use by First Trust. Standard & Poor’s® and S&P® are registered trademarks of Standard & Poor’s Financial Services LLC (“S&P”); Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC (“Dow Jones”); and these trademarks have been licensed for use by SPDJI and sublicensed for certain purposes by First Trust. The Funds are not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, or their respective affiliates and none of such parties make any representation regarding the advisability of investing in such products nor do they have any liability for any errors, omissions, or interruptions of the S&P Dow Jones Indexes.
Morningstar® and Morningstar® Dividend Leaders IndexSM are registered trademarks and service marks of Morningstar, Inc. (“Morningstar”) and have been licensed for use by First Trust on behalf of the Fund. The Fund is not sponsored, endorsed, issued, sold or promoted by Morningstar and Morningstar makes no representation regarding the advisability of investing in the Fund.
IPOX® and IPOX®-100 U.S. Index are registered international trademarks and service marks of IPOX® Schuster LLC (“IPOX”) and have been licensed for use by First Trust. The Funds are not sponsored, endorsed, sold or promoted by IPOX, and IPOX makes no representation regarding the advisability of trading in such Funds.
NYSE and NYSE® Arca® Biotechnology Index (“Index”) are service/trademarks of ICE Data Indices, LLC or its affiliates (“IDI”) and have been licensed for use by First Trust in connection with the Fund. The Fund is not sponsored, endorsed, sold or promoted by IDI and IDI makes no representations or warranties regarding the advisability of investing in the Fund or as to the result to be obtained by any person from the use of the Index in connection with the trading of the Fund. IDI and its third party suppliers accept no liability in connection with the use of the Index or the Fund. See the prospectus for a full copy of the disclaimer.
NASDAQ® and The Capital Strength IndexSM are registered trademarks and service marks of Nasdaq, Inc. (together with its affiliates hereinafter referred to as the “Corporations”) and are licensed for use by First Trust. The Fund has not been passed on by the Corporations as to its legality or suitability. The Fund is not issued, endorsed, sold or promoted by the Corporations. THE CORPORATIONS MAKE NO WARRANTIES AND BEAR NO LIABILITY WITH RESPECT TO THE FUND.
Value Line® and Value Line® Dividend Index (“Value Line Indexes”) are trademarks or registered trademarks of Value Line, Inc. (“Value Line”) and have been licensed for use for certain purposes by First Trust. The Funds are not sponsored, endorsed, recommended, sold or promoted by Value Line and Value Line makes no representation regarding the advisability of investing in products utilizing such strategy.
First Trust NASDAQ-100 Equal Weighted Index Fund (QQEW) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Automobiles — 1.0% | ||||||
18,984 | Tesla, Inc. (a) | $ | 12,679,983 | |||
Beverages — 3.1% | ||||||
354,744 | Keurig Dr Pepper, Inc. | 12,192,551 | ||||
139,000 | Monster Beverage Corp. (a) | 12,661,510 | ||||
91,942 | PepsiCo, Inc. | 13,005,196 | ||||
37,859,257 | ||||||
Biotechnology — 8.9% | ||||||
80,729 | Alexion Pharmaceuticals, Inc. (a) | 12,344,271 | ||||
49,960 | Amgen, Inc. | 12,430,548 | ||||
45,925 | Biogen, Inc. (a) | 12,847,519 | ||||
189,956 | Gilead Sciences, Inc. | 12,276,856 | ||||
154,736 | Incyte Corp. (a) | 12,575,395 | ||||
85,355 | Moderna, Inc. (a) | 11,177,237 | ||||
25,710 | Regeneron Pharmaceuticals, Inc. (a) | 12,164,429 | ||||
83,384 | Seagen, Inc. (a) | 11,578,702 | ||||
57,021 | Vertex Pharmaceuticals, Inc. (a) | 12,253,243 | ||||
109,648,200 | ||||||
Commercial Services & Supplies — 2.0% | ||||||
36,323 | Cintas Corp. | 12,397,403 | ||||
113,483 | Copart, Inc. (a) | 12,325,389 | ||||
24,722,792 | ||||||
Communications Equipment — 1.0% | ||||||
249,970 | Cisco Systems, Inc. | 12,925,949 | ||||
Electric Utilities — 3.1% | ||||||
146,588 | American Electric Power Co., Inc. | 12,416,004 | ||||
285,070 | Exelon Corp. | 12,468,962 | ||||
193,952 | Xcel Energy, Inc. | 12,899,747 | ||||
37,784,713 | ||||||
Electronic Equipment, Instruments & Components — 1.0% | ||||||
77,007 | CDW Corp. | 12,763,910 | ||||
Entertainment — 4.0% | ||||||
134,105 | Activision Blizzard, Inc. | 12,471,765 | ||||
95,155 | Electronic Arts, Inc. | 12,881,132 | ||||
112,864 | NetEase, Inc., ADR | 11,654,337 | ||||
23,944 | Netflix, Inc. (a) | 12,490,627 | ||||
49,497,861 | ||||||
Food & Staples Retailing — 2.1% | ||||||
37,581 | Costco Wholesale Corp. | 13,246,551 | ||||
229,848 | Walgreens Boots Alliance, Inc. | 12,618,655 | ||||
25,865,206 | ||||||
Food Products — 2.0% | ||||||
311,680 | Kraft Heinz (The) Co. | 12,467,200 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food Products (Continued) | ||||||
210,634 | Mondelez International, Inc., Class A | $ | 12,328,408 | |||
24,795,608 | ||||||
Health Care Equipment & Supplies — 4.1% | ||||||
22,971 | Align Technology, Inc. (a) | 12,439,486 | ||||
35,494 | Dexcom, Inc. (a) | 12,756,189 | ||||
25,210 | IDEXX Laboratories, Inc. (a) | 12,335,505 | ||||
17,278 | Intuitive Surgical, Inc. (a) | 12,767,405 | ||||
50,298,585 | ||||||
Health Care Technology — 1.0% | ||||||
169,947 | Cerner Corp. | 12,215,790 | ||||
Hotels, Restaurants & Leisure — 3.0% | ||||||
5,293 | Booking Holdings, Inc. (a) | 12,331,843 | ||||
80,458 | Marriott International, Inc., Class A (a) | 11,916,635 | ||||
113,241 | Starbucks Corp. | 12,373,844 | ||||
36,622,322 | ||||||
Interactive Media & Services — 3.7% | ||||||
3,012 | Alphabet, Inc., Class A (a) | 6,212,310 | ||||
2,989 | Alphabet, Inc., Class C (a) | 6,183,135 | ||||
46,721 | Baidu, Inc., ADR (a) | 10,164,154 | ||||
42,152 | Facebook, Inc., Class A (a) | 12,415,029 | ||||
80,875 | Match Group, Inc. (a) | 11,110,607 | ||||
46,085,235 | ||||||
Internet & Direct Marketing Retail — 5.9% | ||||||
4,008 | Amazon.com, Inc. (a) | 12,401,073 | ||||
205,739 | eBay, Inc. | 12,599,456 | ||||
143,709 | JD.com, Inc., ADR (a) | 12,118,980 | ||||
8,428 | MercadoLibre, Inc. (a) | 12,407,196 | ||||
86,916 | Pinduoduo, Inc., ADR (a) | 11,636,314 | ||||
293,137 | Trip.com Group Ltd., ADR (a) | 11,617,019 | ||||
72,780,038 | ||||||
IT Services — 7.0% | ||||||
65,866 | Automatic Data Processing, Inc. | 12,413,765 | ||||
158,971 | Cognizant Technology Solutions Corp., Class A | 12,418,815 | ||||
100,171 | Fiserv, Inc. (a) | 11,924,356 | ||||
57,258 | Okta, Inc. (a) | 12,621,381 | ||||
126,407 | Paychex, Inc. | 12,390,414 | ||||
50,476 | PayPal Holdings, Inc. (a) | 12,257,592 | ||||
63,416 | VeriSign, Inc. (a) | 12,604,564 | ||||
86,630,887 | ||||||
Leisure Products — 1.0% | ||||||
113,221 | Peloton Interactive, Inc., Class A (a) | 12,730,569 | ||||
First Trust NASDAQ-100 Equal Weighted Index Fund (QQEW) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Life Sciences Tools & Services — 0.9% | ||||||
29,488 | Illumina, Inc. (a) | $ | 11,325,161 | |||
Machinery — 1.0% | ||||||
128,722 | PACCAR, Inc. | 11,960,848 | ||||
Media — 3.7% | ||||||
19,384 | Charter Communications, Inc., Class A (a) | 11,960,316 | ||||
218,992 | Comcast Corp., Class A | 11,849,657 | ||||
141,775 | Fox Corp., Class A | 5,119,495 | ||||
149,915 | Fox Corp., Class B | 5,236,531 | ||||
1,993,629 | Sirius XM Holdings, Inc. (b) | 12,141,201 | ||||
46,307,200 | ||||||
Multiline Retail — 1.1% | ||||||
114,729 | Dollar Tree, Inc. (a) | 13,131,881 | ||||
Professional Services — 1.0% | ||||||
71,310 | Verisk Analytics, Inc. | 12,599,764 | ||||
Road & Rail — 1.0% | ||||||
134,472 | CSX Corp. | 12,965,790 | ||||
Semiconductors & Semiconductor Equipment — 18.4% | ||||||
154,578 | Advanced Micro Devices, Inc. (a) | 12,134,373 | ||||
80,343 | Analog Devices, Inc. | 12,459,592 | ||||
105,153 | Applied Materials, Inc. | 14,048,441 | ||||
22,013 | ASML Holding N.V. | 13,589,946 | ||||
26,326 | Broadcom, Inc. | 12,206,313 | ||||
189,005 | Intel Corp. | 12,096,320 | ||||
41,599 | KLA Corp. | 13,744,309 | ||||
22,278 | Lam Research Corp. | 13,260,757 | ||||
260,019 | Marvell Technology Group Ltd. | 12,735,730 | ||||
136,165 | Maxim Integrated Products, Inc. | 12,441,396 | ||||
81,644 | Microchip Technology, Inc. | 12,672,782 | ||||
132,707 | Micron Technology, Inc. (a) | 11,706,084 | ||||
23,746 | NVIDIA Corp. | 12,678,702 | ||||
60,223 | NXP Semiconductors N.V. | 12,125,299 | ||||
92,764 | QUALCOMM, Inc. | 12,299,579 | ||||
69,231 | Skyworks Solutions, Inc. | 12,702,504 | ||||
68,889 | Texas Instruments, Inc. | 13,019,332 | ||||
99,112 | Xilinx, Inc. | 12,279,977 | ||||
228,201,436 | ||||||
Software — 13.0% | ||||||
27,647 | Adobe, Inc. (a) | 13,142,554 | ||||
37,373 | ANSYS, Inc. (a) | 12,690,376 | ||||
55,297 | Atlassian Corp. PLC, Class A (a) | 11,654,396 | ||||
46,274 | Autodesk, Inc. (a) | 12,824,839 | ||||
97,075 | Cadence Design Systems, Inc. (a) | 13,298,304 | ||||
103,876 | Check Point Software Technologies Ltd. (a) | 11,630,996 | ||||
59,132 | DocuSign, Inc. (a) | 11,971,273 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
31,772 | Intuit, Inc. | $ | 12,170,582 | |||
52,786 | Microsoft Corp. | 12,445,355 | ||||
91,137 | Splunk, Inc. (a) | 12,347,241 | ||||
53,117 | Synopsys, Inc. (a) | 13,161,330 | ||||
47,941 | Workday, Inc., Class A (a) | 11,909,983 | ||||
37,868 | Zoom Video Communications, Inc., Class A (a) | 12,166,610 | ||||
161,413,839 | ||||||
Specialty Retail — 2.0% | ||||||
25,259 | O’Reilly Automotive, Inc. (a) | 12,812,628 | ||||
100,214 | Ross Stores, Inc. | 12,016,661 | ||||
24,829,289 | ||||||
Technology Hardware, Storage & Peripherals — 1.0% | ||||||
101,157 | Apple, Inc. | 12,356,328 | ||||
Textiles, Apparel & Luxury Goods — 1.0% | ||||||
39,418 | Lululemon Athletica, Inc. (a) | 12,089,895 | ||||
Trading Companies & Distributors — 1.0% | ||||||
257,936 | Fastenal Co. | 12,969,022 | ||||
Wireless Telecommunication Services — 1.0% | ||||||
98,765 | T-Mobile US, Inc. (a) | 12,374,267 | ||||
Total Common Stocks — 100.0% | 1,238,431,625 | |||||
(Cost $969,360,432) | ||||||
Money Market Funds — 0.9% | ||||||
11,214,075 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.02% (c) (d) | 11,214,075 | ||||
(Cost $11,214,075) | ||||||
Total Investments — 100.9% | 1,249,645,700 | |||||
(Cost $980,574,507) (e) | ||||||
Net Other Assets and Liabilities — (0.9)% | (11,238,446 | ) | ||||
Net Assets — 100.0% | $ | 1,238,407,254 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $10,926,995 and the total value of the collateral held by the Fund is $11,214,075. |
First Trust NASDAQ-100 Equal Weighted Index Fund (QQEW) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
(c) | Rate shown reflects yield as of March 31, 2021. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $280,759,446 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $11,688,253. The net unrealized appreciation was $269,071,193. |
ADR | - | American Depositary Receipt |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 1,238,431,625 | $ | — | $ | — | ||||||
Money Market Funds | 11,214,075 | — | — | |||||||||
Total Investments | $ | 1,249,645,700 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust NASDAQ-100-Technology Sector Index Fund (QTEC) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Electronic Equipment, Instruments & Components — 2.6% | ||||||
516,472 | CDW Corp. | $ | 85,605,234 | |||
Interactive Media & Services — 9.2% | ||||||
20,132 | Alphabet, Inc., Class A (a) | 41,522,652 | ||||
19,973 | Alphabet, Inc., Class C (a) | 41,316,747 | ||||
316,985 | Baidu, Inc., ADR (a) | 68,960,087 | ||||
281,343 | Facebook, Inc., Class A (a) | 82,863,954 | ||||
534,528 | Match Group, Inc. (a) | 73,433,457 | ||||
308,096,897 | ||||||
IT Services — 7.5% | ||||||
1,066,207 | Cognizant Technology Solutions Corp., Class A | 83,292,091 | ||||
382,246 | Okta, Inc. (a) | 84,258,486 | ||||
424,989 | VeriSign, Inc. (a) | 84,470,813 | ||||
252,021,390 | ||||||
Semiconductors & Semiconductor Equipment — 45.8% | ||||||
1,032,386 | Advanced Micro Devices, Inc. (a) | 81,042,301 | ||||
537,290 | Analog Devices, Inc. | 83,322,933 | ||||
710,570 | Applied Materials, Inc. | 94,932,152 | ||||
149,092 | ASML Holding N.V. | 92,043,437 | ||||
172,045 | Broadcom, Inc. | 79,770,385 | ||||
1,280,027 | Intel Corp. | 81,921,728 | ||||
278,677 | KLA Corp. | 92,074,881 | ||||
150,499 | Lam Research Corp. | 89,583,025 | ||||
1,736,610 | Marvell Technology Group Ltd. | 85,059,158 | ||||
913,782 | Maxim Integrated Products, Inc. | 83,492,261 | ||||
543,923 | Microchip Technology, Inc. | 84,427,728 | ||||
901,720 | Micron Technology, Inc. (a) | 79,540,721 | ||||
158,845 | NVIDIA Corp. | 84,812,111 | ||||
403,967 | NXP Semiconductors N.V. | 81,334,716 | ||||
622,947 | QUALCOMM, Inc. | 82,596,543 | ||||
464,298 | Skyworks Solutions, Inc. | 85,189,397 | ||||
463,786 | Texas Instruments, Inc. | 87,650,916 | ||||
664,220 | Xilinx, Inc. | 82,296,858 | ||||
1,531,091,251 | ||||||
Software — 32.4% | ||||||
184,868 | Adobe, Inc. (a) | 87,880,701 | ||||
251,712 | ANSYS, Inc. (a) | 85,471,327 | ||||
372,527 | Atlassian Corp. PLC, Class A (a) | 78,513,791 | ||||
312,112 | Autodesk, Inc. (a) | 86,501,841 | ||||
650,453 | Cadence Design Systems, Inc. (a) | 89,105,556 | ||||
699,496 | Check Point Software Technologies Ltd. (a) | 78,322,567 | ||||
396,843 | DocuSign, Inc. (a) | 80,340,865 | ||||
214,062 | Intuit, Inc. | 81,998,590 | ||||
354,324 | Microsoft Corp. | 83,538,969 | ||||
604,429 | Splunk, Inc. (a) | 81,888,041 | ||||
358,191 | Synopsys, Inc. (a) | 88,752,566 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
324,862 | Workday, Inc., Class A (a) | $ | 80,705,467 | |||
250,184 | Zoom Video Communications, Inc., Class A (a) | 80,381,617 | ||||
1,083,401,898 | ||||||
Technology Hardware, Storage & Peripherals — 2.5% | ||||||
680,205 | Apple, Inc. | 83,087,041 | ||||
Total Investments — 100.0% | 3,343,303,711 | |||||
(Cost $2,477,694,268) (b) | ||||||
Net Other Assets and Liabilities — 0.0% | 77,033 | |||||
Net Assets — 100.0% | $ | 3,343,380,744 |
(a) | Non-income producing security. |
(b) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $931,797,120 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $66,187,677. The net unrealized appreciation was $865,609,443. |
ADR | - | American Depositary Receipt |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 3,343,303,711 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust NASDAQ-100 Ex-Technology Sector Index Fund (QQXT) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (a) — 100.0% | ||||||
Automobiles — 1.7% | ||||||
3,610 | Tesla, Inc. (b) | $ | 2,411,227 | |||
Beverages — 5.1% | ||||||
67,255 | Keurig Dr Pepper, Inc. | 2,311,554 | ||||
26,349 | Monster Beverage Corp. (b) | 2,400,130 | ||||
17,419 | PepsiCo, Inc. | 2,463,918 | ||||
7,175,602 | ||||||
Biotechnology — 14.8% | ||||||
15,307 | Alexion Pharmaceuticals, Inc. (b) | 2,340,593 | ||||
9,467 | Amgen, Inc. | 2,355,484 | ||||
8,711 | Biogen, Inc. (b) | 2,436,902 | ||||
36,026 | Gilead Sciences, Inc. | 2,328,361 | ||||
29,308 | Incyte Corp. (b) | 2,381,861 | ||||
16,240 | Moderna, Inc. (b) | 2,126,628 | ||||
4,877 | Regeneron Pharmaceuticals, Inc. (b) | 2,307,504 | ||||
15,846 | Seagen, Inc. (b) | 2,200,376 | ||||
10,815 | Vertex Pharmaceuticals, Inc. (b) | 2,324,035 | ||||
20,801,744 | ||||||
Commercial Services & Supplies — 3.3% | ||||||
6,911 | Cintas Corp. | 2,358,793 | ||||
21,527 | Copart, Inc. (b) | 2,338,048 | ||||
4,696,841 | ||||||
Communications Equipment — 1.7% | ||||||
47,428 | Cisco Systems, Inc. | 2,452,502 | ||||
Electric Utilities — 5.1% | ||||||
27,832 | American Electric Power Co., Inc. | 2,357,371 | ||||
54,035 | Exelon Corp. | 2,363,491 | ||||
36,816 | Xcel Energy, Inc. | 2,448,632 | ||||
7,169,494 | ||||||
Entertainment — 6.7% | ||||||
25,427 | Activision Blizzard, Inc. | 2,364,711 | ||||
18,040 | Electronic Arts, Inc. | 2,442,075 | ||||
21,341 | NetEase, Inc., ADR | 2,203,672 | ||||
4,540 | Netflix, Inc. (b) | 2,368,336 | ||||
9,378,794 | ||||||
Food & Staples Retailing — 3.5% | ||||||
7,118 | Costco Wholesale Corp. | 2,508,953 | ||||
43,631 | Walgreens Boots Alliance, Inc. | 2,395,342 | ||||
4,904,295 | ||||||
Food Products — 3.4% | ||||||
59,367 | Kraft Heinz (The) Co. | 2,374,680 | ||||
39,957 | Mondelez International, Inc., Class A | 2,338,683 | ||||
4,713,363 | ||||||
Shares | Description | Value | ||||
Common Stocks (a) (Continued) | ||||||
Health Care Equipment & Supplies — 6.8% | ||||||
4,375 | Align Technology, Inc. (b) | $ | 2,369,194 | |||
6,742 | Dexcom, Inc. (b) | 2,423,007 | ||||
4,783 | IDEXX Laboratories, Inc. (b) | 2,340,370 | ||||
3,276 | Intuitive Surgical, Inc. (b) | 2,420,767 | ||||
9,553,338 | ||||||
Health Care Technology — 1.7% | ||||||
32,170 | Cerner Corp. | 2,312,380 | ||||
Hotels, Restaurants & Leisure — 4.9% | ||||||
1,004 | Booking Holdings, Inc. (b) | 2,339,159 | ||||
15,249 | Marriott International, Inc., Class A (b) | 2,258,529 | ||||
21,439 | Starbucks Corp. | 2,342,640 | ||||
6,940,328 | ||||||
Internet & Direct Marketing Retail — 9.8% | ||||||
761 | Amazon.com, Inc. (b) | 2,354,595 | ||||
38,995 | eBay, Inc. | 2,388,054 | ||||
27,230 | JD.com, Inc., ADR (b) | 2,296,306 | ||||
1,606 | MercadoLibre, Inc. (b) | 2,364,257 | ||||
16,475 | Pinduoduo, Inc., ADR (b) | 2,205,673 | ||||
55,671 | Trip.com Group Ltd., ADR (b) | 2,206,241 | ||||
13,815,126 | ||||||
IT Services — 6.6% | ||||||
12,483 | Automatic Data Processing, Inc. | 2,352,671 | ||||
18,966 | Fiserv, Inc. (b) | 2,257,712 | ||||
23,984 | Paychex, Inc. | 2,350,912 | ||||
9,575 | PayPal Holdings, Inc. (b) | 2,325,193 | ||||
9,286,488 | ||||||
Leisure Products — 1.7% | ||||||
21,505 | Peloton Interactive, Inc., Class A (b) | 2,418,022 | ||||
Life Sciences Tools & Services — 1.5% | ||||||
5,586 | Illumina, Inc. (b) | 2,145,359 | ||||
Machinery — 1.6% | ||||||
24,383 | PACCAR, Inc. | 2,265,668 | ||||
Media — 6.3% | ||||||
3,680 | Charter Communications, Inc., Class A (b) | 2,270,634 | ||||
41,534 | Comcast Corp., Class A | 2,247,405 | ||||
26,848 | Fox Corp., Class A | 969,481 | ||||
28,385 | Fox Corp., Class B | 991,488 | ||||
378,110 | Sirius XM Holdings, Inc. (c) | 2,302,690 | ||||
8,781,698 | ||||||
Multiline Retail — 1.8% | ||||||
21,716 | Dollar Tree, Inc. (b) | 2,485,613 | ||||
First Trust NASDAQ-100 Ex-Technology Sector Index Fund (QQXT) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (a) (Continued) | ||||||
Professional Services — 1.7% | ||||||
13,534 | Verisk Analytics, Inc. | $ | 2,391,323 | |||
Road & Rail — 1.8% | ||||||
25,489 | CSX Corp. | 2,457,650 | ||||
Specialty Retail — 3.4% | ||||||
4,790 | O’Reilly Automotive, Inc. (b) | 2,429,728 | ||||
18,995 | Ross Stores, Inc. | 2,277,690 | ||||
4,707,418 | ||||||
Textiles, Apparel & Luxury Goods — 1.6% | ||||||
7,465 | Lululemon Athletica, Inc. (b) | 2,289,590 | ||||
Trading Companies & Distributors — 1.8% | ||||||
48,983 | Fastenal Co. | 2,462,865 | ||||
Wireless Telecommunication Services — 1.7% | ||||||
18,757 | T-Mobile US, Inc. (b) | 2,350,065 | ||||
Total Common Stocks — 100.0% | 140,366,793 | |||||
(Cost $108,445,647) | ||||||
Money Market Funds — 1.6% | ||||||
2,126,869 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.02% (d) (e) | 2,126,869 | ||||
103,830 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class 0.01% (d) | 103,830 | ||||
Total Money Market Funds — 1.6% | 2,230,699 | |||||
(Cost $2,230,699) | ||||||
Total Investments — 101.6% | 142,597,492 | |||||
(Cost $110,676,346) (f) | ||||||
Net Other Assets and Liabilities — (1.6)% | (2,180,468 | ) | ||||
Net Assets — 100.0% | $ | 140,417,024 |
(a) | The industry allocation is based on Standard & Poor’s Global Industry Classification Standard (GICS), and is different than the industry sector classification system used by the Index to select securities, which is the Industry Classification Benchmark (ICB) system, which is maintained by FTSE International Limited. |
(b) | Non-income producing security. |
(c) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $2,072,421 and the total value of the collateral held by the Fund is $2,126,869. |
(d) | Rate shown reflects yield as of March 31, 2021. |
(e) | This security serves as collateral for securities on loan. |
(f) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $33,073,362 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $1,152,216. The net unrealized appreciation was $31,921,146. |
ADR | - | American Depositary Receipt |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 140,366,793 | $ | — | $ | — | ||||||
Money Market Funds | 2,230,699 | — | — | |||||||||
Total Investments | $ | 142,597,492 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust NASDAQ® Clean Edge® Green Energy Index Fund (QCLN) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Automobiles — 18.8% | ||||||
5,223,042 | NIO, Inc., ADR (a) | $ | 203,594,177 | |||
380,418 | Niu Technologies, ADR (a) | 13,942,320 | ||||
353,977 | Tesla, Inc. (a) | 236,431,858 | ||||
1,119,265 | Workhorse Group, Inc. (a) (b) | 15,412,279 | ||||
1,577,675 | XPeng, Inc., ADR (a) | 57,600,914 | ||||
526,981,548 | ||||||
Chemicals — 7.2% | ||||||
1,051,447 | Albemarle Corp. | 153,626,921 | ||||
1,359,158 | Livent Corp. (a) | 23,540,617 | ||||
471,672 | Sociedad Quimica y Minera de Chile S.A., ADR (b) | 25,031,633 | ||||
202,199,171 | ||||||
Construction & Engineering — 0.7% | ||||||
277,345 | Ameresco, Inc., Class A (a) | 13,487,287 | ||||
211,626 | Infrastructure and Energy Alternatives, Inc. (a) (b) | 3,449,504 | ||||
243,467 | ReneSola Ltd., ADR (a) (b) | 3,001,948 | ||||
19,938,739 | ||||||
Electrical Equipment — 21.6% | ||||||
334,553 | Acuity Brands, Inc. | 55,201,245 | ||||
256,130 | American Superconductor Corp. (a) | 4,856,225 | ||||
1,179,305 | Array Technologies, Inc. (a) | 35,166,875 | ||||
2,758,775 | Ballard Power Systems, Inc. (a) | 67,148,583 | ||||
1,337,535 | Bloom Energy Corp., Class A (a) | 36,180,322 | ||||
818,177 | CBAK Energy Technology, Inc. (a) (b) | 4,172,703 | ||||
396,401 | EnerSys | 35,993,211 | ||||
116,943 | Flux Power Holdings, Inc. (a) (b) | 1,514,412 | ||||
2,994,026 | FuelCell Energy, Inc. (a) | 43,143,915 | ||||
245,489 | LSI Industries, Inc. | 2,094,021 | ||||
285,645 | Orion Energy Systems, Inc. (a) | 1,988,089 | ||||
4,530,219 | Plug Power, Inc. (a) | 162,363,049 | ||||
1,881,246 | Sunrun, Inc. (a) | 113,777,758 | ||||
339,542 | TPI Composites, Inc. (a) | 19,160,355 | ||||
292,675 | Vicor Corp. (a) | 24,886,155 | ||||
607,646,918 | ||||||
Electronic Equipment, Instruments & Components — 3.3% | ||||||
375,678 | Itron, Inc. (a) | 33,303,855 | ||||
227,861 | Littelfuse, Inc. | 60,255,563 | ||||
93,559,418 | ||||||
Independent Power and Renewable Electricity Producers — 11.1% | ||||||
1,027,915 | Atlantica Sustainable Infrastructure PLC | 37,652,526 | ||||
442,498 | Azure Power Global Ltd. (a) | 12,031,521 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Independent Power and Renewable Electricity Producers (Continued) | ||||||
2,552,217 | Brookfield Renewable Partners, L.P. (c) | $ | 108,724,444 | |||
757,380 | Clearway Energy, Inc., Class C | 21,312,673 | ||||
704,573 | NextEra Energy Partners, L.P. (c) (d) | 51,349,280 | ||||
519,877 | Ormat Technologies, Inc. | 40,825,941 | ||||
1,003,523 | Sunnova Energy International, Inc. (a) | 40,963,809 | ||||
312,860,194 | ||||||
Machinery — 0.2% | ||||||
192,877 | GreenPower Motor Co., Inc. (a) (b) | 4,796,851 | ||||
Mortgage Real Estate Investment Trusts — 1.4% | ||||||
725,754 | Hannon Armstrong Sustainable Infrastructure Capital, Inc. | 40,714,799 | ||||
Oil, Gas & Consumable Fuels — 0.9% | ||||||
365,253 | Renewable Energy Group, Inc. (a) | 24,121,308 | ||||
Semiconductors & Semiconductor Equipment — 34.2% | ||||||
355,665 | Advanced Energy Industries, Inc. | 38,827,948 | ||||
548,277 | Canadian Solar, Inc. (a) | 27,210,988 | ||||
1,030,925 | Cree, Inc. (a) | 111,473,920 | ||||
541,412 | Daqo New Energy Corp., ADR (a) | 40,876,606 | ||||
1,163,132 | Enphase Energy, Inc. (a) | 188,613,485 | ||||
984,218 | First Solar, Inc. (a) | 85,922,231 | ||||
365,406 | JinkoSolar Holding Co., Ltd., ADR (a) | 15,233,776 | ||||
311,064 | Maxeon Solar Technologies Ltd. (a) (b) | 9,817,180 | ||||
309,914 | O2Micro International Ltd., ADR (a) | 2,423,528 | ||||
2,968,846 | ON Semiconductor Corp. (a) | 123,533,682 | ||||
557,676 | Power Integrations, Inc. | 45,439,440 | ||||
400,776 | SolarEdge Technologies, Inc. (a) | 115,199,053 | ||||
1,583,819 | SunPower Corp. (a) (b) | 52,978,746 | ||||
437,467 | Universal Display Corp. | 103,579,062 | ||||
961,129,645 | ||||||
Specialty Retail — 0.6% | ||||||
383,987 | Blink Charging Co. (a) (b) | 15,781,866 | ||||
First Trust NASDAQ® Clean Edge® Green Energy Index Fund (QCLN) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Total Common Stocks — 100.0% | $ | 2,809,730,457 | ||||
(Cost $2,443,338,081) | ||||||
Rights — 0.0% | ||||||
Chemicals — 0.0% | ||||||
87,505 | Sociedad Quimica y Minera de Chile S.A., expiring 4/26/21 (a) (e) | 271,265 | ||||
(Cost $0) | ||||||
Money Market Funds — 2.2% | ||||||
61,173,451 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.02% (f) (g) | 61,173,451 | ||||
(Cost $61,173,451) | ||||||
Total Investments — 102.2% | 2,871,175,173 | |||||
(Cost $2,504,511,532) (h) | ||||||
Net Other Assets and Liabilities — (2.2)% | (61,551,337 | ) | ||||
Net Assets — 100.0% | $ | 2,809,623,836 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $64,227,816 and the total value of the collateral held by the Fund is $61,173,451. The collateral requirements are determined at the beginning of each business day based on the market value of the loaned securities from the end of the prior day. On March 31, 2021, there was sufficient collateral based on the end of day market value from the prior business day; however, as a result of market movement from March 30 to March 31, the value of the related securities loaned was above the collateral value received. |
(c) | Security is a Master Limited Partnership (“MLP”). |
(d) | NextEra Energy Partners, L.P. is taxed as a “C” corporation for federal income tax purposes. |
(e) | Pursuant to procedures adopted by the Trust’s Board of Trustees, this security has been determined to be illiquid by First Trust Advisors, L.P., the Fund’s Advisor. |
(f) | Rate shown reflects yield as of March 31, 2021. |
(g) | This security serves as collateral for securities on loan. |
(h) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $391,320,904 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $24,657,263. The net unrealized appreciation was $366,663,641. |
ADR | - | American Depositary Receipt |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 2,809,730,457 | $ | — | $ | — | ||||||
Rights* | 271,265 | — | — | |||||||||
Money Market Funds | 61,173,451 | — | — | |||||||||
Total Investments | $ | 2,871,175,173 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust S&P REIT Index Fund (FRI) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.6% | ||||||
Diversified REITs — 4.9% | ||||||
6,038 | Alexander & Baldwin, Inc. | $ | 101,378 | |||
4,186 | American Assets Trust, Inc. | 135,794 | ||||
4,945 | Armada Hoffler Properties, Inc. | 62,010 | ||||
3,086 | Broadstone Net Lease, Inc. | 56,474 | ||||
41,045 | Colony Capital, Inc. (a) | 265,972 | ||||
492 | CTO Realty Growth, Inc. | 25,589 | ||||
11,668 | Empire State Realty Trust, Inc., Class A | 129,865 | ||||
8,918 | Essential Properties Realty Trust, Inc. | 203,598 | ||||
2,980 | Gladstone Commercial Corp. | 58,289 | ||||
7,554 | Global Net Lease, Inc. | 136,425 | ||||
1,339 | One Liberty Properties, Inc. | 29,819 | ||||
1,674 | PS Business Parks, Inc. | 258,767 | ||||
20,005 | STORE Capital Corp. | 670,167 | ||||
19,101 | VEREIT, Inc. | 737,681 | ||||
7,052 | Washington Real Estate Investment Trust | 155,849 | ||||
14,629 | WP Carey, Inc. | 1,035,148 | ||||
4,062,825 | ||||||
Health Care REITs — 11.7% | ||||||
7,998 | CareTrust REIT, Inc. | 186,233 | ||||
1,882 | Community Healthcare Trust, Inc. | 86,798 | ||||
19,872 | Diversified Healthcare Trust | 94,988 | ||||
3,713 | Global Medical REIT, Inc. | 48,677 | ||||
11,655 | Healthcare Realty Trust, Inc. | 353,380 | ||||
18,243 | Healthcare Trust of America, Inc., Class A | 503,142 | ||||
44,926 | Healthpeak Properties, Inc. | 1,425,951 | ||||
3,273 | LTC Properties, Inc. | 136,550 | ||||
48,372 | Medical Properties Trust, Inc. | 1,029,356 | ||||
3,769 | National Health Investors, Inc. | 272,423 | ||||
6,437 | New Senior Investment Group, Inc. | 40,103 | ||||
19,330 | Omega Healthcare Investors, Inc. | 708,058 | ||||
17,563 | Physicians Realty Trust | 310,338 | ||||
17,574 | Sabra Health Care REIT, Inc. | 305,085 | ||||
1,068 | Universal Health Realty Income Trust | 72,389 | ||||
31,247 | Ventas, Inc. | 1,666,715 | ||||
34,810 | Welltower, Inc. | 2,493,440 | ||||
9,733,626 | ||||||
Hotel & Resort REITs — 4.2% | ||||||
17,313 | Apple Hospitality REIT, Inc. | 252,250 | ||||
3,921 | Chatham Lodging Trust (a) | 51,600 | ||||
3,250 | CorePoint Lodging, Inc. (a) | 29,348 | ||||
17,520 | DiamondRock Hospitality Co. (a) | 180,456 | ||||
3,045 | Hersha Hospitality Trust (a) | 32,125 | ||||
58,827 | Host Hotels & Resorts, Inc. (a) | 991,235 | ||||
19,714 | Park Hotels & Resorts, Inc. (a) | 425,428 | ||||
10,952 | Pebblebrook Hotel Trust | 266,024 | ||||
13,759 | RLJ Lodging Trust | 212,989 | ||||
4,585 | Ryman Hospitality Properties, Inc. (a) | 355,383 | ||||
13,746 | Service Properties Trust | 163,028 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Hotel & Resort REITs (Continued) | ||||||
8,816 | Summit Hotel Properties, Inc. (a) | $ | 89,571 | |||
17,980 | Sunstone Hotel Investors, Inc. (a) | 224,031 | ||||
9,490 | Xenia Hotels & Resorts, Inc. (a) | 185,055 | ||||
3,458,523 | ||||||
Industrial REITs — 14.3% | ||||||
21,047 | Americold Realty Trust | 809,678 | ||||
31,172 | Duke Realty Corp. | 1,307,042 | ||||
3,308 | EastGroup Properties, Inc. | 473,970 | ||||
10,769 | First Industrial Realty Trust, Inc. | 493,113 | ||||
5,446 | Industrial Logistics Properties Trust | 125,966 | ||||
1,995 | Innovative Industrial Properties, Inc. | 359,419 | ||||
23,148 | Lexington Realty Trust | 257,174 | ||||
8,198 | Monmouth Real Estate Investment Corp. | 145,023 | ||||
2,345 | Plymouth Industrial REIT, Inc. | 39,513 | ||||
61,674 | Prologis, Inc. | 6,537,444 | ||||
10,961 | Rexford Industrial Realty, Inc. | 552,435 | ||||
13,210 | STAG Industrial, Inc. | 443,988 | ||||
5,725 | Terreno Realty Corp. | 330,733 | ||||
11,875,498 | ||||||
Office REITs — 9.7% | ||||||
10,602 | Alexandria Real Estate Equities, Inc. | 1,741,909 | ||||
11,825 | Boston Properties, Inc. | 1,197,399 | ||||
14,231 | Brandywine Realty Trust | 183,722 | ||||
940 | CIM Commercial Trust Corp. | 12,117 | ||||
3,619 | City Office REIT, Inc. | 38,434 | ||||
9,580 | Columbia Property Trust, Inc. | 163,818 | ||||
9,356 | Corporate Office Properties Trust | 246,343 | ||||
12,390 | Cousins Properties, Inc. | 437,986 | ||||
13,756 | Douglas Emmett, Inc. | 431,938 | ||||
6,850 | Easterly Government Properties, Inc. | 142,001 | ||||
10,145 | Equity Commonwealth | 282,031 | ||||
8,056 | Franklin Street Properties Corp. | 43,905 | ||||
8,667 | Highwoods Properties, Inc. | 372,161 | ||||
12,590 | Hudson Pacific Properties, Inc. | 341,567 | ||||
9,219 | JBG SMITH Properties | 293,072 | ||||
8,832 | Kilroy Realty Corp. | 579,644 | ||||
7,188 | Mack-Cali Realty Corp. | 111,270 | ||||
4,030 | Office Properties Income Trust | 110,906 | ||||
13,881 | Paramount Group, Inc. | 140,615 | ||||
10,338 | Piedmont Office Realty Trust, Inc., Class A | 179,571 | ||||
5,784 | SL Green Realty Corp. | 404,822 | ||||
13,086 | Vornado Realty Trust | 593,974 | ||||
8,049,205 | ||||||
Residential REITs — 18.2% | ||||||
11,479 | American Campus Communities, Inc. | 495,549 | ||||
22,410 | American Homes 4 Rent, Class A | 747,150 | ||||
12,415 | Apartment Income REIT Corp. | 530,865 | ||||
12,415 | Apartment Investment and Management Co., Class A | 76,228 | ||||
11,637 | AvalonBay Communities, Inc. | 2,147,143 |
First Trust S&P REIT Index Fund (FRI) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Residential REITs (Continued) | ||||||
1,910 | Bluerock Residential Growth REIT, Inc. | $ | 19,310 | |||
931 | BRT Apartments Corp. | 15,678 | ||||
8,137 | Camden Property Trust | 894,338 | ||||
1,082 | Centerspace | 73,576 | ||||
1,245 | Clipper Realty, Inc. | 9,860 | ||||
14,140 | Equity LifeStyle Properties, Inc. | 899,870 | ||||
28,594 | Equity Residential | 2,048,188 | ||||
5,421 | Essex Property Trust, Inc. | 1,473,645 | ||||
8,495 | Independence Realty Trust, Inc. | 129,124 | ||||
47,306 | Invitation Homes, Inc. | 1,513,319 | ||||
9,540 | Mid-America Apartment Communities, Inc. | 1,377,194 | ||||
1,882 | NexPoint Residential Trust, Inc. | 86,741 | ||||
4,170 | Preferred Apartment Communities, Inc., Class A | 41,075 | ||||
9,309 | Sun Communities, Inc. | 1,396,722 | ||||
24,755 | UDR, Inc. | 1,085,754 | ||||
3,235 | UMH Properties, Inc. | 62,015 | ||||
15,123,344 | ||||||
Retail REITs — 13.2% | ||||||
7,196 | Acadia Realty Trust | 136,508 | ||||
5,293 | Agree Realty Corp. | 356,272 | ||||
179 | Alexander’s, Inc. | 49,637 | ||||
9,077 | American Finance Trust, Inc. | 89,136 | ||||
24,750 | Brixmor Property Group, Inc. | 500,692 | ||||
5,753 | Federal Realty Investment Trust | 583,642 | ||||
3,065 | Getty Realty Corp. | 86,801 | ||||
36,066 | Kimco Realty Corp. | 676,237 | ||||
7,030 | Kite Realty Group Trust | 135,609 | ||||
9,681 | Macerich (The) Co. | 113,268 | ||||
14,618 | National Retail Properties, Inc. | 644,215 | ||||
1,190 | NETSTREIT Corp. | 22,003 | ||||
31,141 | Realty Income Corp. | 1,977,453 | ||||
13,172 | Regency Centers Corp. | 746,984 | ||||
9,852 | Retail Opportunity Investments Corp. | 156,351 | ||||
17,899 | Retail Properties of America, Inc., Class A | 187,582 | ||||
1,356 | Retail Value, Inc. | 25,371 | ||||
6,774 | RPT Realty | 77,291 | ||||
1,078 | Saul Centers, Inc. | 43,239 | ||||
2,997 | Seritage Growth Properties, Class A (a) | 54,995 | ||||
27,397 | Simon Property Group, Inc. | 3,116,957 | ||||
13,908 | SITE Centers Corp. | 188,592 | ||||
9,579 | Spirit Realty Capital, Inc. | 407,107 | ||||
7,804 | Tanger Factory Outlet Centers, Inc. | 118,075 | ||||
9,174 | Urban Edge Properties | 151,554 | ||||
2,510 | Urstadt Biddle Properties, Inc., Class A | 41,792 | ||||
1,740 | Washington Prime Group, Inc. (a) | 3,880 | ||||
10,015 | Weingarten Realty Investors | 269,504 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Retail REITs (Continued) | ||||||
3,330 | Whitestone REIT | $ | 32,301 | |||
10,993,048 | ||||||
Specialized REITs — 23.4% | ||||||
3,567 | CoreSite Realty Corp. | 427,505 | ||||
16,655 | CubeSmart | 630,059 | ||||
10,046 | CyrusOne, Inc. | 680,315 | ||||
23,445 | Digital Realty Trust, Inc. | 3,301,994 | ||||
6,236 | EPR Properties | 290,535 | ||||
7,447 | Equinix, Inc. | 5,060,907 | ||||
11,012 | Extra Space Storage, Inc. | 1,459,641 | ||||
2,200 | Farmland Partners, Inc. | 24,662 | ||||
6,348 | Four Corners Property Trust, Inc. | 173,935 | ||||
18,249 | Gaming and Leisure Properties, Inc. | 774,305 | ||||
10,117 | GEO Group (The), Inc. | 78,508 | ||||
1,985 | Gladstone Land Corp. | 36,325 | ||||
24,054 | Iron Mountain, Inc. | 890,239 | ||||
6,294 | Life Storage, Inc. | 540,969 | ||||
5,356 | National Storage Affiliates Trust | 213,865 | ||||
12,682 | Public Storage | 3,129,410 | ||||
5,381 | QTS Realty Trust, Inc., Class A | 333,837 | ||||
1,199 | Safehold, Inc. | 84,050 | ||||
44,758 | VICI Properties, Inc. | 1,263,966 | ||||
19,395,027 | ||||||
Total Common Stocks — 99.6% | 82,691,096 | |||||
(Cost $91,981,824) | ||||||
Money Market Funds — 0.1% | ||||||
109,520 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b) | 109,520 | ||||
(Cost $109,520) | ||||||
Total Investments — 99.7% | 82,800,616 | |||||
(Cost $92,091,344) (c) | ||||||
Net Other Assets and Liabilities — 0.3% | 249,527 | |||||
Net Assets — 100.0% | $ | 83,050,143 |
(a) | Non-income producing security. |
(b) | Rate shown reflects yield as of March 31, 2021. |
(c) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $4,895,835 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $14,186,563. The net unrealized depreciation was $9,290,728. |
First Trust S&P REIT Index Fund (FRI) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 82,691,096 | $ | — | $ | — | ||||||
Money Market Funds | 109,520 | — | — | |||||||||
Total Investments | $ | 82,800,616 | $ | — | $ | — | ||||||
* See Portfolio of Investments for Subindustry breakout. |
First Trust Water ETF (FIW) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Beverages — 2.2% | ||||||
1,113,050 | Primo Water Corp. | $ | 18,098,193 | |||
Building Products — 7.0% | ||||||
468,832 | A.O. Smith Corp. | 31,697,732 | ||||
252,996 | Advanced Drainage Systems, Inc. | 26,157,256 | ||||
57,854,988 | ||||||
Chemicals — 3.9% | ||||||
151,944 | Ecolab, Inc. | 32,526,652 | ||||
Commercial Services & Supplies — 4.6% | ||||||
203,374 | Montrose Environmental Group, Inc. (a) | 10,207,341 | ||||
201,161 | Tetra Tech, Inc. | 27,301,571 | ||||
37,508,912 | ||||||
Construction & Engineering — 6.7% | ||||||
480,819 | AECOM (a) | 30,825,306 | ||||
100,867 | Valmont Industries, Inc. | 23,973,060 | ||||
54,798,366 | ||||||
Electronic Equipment, Instruments & Components — 3.8% | ||||||
146,472 | Badger Meter, Inc. | 13,632,149 | ||||
203,499 | Itron, Inc. (a) | 18,040,186 | ||||
31,672,335 | ||||||
Health Care Equipment & Supplies — 7.6% | ||||||
144,812 | Danaher Corp. | 32,594,285 | ||||
61,155 | IDEXX Laboratories, Inc. (a) | 29,923,753 | ||||
62,518,038 | ||||||
Industrial Conglomerates — 4.1% | ||||||
84,240 | Roper Technologies, Inc. | 33,977,362 | ||||
Life Sciences Tools & Services — 4.0% | ||||||
260,596 | Agilent Technologies, Inc. | 33,132,175 | ||||
Machinery — 34.3% | ||||||
564,825 | Energy Recovery, Inc. (a) | 10,358,890 | ||||
647,881 | Evoqua Water Technologies Corp. (a) | 17,039,270 | ||||
644,816 | Flowserve Corp. | 25,025,309 | ||||
317,855 | Franklin Electric Co., Inc. | 25,091,474 | ||||
310,751 | Gorman-Rupp (The) Co. | 10,288,966 | ||||
162,991 | IDEX Corp. | 34,117,276 | ||||
99,253 | Lindsay Corp. | 16,537,535 | ||||
391,375 | Mueller Industries, Inc. | 16,183,356 | ||||
1,233,940 | Mueller Water Products, Inc., Class A | 17,139,427 | ||||
568,764 | Pentair PLC | 35,445,372 | ||||
530,773 | Rexnord Corp. | 24,994,100 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Machinery (Continued) | ||||||
139,412 | Watts Water Technologies, Inc., Class A | $ | 16,563,540 | |||
319,516 | Xylem, Inc. | 33,606,693 | ||||
282,391,208 | ||||||
Multi-Utilities — 3.5% | ||||||
1,800,426 | Algonquin Power & Utilities Corp. | 28,518,748 | ||||
Water Utilities — 18.3% | ||||||
217,734 | American States Water Co. | 16,465,045 | ||||
224,211 | American Water Works Co., Inc. | 33,613,713 | ||||
289,454 | California Water Service Group | 16,307,839 | ||||
1,506,201 | Cia de Saneamento Basico do Estado de Sao Paulo, ADR | 11,040,453 | ||||
756,323 | Essential Utilities, Inc. | 33,845,454 | ||||
144,763 | Middlesex Water Co. | 11,439,172 | ||||
253,757 | SJW Group | 15,984,155 | ||||
238,906 | York Water (The) Co. | 11,699,227 | ||||
150,395,058 | ||||||
Total Common Stocks — 100.0% | 823,392,035 | |||||
(Cost $618,416,311) | ||||||
Money Market Funds — 0.0% | ||||||
235,322 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class 0.01% (b) | 235,322 | ||||
(Cost $235,322) | ||||||
Total Investments — 100.0% | 823,627,357 | |||||
(Cost $618,651,633) (c) | ||||||
Net Other Assets and Liabilities — 0.0% | 111,462 | |||||
Net Assets — 100.0% | $ | 823,738,819 |
(a) | Non-income producing security. |
(b) | Rate shown reflects yield as of March 31, 2021. |
(c) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $206,930,868 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $1,955,144. The net unrealized appreciation was $204,975,724. |
ADR | - | American Depositary Receipt |
First Trust Water ETF (FIW) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 823,392,035 | $ | — | $ | — | ||||||
Money Market Funds | 235,322 | — | — | |||||||||
Total Investments | $ | 823,627,357 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Natural Gas ETF (FCG) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Oil, Gas & Consumable Fuels — 100.0% | ||||||
650,855 | Antero Resources Corp. (a) | $ | 6,638,721 | |||
371,114 | APA Corp. | 6,642,941 | ||||
18,346 | Bonanza Creek Energy, Inc. (a) | 655,503 | ||||
379,752 | Cabot Oil & Gas Corp. | 7,131,742 | ||||
137,451 | Callon Petroleum Co. (a) (b) | 5,298,736 | ||||
591,686 | Centennial Resource Development, Inc., Class A (a) | 2,485,081 | ||||
106,062 | Cimarex Energy Co. | 6,299,022 | ||||
394,848 | CNX Resources Corp. (a) | 5,804,266 | ||||
256,465 | Comstock Resources, Inc. (a) | 1,420,816 | ||||
156,480 | ConocoPhillips | 8,288,746 | ||||
180,424 | Contango Oil & Gas Co. (a) | 703,654 | ||||
372,295 | DCP Midstream, L.P. (c) | 8,063,910 | ||||
377,830 | Devon Energy Corp. | 8,255,585 | ||||
109,916 | Diamondback Energy, Inc. | 8,077,727 | ||||
423,595 | Enerplus Corp. | 2,122,211 | ||||
126,058 | EOG Resources, Inc. | 9,142,987 | ||||
378,660 | EQT Corp. (a) | 7,035,503 | ||||
120,678 | Hess Corp. | 8,539,175 | ||||
74,337 | Hess Midstream, L.P., Class A (c) | 1,666,635 | ||||
35,946 | Laredo Petroleum, Inc. (a) | 1,080,537 | ||||
242,855 | Magnolia Oil & Gas Corp., Class A (a) | 2,787,975 | ||||
733,189 | Marathon Oil Corp. | 7,830,458 | ||||
196,285 | Matador Resources Co. | 4,602,883 | ||||
322,838 | Murphy Oil Corp. | 5,297,772 | ||||
248,364 | Noble Midstream Partners, L.P. (c) | 3,601,278 | ||||
305,839 | Occidental Petroleum Corp. | 8,141,434 | ||||
279,300 | Ovintiv, Inc. | 6,652,926 | ||||
125,703 | PDC Energy, Inc. (a) | 4,324,183 | ||||
54,780 | Pioneer Natural Resources Co. | 8,700,160 | ||||
486,114 | Range Resources Corp. (a) | 5,021,558 | ||||
274,709 | SM Energy Co. | 4,496,986 | ||||
1,374,026 | Southwestern Energy Co. (a) | 6,389,221 | ||||
853,063 | Tellurian, Inc. (a) (b) | 1,996,167 | ||||
279,382 | Vermilion Energy, Inc. (b) | 2,033,901 | ||||
89,023 | W&T Offshore, Inc. (a) | 319,593 | ||||
489,380 | Western Midstream Partners, L.P. (c) | 9,097,574 | ||||
93,927 | Whiting Petroleum Corp. (a) | 3,329,712 | ||||
Total Common Stocks — 100.0% | 189,977,279 | |||||
(Cost $134,308,439) | ||||||
Money Market Funds — 3.3% | ||||||
6,140,609 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.02% (d) (e) | 6,140,609 | ||||
Shares | Description | Value | ||||
Money Market Funds (Continued) | ||||||
188,895 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class 0.01% (d) | $ | 188,895 | |||
Total Money Market Funds — 3.3% | 6,329,504 | |||||
(Cost $6,329,504) | ||||||
Total Investments — 103.3% | 196,306,783 | |||||
(Cost $140,637,943) (f) | ||||||
Net Other Assets and Liabilities — (3.3)% | (6,244,654 | ) | ||||
Net Assets — 100.0% | $ | 190,062,129 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $6,244,547 and the total value of the collateral held by the Fund is $6,140,609. The collateral requirements are determined at the beginning of each business day based on the market value of the loaned securities from the end of the prior day. On March 31, 2021, there was sufficient collateral based on the end of day market value from the prior business day; however, as a result of market movement from March 30 to March 31, the value of the related securities loaned was above the collateral value received. |
(c) | Security is a Master Limited Partnership (“MLP”). |
(d) | Rate shown reflects yield as of March 31, 2021. |
(e) | This security serves as collateral for securities on loan. |
(f) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $56,737,434 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $1,068,594. The net unrealized appreciation was $55,668,840. |
First Trust Natural Gas ETF (FCG) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 189,977,279 | $ | — | $ | — | ||||||
Money Market Funds | 6,329,504 | — | — | |||||||||
Total Investments | $ | 196,306,783 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Chindia ETF (FNI) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.1% | ||||||
Air Freight & Logistics — 0.6% | ||||||
64,496 | ZTO Express Cayman, Inc., ADR | $ | 1,880,058 | |||
Automobiles — 9.0% | ||||||
209,718 | NIO, Inc., ADR (a) | 8,174,808 | ||||
887,517 | Tata Motors Ltd., ADR (a) | 18,451,478 | ||||
26,626,286 | ||||||
Banks — 14.9% | ||||||
268,765 | HDFC Bank Ltd., ADR (a) | 20,880,353 | ||||
1,442,041 | ICICI Bank Ltd., ADR (a) | 23,115,917 | ||||
43,996,270 | ||||||
Biotechnology — 1.6% | ||||||
7,122 | BeiGene Ltd., ADR (a) | 2,479,026 | ||||
16,440 | Zai Lab Ltd., ADR (a) | 2,193,589 | ||||
4,672,615 | ||||||
Capital Markets — 2.2% | ||||||
41,299 | Futu Holdings Ltd., ADR (a) (b) | 6,559,107 | ||||
Diversified Consumer Services — 3.2% | ||||||
28,330 | GSX Techedu, Inc., ADR (a) (b) | 959,820 | ||||
321,420 | New Oriental Education & Technology Group, Inc., ADR (a) | 4,499,880 | ||||
75,629 | TAL Education Group, ADR (a) | 4,072,622 | ||||
9,532,322 | ||||||
Entertainment — 8.0% | ||||||
28,976 | Bilibili, Inc., ADR (a) | 3,102,171 | ||||
137,358 | DouYu International Holdings Ltd., ADR (a) | 1,429,897 | ||||
855,093 | Eros STX Global Corp. (a) (b) | 1,547,718 | ||||
88,031 | HUYA, Inc., ADR (a) (b) | 1,714,844 | ||||
81,453 | iQIYI, Inc., ADR (a) | 1,353,749 | ||||
117,259 | NetEase, Inc., ADR | 12,108,164 | ||||
108,672 | Tencent Music Entertainment Group, ADR (a) | 2,226,689 | ||||
23,483,232 | ||||||
Hotels, Restaurants & Leisure — 5.5% | ||||||
36,587 | Huazhu Group Ltd., ADR (a) | 2,008,626 | ||||
213,564 | MakeMyTrip Ltd. (a) | 6,744,351 | ||||
100,458 | Melco Resorts & Entertainment Ltd., ADR (a) | 2,000,119 | ||||
93,978 | Yum China Holdings, Inc. | 5,564,438 | ||||
16,317,534 | ||||||
Insurance — 0.6% | ||||||
161,896 | China Life Insurance Co., Ltd., ADR (b) | 1,685,337 | ||||
Interactive Media & Services — 8.3% | ||||||
19,290 | Autohome, Inc., ADR | 1,799,179 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Interactive Media & Services (Continued) | ||||||
76,242 | Baidu, Inc., ADR (a) | $ | 16,586,447 | |||
20,448 | JOYY, Inc., ADR | 1,916,591 | ||||
126,657 | Momo, Inc., ADR | 1,866,924 | ||||
43,109 | Weibo Corp., ADR (a) | 2,175,280 | ||||
24,344,421 | ||||||
Internet & Direct Marketing Retail — 19.2% | ||||||
59,413 | Alibaba Group Holding Ltd., ADR (a) | 13,470,710 | ||||
49,016 | Baozun, Inc., ADR (a) | 1,869,470 | ||||
31,428 | Dada Nexus Ltd., ADR (a) | 852,956 | ||||
217,276 | JD.com, Inc., ADR (a) | 18,322,885 | ||||
133,599 | Pinduoduo, Inc., ADR (a) | 17,886,234 | ||||
54,224 | Trip.com Group Ltd., ADR (a) | 2,148,897 | ||||
71,314 | Vipshop Holdings Ltd., ADR (a) | 2,129,436 | ||||
56,680,588 | ||||||
IT Services — 15.2% | ||||||
20,232 | GDS Holdings Ltd., ADR (a) | 1,640,613 | ||||
1,218,440 | Infosys Ltd., ADR | 22,809,197 | ||||
45,275 | Kingsoft Cloud Holdings Ltd., ADR (a) | 1,780,213 | ||||
2,057,660 | Wipro Ltd., ADR | 13,045,564 | ||||
75,252 | WNS (Holdings) Ltd., ADR (a) | 5,451,255 | ||||
44,726,842 | ||||||
Metals & Mining — 3.4% | ||||||
807,692 | Vedanta Ltd., ADR | 10,152,689 | ||||
Oil, Gas & Consumable Fuels — 0.7% | ||||||
40,403 | China Petroleum & Chemical Corp., ADR (b) | 2,130,450 | ||||
Pharmaceuticals — 3.4% | ||||||
161,564 | Dr. Reddy’s Laboratories Ltd., ADR (b) | 9,918,414 | ||||
Professional Services — 0.5% | ||||||
25,834 | 51job, Inc., ADR (a) | 1,617,208 | ||||
Semiconductors & Semiconductor Equipment — 1.5% | ||||||
42,337 | Daqo New Energy Corp., ADR (a) | 3,196,443 | ||||
26,382 | JinkoSolar Holding Co., Ltd., ADR (a) (b) | 1,099,866 | ||||
4,296,309 | ||||||
Software — 1.3% | ||||||
47,367 | Agora, Inc., ADR (a) (b) | 2,381,139 | ||||
90,075 | OneConnect Financial Technology Co., Ltd., ADR (a) (b) | 1,331,309 | ||||
3,712,448 |
First Trust Chindia ETF (FNI) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Description | Value | |||||
Total Common Stocks — 99.1% | $ | 292,332,130 | ||||
(Cost $218,497,180) |
Principal Value | Description | Value | |||||
Repurchase Agreements — 3.0% | |||||||
$ | 2,898,719 | Bank of America Corp., 0.00% (c), dated 03/31/21, due 04/01/21, with a maturity value of $2,898,719. Collateralized by U.S. Treasury Note, interest rate of 2.000%, due 11/30/2022. The value of the collateral including accrued interest is $2,956,696. (d) | 2,898,719 | ||||
3,797,438 | JPMorgan Chase & Co., 0.01% (c), dated 03/31/21, due 04/01/21, with a maturity value of $3,797,439. Collateralized by U.S. Treasury Securities, interest rate of 0.000% to 2.500%, due 01/15/2022 to 11/15/2050. The value of the collateral including accrued interest is $3,873,387. (d) | 3,797,438 | |||||
2,021,793 | Mizuho Financial Group, Inc., 0.00% (c), dated 03/31/21, due 04/01/21, with a maturity value of $2,021,793. Collateralized by U.S. Treasury Securities, interest rate of 0.500% to 2.875%, due 08/15/2021 to 11/15/2029. The value of the collateral including accrued interest is $2,062,231. (d) | 2,021,793 | |||||
Total Repurchase Agreements — 3.0% | 8,717,950 | ||||||
(Cost $8,717,950) | |||||||
Total Investments — 102.1% | 301,050,080 | ||||||
(Cost $227,215,130) (e) | |||||||
Net Other Assets and Liabilities — (2.1)% | (5,997,282 | ) | |||||
Net Assets — 100.0% | $ | 295,052,798 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $8,817,974 and the total value of the collateral held by the Fund is $8,717,950. The collateral requirements are determined at the beginning of each business day based on the market value of the loaned securities from the end of the prior day. On March 31, 2021, there was sufficient collateral based on the end of day market value from the prior business day; however, as a result of market movement from March 30 to March 31, the value of the related securities loaned was above the collateral value received. |
(c) | Rate shown reflects yield as of March 31, 2021. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $79,983,948 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $6,148,998. The net unrealized appreciation was $73,834,950. |
ADR | - | American Depositary Receipt |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 292,332,130 | $ | — | $ | — | ||||||
Repurchase Agreements | — | 8,717,950 | — | |||||||||
Total Investments | $ | 292,332,130 | $ | 8,717,950 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust NASDAQ® ABA Community Bank Index Fund (QABA) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Banks — 90.0% | ||||||
12,313 | 1st Source Corp. | $ | 585,853 | |||
9,950 | Allegiance Bancshares, Inc. | 403,373 | ||||
9,150 | Altabancorp | 384,666 | ||||
15,108 | Amalgamated Financial Corp. | 250,642 | ||||
33,879 | Ameris Bancorp | 1,778,986 | ||||
7,538 | Arrow Financial Corp. | 251,091 | ||||
10,112 | Atlantic Capital Bancshares, Inc. (a) | 243,699 | ||||
38,345 | Atlantic Union Bankshares Corp. | 1,470,914 | ||||
15,935 | BancFirst Corp. | 1,126,445 | ||||
28,025 | Bancorp (The), Inc. (a) | 580,678 | ||||
3,761 | Bank First Corp. | 282,037 | ||||
6,625 | Bank of Marin Bancorp | 259,435 | ||||
62,920 | Bank OZK | 2,570,282 | ||||
17,108 | Banner Corp. | 912,370 | ||||
33,859 | BOK Financial Corp. | 3,024,286 | ||||
40,027 | Boston Private Financial Holdings, Inc. | 533,160 | ||||
38,051 | Brookline Bancorp, Inc. | 570,765 | ||||
9,712 | Bryn Mawr Bank Corp. | 441,993 | ||||
10,058 | Business First Bancshares, Inc. | 240,688 | ||||
3,372 | Cambridge Bancorp | 284,327 | ||||
7,259 | Camden National Corp. | 347,416 | ||||
12,840 | Carter Bankshares, Inc. (a) | 179,246 | ||||
38,765 | Cathay General Bancorp | 1,580,837 | ||||
11,968 | CBTX, Inc. | 367,657 | ||||
1,779 | Century Bancorp, Inc., Class A | 165,998 | ||||
7,733 | Citizens & Northern Corp. | 183,891 | ||||
7,656 | City Holding Co. | 626,108 | ||||
7,744 | Civista Bancshares, Inc. | 177,647 | ||||
8,192 | CNB Financial Corp. | 201,605 | ||||
34,859 | Columbia Banking System, Inc. | 1,502,074 | ||||
56,974 | Commerce Bancshares, Inc. | 4,364,778 | ||||
8,675 | Community Trust Bancorp, Inc. | 381,960 | ||||
19,351 | ConnectOne Bancorp, Inc. | 490,548 | ||||
25,132 | CrossFirst Bankshares, Inc. (a) | 346,570 | ||||
65,941 | CVB Financial Corp. | 1,456,637 | ||||
19,948 | Dime Community Bancshares, Inc. | 601,233 | ||||
15,687 | Eagle Bancorp, Inc. | 834,705 | ||||
15,194 | Enterprise Financial Services Corp. | 751,191 | ||||
7,228 | Equity Bancshares, Inc., Class A (a) | 198,047 | ||||
13,752 | Farmers National Banc Corp. | 229,658 | ||||
7,806 | Financial Institutions, Inc. | 236,444 | ||||
13,866 | First Bancorp | 603,171 | ||||
10,417 | First Bancshares (The), Inc. | 381,366 | ||||
26,475 | First Busey Corp. | 679,084 | ||||
4,287 | First Citizens BancShares, Inc., Class A | 3,582,946 | ||||
8,621 | First Community Bankshares, Inc. | 258,544 | ||||
47,385 | First Financial Bancorp | 1,137,240 | ||||
69,221 | First Financial Bankshares, Inc. | 3,234,697 | ||||
6,673 | First Financial Corp. | 300,352 | ||||
21,737 | First Foundation, Inc. | 509,950 | ||||
63,711 | First Hawaiian, Inc. | 1,743,770 | ||||
4,769 | First Internet Bancorp | 168,012 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
20,021 | First Interstate BancSystem, Inc., Class A | $ | 921,767 | |||
26,403 | First Merchants Corp. | 1,227,740 | ||||
8,145 | First Mid Bancshares, Inc. | 357,810 | ||||
55,622 | First Midwest Bancorp, Inc. | 1,218,678 | ||||
11,624 | First of Long Island (The) Corp. | 247,010 | ||||
13,732 | Flushing Financial Corp. | 291,530 | ||||
78,956 | Fulton Financial Corp. | 1,344,621 | ||||
12,896 | German American Bancorp, Inc. | 596,053 | ||||
46,432 | Glacier Bancorp, Inc. | 2,650,339 | ||||
6,737 | Great Southern Bancorp, Inc. | 381,786 | ||||
5,873 | Guaranty Bancshares, Inc. | 215,833 | ||||
42,051 | Hancock Whitney Corp. | 1,766,563 | ||||
14,949 | Hanmi Financial Corp. | 294,944 | ||||
28,391 | HarborOne Bancorp, Inc. | 382,427 | ||||
13,361 | HBT Financial, Inc. | 228,740 | ||||
20,485 | Heartland Financial USA, Inc. | 1,029,576 | ||||
29,156 | Heritage Commerce Corp. | 356,286 | ||||
17,477 | Heritage Financial Corp. | 493,550 | ||||
80,489 | Home BancShares, Inc. | 2,177,227 | ||||
8,120 | HomeTrust Bancshares, Inc. | 197,722 | ||||
59,982 | Hope Bancorp, Inc. | 903,329 | ||||
21,372 | Horizon Bancorp, Inc. | 397,092 | ||||
16,068 | Independent Bank Corp. | 1,352,765 | ||||
10,650 | Independent Bank Corp./MI | 251,766 | ||||
20,993 | Independent Bank Group, Inc. | 1,516,534 | ||||
30,802 | International Bancshares Corp. | 1,429,829 | ||||
121,619 | Investors Bancorp, Inc. | 1,786,583 | ||||
24,560 | Lakeland Bancorp, Inc. | 428,081 | ||||
12,308 | Lakeland Financial Corp. | 851,591 | ||||
20,364 | Live Oak Bancshares, Inc. | 1,394,730 | ||||
16,641 | Macatawa Bank Corp. | 165,578 | ||||
7,901 | Mercantile Bank Corp. | 256,545 | ||||
10,840 | Midland States Bancorp, Inc. | 300,702 | ||||
7,833 | MidWestOne Financial Group, Inc. | 242,588 | ||||
5,738 | MVB Financial Corp. | 193,944 | ||||
21,230 | NBT Bancorp, Inc. | 847,077 | ||||
4,857 | Nicolet Bankshares, Inc. (a) | 405,365 | ||||
29,382 | OceanFirst Financial Corp. | 703,405 | ||||
80,622 | Old National Bancorp | 1,559,229 | ||||
14,285 | Old Second Bancorp, Inc. | 188,705 | ||||
11,438 | Origin Bancorp, Inc. | 485,086 | ||||
45,885 | Pacific Premier Bancorp, Inc. | 1,993,244 | ||||
56,841 | PacWest Bancorp | 2,168,484 | ||||
9,215 | Peapack-Gladstone Financial Corp. | 284,559 | ||||
9,597 | Peoples Bancorp, Inc. | 318,332 | ||||
36,980 | Pinnacle Financial Partners, Inc. | 3,278,647 | ||||
7,267 | Preferred Bank | 462,763 | ||||
11,858 | Primis Financial Corp. | 172,415 | ||||
7,686 | QCR Holdings, Inc. | 362,933 | ||||
9,521 | RBB Bancorp | 192,991 | ||||
3,565 | Red River Bancshares, Inc. | 199,676 | ||||
7,931 | Reliant Bancorp, Inc. | 227,778 | ||||
27,367 | Renasant Corp. | 1,132,446 |
First Trust NASDAQ® ABA Community Bank Index Fund (QABA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
9,083 | Republic Bancorp, Inc., Class A | $ | 402,286 | |||
19,129 | S&T Bancorp, Inc. | 640,822 | ||||
22,918 | Sandy Spring Bancorp, Inc. | 995,329 | ||||
26,847 | Seacoast Banking Corp. of Florida (a) | 972,935 | ||||
26,320 | ServisFirst Bancshares, Inc. | 1,614,206 | ||||
7,475 | Sierra Bancorp | 200,330 | ||||
52,599 | Simmons First National Corp., Class A | 1,560,612 | ||||
34,567 | South State Corp. | 2,713,855 | ||||
3,765 | Southern First Bancshares, Inc. (a) | 176,503 | ||||
15,940 | Southside Bancshares, Inc. | 613,849 | ||||
8,415 | Spirit of Texas Bancshares, Inc. | 187,739 | ||||
11,062 | Stock Yards Bancorp, Inc. | 564,826 | ||||
24,562 | Texas Capital Bancshares, Inc. (a) | 1,741,937 | ||||
35,357 | TowneBank | 1,074,853 | ||||
14,486 | TriCo Bancshares | 686,202 | ||||
16,087 | TriState Capital Holdings, Inc. (a) | 370,966 | ||||
12,106 | Triumph Bancorp, Inc. (a) | 936,883 | ||||
30,858 | Trustmark Corp. | 1,038,680 | ||||
23,373 | UMB Financial Corp. | 2,158,029 | ||||
107,170 | Umpqua Holdings Corp. | 1,880,834 | ||||
63,148 | United Bankshares, Inc. | 2,436,250 | ||||
42,209 | United Community Banks, Inc. | 1,440,171 | ||||
14,266 | Univest Financial Corp. | 407,865 | ||||
197,385 | Valley National Bancorp | 2,712,070 | ||||
24,051 | Veritex Holdings, Inc. | 786,949 | ||||
8,401 | Washington Trust Bancorp, Inc. | 433,744 | ||||
32,731 | WesBanco, Inc. | 1,180,280 | ||||
8,015 | West BanCorp, Inc. | 193,081 | ||||
13,045 | Westamerica Bancorporation | 818,965 | ||||
27,685 | Wintrust Financial Corp. | 2,098,523 | ||||
119,893,640 | ||||||
IT Services — 0.3% | ||||||
7,004 | Cass Information Systems, Inc. | 324,075 | ||||
Thrifts & Mortgage Finance — 9.7% | ||||||
13,764 | Bridgewater Bancshares, Inc. (a) | 222,289 | ||||
67,549 | Capitol Federal Financial, Inc. | 894,686 | ||||
54,821 | Columbia Financial, Inc. (a) | 958,271 | ||||
1,039 | Hingham Institution for Savings | 294,827 | ||||
10,603 | HomeStreet, Inc. | 467,274 | ||||
40,974 | Kearny Financial Corp. | 494,966 | ||||
13,990 | Merchants Bancorp | 586,741 | ||||
25,506 | Meridian Bancorp, Inc. | 469,821 | ||||
15,693 | Meta Financial Group, Inc. | 711,050 | ||||
25,852 | Northfield Bancorp, Inc. | 411,564 | ||||
61,776 | Northwest Bancshares, Inc. | 892,663 | ||||
7,805 | PCSB Financial Corp. | 129,641 | ||||
18,147 | Premier Financial Corp. | 603,569 | ||||
136,539 | TFS Financial Corp. | 2,781,299 | ||||
46,926 | TrustCo Bank Corp. NY | 345,845 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Thrifts & Mortgage Finance (Continued) | ||||||
36,931 | Washington Federal, Inc. | $ | 1,137,475 | |||
12,243 | Waterstone Financial, Inc. | 250,002 | ||||
24,527 | WSFS Financial Corp. | 1,221,199 | ||||
12,873,182 | ||||||
Total Investments — 100.0% | 133,090,897 | |||||
(Cost $122,972,361) (b) | ||||||
Net Other Assets and Liabilities — 0.0% | 60,722 | |||||
Net Assets — 100.0% | $ | 133,151,619 |
(a) | Non-income producing security. |
(b) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $13,502,027 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $3,383,491. The net unrealized appreciation was $10,118,536. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 133,090,897 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
Additional Information
First Trust Exchange-Traded Fund
March 31, 2021 (Unaudited)
Valuation Inputs
The Funds are subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
• | Level 1 – Level 1 inputs are quoted prices in active markets for identical investments. |
• | Level 2 – Level 2 inputs are observable inputs, either directly or indirectly. (Quoted prices for similar investments, valuations based on interest rates and yield curves, or valuations derived from observable market data.) |
• | Level 3 – Level 3 inputs are unobservable inputs that may reflect the reporting entity’s own assumptions about the assumptions that market participants would use in pricing the investment. |
The inputs or methodologies used for valuing investments are not necessarily an indication of the risk associated with investing in those investments.
Licensing Information
Nasdaq®, NASDAQ-100®, NASDAQ-100 Index®, Clean Edge®, OMX®, NASDAQ OMX®, NASDAQ-100 Equal Weighted IndexSM, NASDAQ-100 Ex-Tech Sector IndexSM, ISE ChIndia IndexTM, ISE Clean Edge Water Index, ISE-Revere Natural GasTM Index, NASDAQ OMX® ABA Community Bank Index and NASDAQ-100 Technology Sector IndexSM (“the Nasdaq Indexes”) are registered trademarks and service marks of Nasdaq, Inc., Clean Edge, Inc., and American Bankers Association, respectively, (together with their affiliates hereinafter referred to as the “Corporations”), and are licensed for use by First Trust. The Funds have not been passed on by the Corporations as to their legality or suitability. The Funds are not issued, endorsed, sold or promoted by the Corporations. THE CORPORATIONS MAKE NO WARRANTIES AND BEAR NO LIABILITY WITH RESPECT TO THE FUNDS.
S&P United States REIT Index (“Index”) is a product of S&P Dow Jones Indices LLC or its affiliates (“SPDJI”) and has been licensed for use by First Trust. Standard & Poor’s® and S&P® are registered trademarks of Standard & Poor’s Financial Services LLC (“S&P”); and these trademarks have been licensed for use by SPDJI and sublicensed for certain purposes by First Trust. The Fund is not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P on their respective affiliates and none of such parties make any representation regarding the advisability of investing in such product nor do they have any liability for the errors, omissions or interruptions of the Index.
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Aerospace & Defense — 1.1% | ||||||
21 | AeroVironment, Inc. (a) | $ | 2,437 | |||
133 | Axon Enterprise, Inc. (a) | 18,942 | ||||
68 | BWX Technologies, Inc. | 4,484 | ||||
47 | Curtiss-Wright Corp. | 5,574 | ||||
366 | General Dynamics Corp. | 66,451 | ||||
31 | HEICO Corp. | 3,900 | ||||
75 | Hexcel Corp. (a) | 4,200 | ||||
286 | Howmet Aerospace, Inc. (a) | 9,189 | ||||
120 | Huntington Ingalls Industries, Inc. | 24,702 | ||||
132 | Kratos Defense & Security Solutions, Inc. (a) | 3,601 | ||||
38 | Lockheed Martin Corp. | 14,041 | ||||
188 | Maxar Technologies, Inc. | 7,110 | ||||
93 | Mercury Systems, Inc. (a) | 6,570 | ||||
45 | Northrop Grumman Corp. | 14,564 | ||||
21 | Teledyne Technologies, Inc. (a) | 8,687 | ||||
253 | Textron, Inc. | 14,188 | ||||
208,640 | ||||||
Air Freight & Logistics — 0.5% | ||||||
174 | Air Transport Services Group, Inc. (a) | 5,091 | ||||
87 | C.H. Robinson Worldwide, Inc. | 8,303 | ||||
129 | Expeditors International of Washington, Inc. | 13,892 | ||||
105 | FedEx Corp. | 29,824 | ||||
47 | Forward Air Corp. | 4,174 | ||||
127 | Hub Group, Inc., Class A (a) | 8,545 | ||||
171 | XPO Logistics, Inc. (a) | 21,084 | ||||
90,913 | ||||||
Airlines — 0.1% | ||||||
78 | Alaska Air Group, Inc. (a) | 5,398 | ||||
225 | SkyWest, Inc. (a) | 12,258 | ||||
17,656 | ||||||
Auto Components — 0.7% | ||||||
418 | Aptiv PLC (a) | 57,642 | ||||
224 | Cooper Tire & Rubber Co. | 12,540 | ||||
186 | Dana, Inc. | 4,525 | ||||
21 | Dorman Products, Inc. (a) | 2,155 | ||||
17 | Fox Factory Holding Corp. (a) | 2,160 | ||||
361 | Gentex Corp. | 12,877 | ||||
14 | LCI Industries | 1,852 | ||||
51 | Lear Corp. | 9,244 | ||||
27 | Patrick Industries, Inc. | 2,295 | ||||
179 | Standard Motor Products, Inc. | 7,443 | ||||
171 | Tenneco, Inc., Class A (a) | 1,833 | ||||
176 | XPEL, Inc. (a) (c) | 9,140 | ||||
123,706 | ||||||
Automobiles — 1.4% | ||||||
6,191 | Ford Motor Co. (a) | 75,840 | ||||
1,307 | General Motors Co. (a) | 75,100 | ||||
222 | Harley-Davidson, Inc. | 8,902 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Automobiles (Continued) | ||||||
96 | Tesla, Inc. (a) | $ | 64,121 | |||
219 | Thor Industries, Inc. | 29,508 | ||||
30 | Winnebago Industries, Inc. | 2,302 | ||||
255,773 | ||||||
Banks — 7.2% | ||||||
135 | 1st Source Corp. | 6,423 | ||||
191 | Ameris Bancorp | 10,029 | ||||
532 | Associated Banc-Corp. | 11,353 | ||||
165 | Atlantic Union Bankshares Corp. | 6,329 | ||||
31 | BancFirst Corp. | 2,191 | ||||
198 | BancorpSouth Bank | 6,431 | ||||
898 | Bank of America Corp. | 34,744 | ||||
24 | Bank of Hawaii Corp. | 2,148 | ||||
174 | Bank OZK | 7,108 | ||||
156 | BankUnited, Inc. | 6,856 | ||||
117 | Banner Corp. | 6,240 | ||||
238 | BOK Financial Corp. | 21,258 | ||||
301 | Brookline Bancorp, Inc. | 4,515 | ||||
225 | Cathay General Bancorp | 9,175 | ||||
883 | Citigroup, Inc. | 64,238 | ||||
457 | Citizens Financial Group, Inc. | 20,177 | ||||
78 | City Holding Co. | 6,379 | ||||
101 | Columbia Banking System, Inc. | 4,352 | ||||
292 | Comerica, Inc. | 20,948 | ||||
62 | Commerce Bancshares, Inc. | 4,750 | ||||
58 | Community Bank System, Inc. | 4,450 | ||||
140 | Cullen/Frost Bankers, Inc. | 15,226 | ||||
186 | CVB Financial Corp. | 4,109 | ||||
176 | Eagle Bancorp, Inc. | 9,365 | ||||
322 | East West Bancorp, Inc. | 23,764 | ||||
156 | Enterprise Financial Services Corp. | 7,713 | ||||
764 | F.N.B. Corp. | 9,703 | ||||
52 | FB Financial Corp. | 2,312 | ||||
1,974 | Fifth Third Bancorp | 73,926 | ||||
215 | First Bancorp | 9,352 | ||||
394 | First BanCorp | 4,436 | ||||
337 | First Busey Corp. | 8,644 | ||||
28 | First Citizens BancShares, Inc., Class A | 23,402 | ||||
497 | First Commonwealth Financial Corp. | 7,142 | ||||
414 | First Financial Bancorp | 9,936 | ||||
226 | First Financial Bankshares, Inc. | 10,561 | ||||
181 | First Foundation, Inc. | 4,246 | ||||
231 | First Hawaiian, Inc. | 6,322 | ||||
1,599 | First Horizon Corp. | 27,039 | ||||
133 | First Interstate BancSystem, Inc., Class A | 6,123 | ||||
145 | First Merchants Corp. | 6,742 | ||||
342 | First Midwest Bancorp, Inc. | 7,493 | ||||
370 | First Republic Bank | 61,698 | ||||
570 | Fulton Financial Corp. | 9,707 | ||||
39 | Glacier Bancorp, Inc. | 2,226 | ||||
180 | Heartland Financial USA, Inc. | 9,047 | ||||
233 | Heritage Financial Corp. | 6,580 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
330 | Hilltop Holdings, Inc. | $ | 11,263 | |||
186 | Home BancShares, Inc. | 5,031 | ||||
665 | Hope Bancorp, Inc. | 10,015 | ||||
1,293 | Huntington Bancshares, Inc. | 20,326 | ||||
87 | Independent Bank Group, Inc. | 6,285 | ||||
145 | International Bancshares Corp. | 6,731 | ||||
515 | Investors Bancorp, Inc. | 7,565 | ||||
214 | JPMorgan Chase & Co. | 32,577 | ||||
995 | KeyCorp | 19,880 | ||||
191 | Live Oak Bancshares, Inc. | 13,082 | ||||
128 | M&T Bank Corp. | 19,406 | ||||
170 | NBT Bancorp, Inc. | 6,783 | ||||
195 | OceanFirst Financial Corp. | 4,668 | ||||
294 | OFG Bancorp | 6,650 | ||||
438 | Old National Bancorp | 8,471 | ||||
35 | Park National Corp. | 4,526 | ||||
1,578 | People’s United Financial, Inc. | 28,246 | ||||
56 | Pinnacle Financial Partners, Inc. | 4,965 | ||||
365 | PNC Financial Services Group (The), Inc. | 64,025 | ||||
129 | Popular, Inc. | 9,071 | ||||
235 | Prosperity Bancshares, Inc. | 17,599 | ||||
1,013 | Regions Financial Corp. | 20,929 | ||||
108 | Renasant Corp. | 4,469 | ||||
73 | S&T Bancorp, Inc. | 2,446 | ||||
113 | Sandy Spring Bancorp, Inc. | 4,908 | ||||
62 | Seacoast Banking Corp. of Florida (a) | 2,247 | ||||
91 | Signature Bank | 20,575 | ||||
98 | Silvergate Capital Corp., Class A (a) | 13,933 | ||||
420 | Simmons First National Corp., Class A | 12,461 | ||||
25 | South State Corp. | 1,963 | ||||
175 | Southside Bancshares, Inc. | 6,739 | ||||
404 | Sterling Bancorp | 9,300 | ||||
21 | SVB Financial Group (a) | 10,367 | ||||
168 | Synovus Financial Corp. | 7,686 | ||||
30 | Texas Capital Bancshares, Inc. (a) | 2,128 | ||||
51 | Tompkins Financial Corp. | 4,218 | ||||
309 | TowneBank | 9,394 | ||||
154 | TriCo Bancshares | 7,295 | ||||
149 | Triumph Bancorp, Inc. (a) | 11,531 | ||||
852 | Truist Financial Corp. | 49,689 | ||||
266 | Trustmark Corp. | 8,954 | ||||
584 | U.S. Bancorp | 32,301 | ||||
53 | UMB Financial Corp. | 4,893 | ||||
168 | United Bankshares, Inc. | 6,481 | ||||
128 | United Community Banks, Inc. | 4,367 | ||||
744 | Valley National Bancorp | 10,223 | ||||
141 | Veritex Holdings, Inc. | 4,614 | ||||
86 | Webster Financial Corp. | 4,739 | ||||
1,352 | Wells Fargo & Co. | 52,823 | ||||
121 | WesBanco, Inc. | 4,363 | ||||
61 | Western Alliance Bancorp | 5,761 | ||||
119 | Wintrust Financial Corp. | 9,020 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
376 | Zions Bancorp N.A. | $ | 20,665 | |||
1,305,555 | ||||||
Beverages — 0.4% | ||||||
16 | Boston Beer (The) Co., Inc., Class A (a) | 19,301 | ||||
7 | Coca-Cola Consolidated, Inc. | 2,022 | ||||
452 | Molson Coors Beverage Co., Class B (a) | 23,120 | ||||
294 | Monster Beverage Corp. (a) | 26,780 | ||||
86 | National Beverage Corp. | 4,206 | ||||
75,429 | ||||||
Biotechnology — 2.8% | ||||||
153 | ACADIA Pharmaceuticals, Inc. (a) | 3,947 | ||||
96 | Acceleron Pharma, Inc. (a) | 13,019 | ||||
314 | Amicus Therapeutics, Inc. (a) | 3,102 | ||||
140 | Arcus Biosciences, Inc. (a) | 3,931 | ||||
106 | Arrowhead Pharmaceuticals, Inc. (a) | 7,029 | ||||
1,218 | BioCryst Pharmaceuticals, Inc. (a) | 12,387 | ||||
278 | Biogen, Inc. (a) | 77,771 | ||||
146 | Blueprint Medicines Corp. (a) | 14,196 | ||||
125 | CareDx, Inc. (a) | 8,511 | ||||
80 | CRISPR Therapeutics AG (a) | 9,748 | ||||
43 | Denali Therapeutics, Inc. (a) | 2,455 | ||||
129 | Editas Medicine, Inc. (a) | 5,418 | ||||
91 | Emergent BioSolutions, Inc. (a) | 8,455 | ||||
513 | Exact Sciences Corp. (a) | 67,603 | ||||
100 | Fate Therapeutics, Inc. (a) | 8,245 | ||||
170 | Halozyme Therapeutics, Inc. (a) | 7,087 | ||||
408 | ImmunityBio, Inc. (a) | 9,686 | ||||
844 | ImmunoGen, Inc. (a) | 6,836 | ||||
167 | Intellia Therapeutics, Inc. (a) | 13,403 | ||||
72 | Ionis Pharmaceuticals, Inc. (a) | 3,237 | ||||
93 | Mirati Therapeutics, Inc. (a) | 15,931 | ||||
651 | Moderna, Inc. (a) | 85,249 | ||||
54 | Morphic Holding, Inc. (a) | 3,417 | ||||
55 | Natera, Inc. (a) | 5,585 | ||||
110 | Novavax, Inc. (a) | 19,944 | ||||
459 | OPKO Health, Inc. (a) | 1,969 | ||||
356 | Precigen, Inc. (a) | 2,453 | ||||
203 | Radius Health, Inc. (a) | 4,235 | ||||
80 | REGENXBIO, Inc. (a) | 2,729 | ||||
465 | Sangamo Therapeutics, Inc. (a) | 5,827 | ||||
48 | Sarepta Therapeutics, Inc. (a) | 3,577 | ||||
187 | Scholar Rock Holding Corp. (a) | 9,473 | ||||
105 | TG Therapeutics, Inc. (a) | 5,061 | ||||
98 | Translate Bio, Inc. (a) | 1,616 | ||||
67 | Travere Therapeutics, Inc. (a) | 1,673 | ||||
64 | Twist Bioscience Corp. (a) | 7,927 | ||||
147 | Ultragenyx Pharmaceutical, Inc. (a) | 16,737 | ||||
134 | United Therapeutics Corp. (a) | 22,414 | ||||
37 | Veracyte, Inc. (a) | 1,989 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Biotechnology (Continued) | ||||||
235 | Vericel Corp. (a) | $ | 13,054 | |||
516,926 | ||||||
Building Products — 0.8% | ||||||
223 | A.O. Smith Corp. | 15,077 | ||||
87 | Advanced Drainage Systems, Inc. | 8,995 | ||||
77 | American Woodmark Corp. (a) | 7,591 | ||||
286 | Apogee Enterprises, Inc. | 11,692 | ||||
44 | Builders FirstSource, Inc. (a) | 2,040 | ||||
361 | Carrier Global Corp. | 15,241 | ||||
586 | Cornerstone Building Brands, Inc. (a) | 8,222 | ||||
49 | CSW Industrials, Inc. | 6,615 | ||||
143 | Fortune Brands Home & Security, Inc. | 13,702 | ||||
50 | Gibraltar Industries, Inc. (a) | 4,575 | ||||
267 | Griffon Corp. | 7,254 | ||||
72 | JELD-WEN Holding, Inc. (a) | 1,994 | ||||
15 | Lennox International, Inc. | 4,674 | ||||
54 | Owens Corning | 4,973 | ||||
178 | PGT Innovations, Inc. (a) | 4,494 | ||||
44 | Simpson Manufacturing Co., Inc. | 4,564 | ||||
146 | Trex Co., Inc. (a) | 13,365 | ||||
33 | UFP Industries, Inc. | 2,503 | ||||
137,571 | ||||||
Capital Markets — 3.3% | ||||||
36 | Affiliated Managers Group, Inc. | 5,365 | ||||
83 | Apollo Global Management, Inc. | 3,902 | ||||
72 | Artisan Partners Asset Management, Inc., Class A | 3,756 | ||||
205 | B. Riley Financial, Inc. | 11,558 | ||||
1,282 | Bank of New York Mellon (The) Corp. | 60,626 | ||||
907 | BGC Partners, Inc., Class A | 4,381 | ||||
75 | BlackRock, Inc. | 56,547 | ||||
376 | Brightsphere Investment Group, Inc. | 7,663 | ||||
33 | Evercore, Inc., Class A | 4,347 | ||||
314 | Federated Hermes, Inc. | 9,828 | ||||
83 | Focus Financial Partners, Inc., Class A (a) | 3,454 | ||||
817 | Franklin Resources, Inc. | 24,183 | ||||
155 | Goldman Sachs Group (The), Inc. | 50,685 | ||||
118 | Intercontinental Exchange, Inc. | 13,178 | ||||
1,171 | Invesco Ltd. | 29,533 | ||||
336 | KKR & Co., Inc. | 16,414 | ||||
43 | Lazard Ltd., Class A | 1,871 | ||||
157 | LPL Financial Holdings, Inc. | 22,319 | ||||
24 | MarketAxess Holdings, Inc. | 11,950 | ||||
596 | Morgan Stanley | 46,285 | ||||
88 | Morningstar, Inc. | 19,804 | ||||
91 | MSCI, Inc. | 38,154 | ||||
18 | Piper Sandler Cos. | 1,974 | ||||
96 | PJT Partners, Inc., Class A | 6,494 | ||||
128 | Raymond James Financial, Inc. | 15,688 | ||||
748 | State Street Corp. | 62,839 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Capital Markets (Continued) | ||||||
108 | Stifel Financial Corp. | $ | 6,918 | |||
63 | StoneX Group, Inc. (a) | 4,119 | ||||
180 | T. Rowe Price Group, Inc. | 30,888 | ||||
292 | Victory Capital Holdings, Inc., Class A | 7,464 | ||||
72 | Virtu Financial, Inc., Class A | 2,236 | ||||
33 | Virtus Investment Partners, Inc. | 7,772 | ||||
592,195 | ||||||
Chemicals — 1.5% | ||||||
138 | Albemarle Corp. | 20,163 | ||||
294 | Amyris, Inc. (a) | 5,615 | ||||
52 | Ashland Global Holdings, Inc. | 4,616 | ||||
45 | Avient Corp. | 2,127 | ||||
143 | Axalta Coating Systems Ltd. (a) | 4,230 | ||||
63 | Celanese Corp. | 9,438 | ||||
422 | CF Industries Holdings, Inc. | 19,150 | ||||
703 | Corteva, Inc. | 32,774 | ||||
122 | Eastman Chemical Co. | 13,435 | ||||
205 | Element Solutions, Inc. | 3,749 | ||||
36 | FMC Corp. | 3,982 | ||||
230 | GCP Applied Technologies, Inc. (a) | 5,644 | ||||
105 | H.B. Fuller Co. | 6,606 | ||||
325 | Huntsman Corp. | 9,370 | ||||
24 | Ingevity Corp. (a) | 1,813 | ||||
113 | International Flavors & Fragrances, Inc. | 15,776 | ||||
289 | Livent Corp. (a) | 5,006 | ||||
148 | LyondellBasell Industries N.V., Class A | 15,399 | ||||
117 | Minerals Technologies, Inc. | 8,812 | ||||
177 | Mosaic (The) Co. | 5,595 | ||||
41 | NewMarket Corp. | 15,587 | ||||
106 | Orion Engineered Carbons S.A. (a) | 2,090 | ||||
509 | PQ Group Holdings, Inc. | 8,500 | ||||
21 | Quaker Chemical Corp. | 5,119 | ||||
90 | RPM International, Inc. | 8,267 | ||||
102 | Scotts Miracle-Gro (The) Co. | 24,987 | ||||
46 | Stepan Co. | 5,847 | ||||
200 | Westlake Chemical Corp. | 17,758 | ||||
281,455 | ||||||
Commercial Services & Supplies — 0.7% | ||||||
69 | Brady Corp., Class A | 3,688 | ||||
120 | BrightView Holdings, Inc. (a) | 2,024 | ||||
214 | Copart, Inc. (a) | 23,243 | ||||
414 | Covanta Holding Corp. | 5,738 | ||||
124 | Deluxe Corp. | 5,203 | ||||
101 | Harsco Corp. (a) | 1,732 | ||||
65 | Healthcare Services Group, Inc. | 1,822 | ||||
158 | HNI Corp. | 6,251 | ||||
188 | IAA, Inc. (a) | 10,366 | ||||
195 | KAR Auction Services, Inc. (a) | 2,925 | ||||
27 | MSA Safety, Inc. | 4,051 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Commercial Services & Supplies (Continued) | ||||||
141 | Republic Services, Inc. | $ | 14,008 | |||
696 | Rollins, Inc. | 23,956 | ||||
536 | Steelcase, Inc., Class A | 7,713 | ||||
71 | Tetra Tech, Inc. | 9,636 | ||||
122,356 | ||||||
Communications Equipment — 1.0% | ||||||
47 | Arista Networks, Inc. (a) | 14,189 | ||||
305 | Calix, Inc. (a) | 10,571 | ||||
154 | Ciena Corp. (a) | 8,427 | ||||
912 | Cisco Systems, Inc. | 47,160 | ||||
677 | CommScope Holding Co., Inc. (a) | 10,399 | ||||
342 | EchoStar Corp., Class A (a) | 8,208 | ||||
790 | Extreme Networks, Inc. (a) | 6,912 | ||||
46 | F5 Networks, Inc. (a) | 9,597 | ||||
865 | Infinera Corp. (a) | 8,330 | ||||
235 | Inseego Corp. (a) (b) | 2,350 | ||||
907 | Juniper Networks, Inc. | 22,974 | ||||
86 | Lumentum Holdings, Inc. (a) | 7,856 | ||||
45 | NETGEAR, Inc. (a) | 1,849 | ||||
132 | NetScout Systems, Inc. (a) | 3,717 | ||||
268 | Plantronics, Inc. (a) | 10,428 | ||||
222 | Viasat, Inc. (a) | 10,672 | ||||
183,639 | ||||||
Construction & Engineering — 0.6% | ||||||
82 | AECOM (a) | 5,257 | ||||
174 | Ameresco, Inc., Class A (a) | 8,462 | ||||
132 | Arcosa, Inc. | 8,592 | ||||
69 | Comfort Systems USA, Inc. | 5,159 | ||||
249 | Construction Partners, Inc., Class A (a) | 7,440 | ||||
24 | Dycom Industries, Inc. (a) | 2,228 | ||||
20 | EMCOR Group, Inc. | 2,243 | ||||
551 | Great Lakes Dredge & Dock Corp. (a) | 8,034 | ||||
79 | IES Holdings, Inc. (a) | 3,982 | ||||
106 | MasTec, Inc. (a) | 9,932 | ||||
91 | MYR Group, Inc. (a) | 6,522 | ||||
115 | NV5 Global, Inc. (a) | 11,106 | ||||
329 | Primoris Services Corp. | 10,900 | ||||
227 | Quanta Services, Inc. | 19,971 | ||||
10 | Valmont Industries, Inc. | 2,377 | ||||
112,205 | ||||||
Construction Materials — 0.3% | ||||||
18 | Eagle Materials, Inc. | 2,420 | ||||
528 | Forterra, Inc. (a) | 12,276 | ||||
43 | Martin Marietta Materials, Inc. | 14,440 | ||||
452 | Summit Materials, Inc., Class A (a) | 12,665 | ||||
92 | Vulcan Materials Co. | 15,525 | ||||
57,326 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Consumer Finance — 0.9% | ||||||
572 | Ally Financial, Inc. | $ | 25,860 | |||
413 | Capital One Financial Corp. | 52,546 | ||||
233 | Encore Capital Group, Inc. (a) | 9,374 | ||||
366 | Enova International, Inc. (a) | 12,986 | ||||
33 | Green Dot Corp., Class A (a) | 1,511 | ||||
739 | Navient Corp. | 10,575 | ||||
76 | Nelnet, Inc., Class A | 5,528 | ||||
151 | OneMain Holdings, Inc. | 8,112 | ||||
741 | Santander Consumer USA Holdings, Inc. | 20,051 | ||||
439 | SLM Corp. | 7,889 | ||||
353 | Synchrony Financial | 14,353 | ||||
168,785 | ||||||
Containers & Packaging — 1.1% | ||||||
60 | AptarGroup, Inc. | 8,500 | ||||
53 | Avery Dennison Corp. | 9,734 | ||||
438 | Ball Corp. | 37,116 | ||||
291 | Berry Global Group, Inc. (a) | 17,867 | ||||
81 | Crown Holdings, Inc. | 7,860 | ||||
723 | Graphic Packaging Holding Co. | 13,130 | ||||
77 | Greif, Inc., Class A | 4,389 | ||||
246 | International Paper Co. | 13,301 | ||||
89 | Packaging Corp. of America | 11,969 | ||||
675 | Ranpak Holdings Corp. (a) | 13,541 | ||||
178 | Sealed Air Corp. | 8,156 | ||||
440 | Silgan Holdings, Inc. | 18,493 | ||||
276 | Sonoco Products Co. | 17,471 | ||||
281 | WestRock Co. | 14,626 | ||||
196,153 | ||||||
Distributors — 0.3% | ||||||
185 | Core-Mark Holding Co., Inc. | 7,158 | ||||
579 | LKQ Corp. (a) | 24,509 | ||||
44 | Pool Corp. | 15,190 | ||||
46,857 | ||||||
Diversified Consumer Services — 0.5% | ||||||
267 | Adtalem Global Education, Inc. (a) | 10,557 | ||||
24 | Bright Horizons Family Solutions, Inc. (a) | 4,115 | ||||
181 | Chegg, Inc. (a) | 15,504 | ||||
17 | Graham Holdings Co., Class B | 9,562 | ||||
219 | Grand Canyon Education, Inc. (a) | 23,455 | ||||
114 | H&R Block, Inc. | 2,485 | ||||
718 | Perdoceo Education Corp. (a) | 8,587 | ||||
166 | Service Corp. International | 8,474 | ||||
80 | Terminix Global Holdings, Inc. (a) | 3,814 | ||||
86,553 | ||||||
Diversified Financial Services — 0.7% | ||||||
293 | Berkshire Hathaway, Inc., Class B (a) | 74,853 | ||||
205 | Cannae Holdings, Inc. (a) | 8,122 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Diversified Financial Services (Continued) | ||||||
638 | Equitable Holdings, Inc. | $ | 20,812 | |||
830 | Jefferies Financial Group, Inc. | 24,983 | ||||
69 | Voya Financial, Inc. | 4,391 | ||||
133,161 | ||||||
Diversified Telecommunication Services — 0.9% | ||||||
2,365 | AT&T, Inc. | 71,589 | ||||
138 | Iridium Communications, Inc. (a) | 5,692 | ||||
327 | Liberty Latin America Ltd., Class C (a) | 4,244 | ||||
2,093 | Lumen Technologies, Inc. | 27,942 | ||||
926 | Verizon Communications, Inc. | 53,847 | ||||
282 | Vonage Holdings Corp. (a) | 3,333 | ||||
166,647 | ||||||
Electric Utilities — 3.6% | ||||||
117 | ALLETE, Inc. | 7,861 | ||||
317 | Alliant Energy Corp. | 17,169 | ||||
654 | American Electric Power Co., Inc. | 55,394 | ||||
446 | Duke Energy Corp. | 43,052 | ||||
433 | Edison International | 25,374 | ||||
545 | Entergy Corp. | 54,211 | ||||
980 | Evergy, Inc. | 58,340 | ||||
315 | Eversource Energy | 27,276 | ||||
1,611 | Exelon Corp. | 70,465 | ||||
889 | FirstEnergy Corp. | 30,840 | ||||
461 | Hawaiian Electric Industries, Inc. | 20,482 | ||||
170 | IDACORP, Inc. | 16,995 | ||||
544 | NRG Energy, Inc. | 20,525 | ||||
128 | OGE Energy Corp. | 4,142 | ||||
170 | Otter Tail Corp. | 7,849 | ||||
255 | Pinnacle West Capital Corp. | 20,744 | ||||
477 | Portland General Electric Co. | 22,643 | ||||
2,412 | PPL Corp. | 69,562 | ||||
664 | Southern (The) Co. | 41,274 | ||||
612 | Xcel Energy, Inc. | 40,704 | ||||
654,902 | ||||||
Electrical Equipment — 0.8% | ||||||
169 | Acuity Brands, Inc. | 27,885 | ||||
132 | Atkore, Inc. (a) | 9,491 | ||||
38 | AZZ, Inc. | 1,913 | ||||
190 | Bloom Energy Corp., Class A (a) | 5,139 | ||||
169 | Emerson Electric Co. | 15,247 | ||||
120 | Encore Wire Corp. | 8,056 | ||||
22 | EnerSys | 1,998 | ||||
487 | FuelCell Energy, Inc. (a) | 7,018 | ||||
72 | Generac Holdings, Inc. (a) | 23,576 | ||||
78 | Hubbell, Inc. | 14,577 | ||||
214 | Plug Power, Inc. (a) | 7,670 | ||||
30 | Regal Beloit Corp. | 4,280 | ||||
118 | Sunrun, Inc. (a) | 7,137 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Electrical Equipment (Continued) | ||||||
172 | TPI Composites, Inc. (a) | $ | 9,706 | |||
143,693 | ||||||
Electronic Equipment, Instruments & Components — 1.9% | ||||||
208 | Amphenol Corp., Class A | 13,722 | ||||
168 | Arrow Electronics, Inc. (a) | 18,618 | ||||
52 | Avnet, Inc. | 2,158 | ||||
39 | Badger Meter, Inc. | 3,630 | ||||
67 | Benchmark Electronics, Inc. | 2,072 | ||||
102 | Cognex Corp. | 8,465 | ||||
53 | CTS Corp. | 1,646 | ||||
126 | Dolby Laboratories, Inc., Class A | 12,439 | ||||
62 | ePlus, Inc. (a) | 6,178 | ||||
186 | FLIR Systems, Inc. | 10,503 | ||||
269 | II-VI, Inc. (a) | 18,391 | ||||
72 | Insight Enterprises, Inc. (a) | 6,870 | ||||
36 | IPG Photonics Corp. (a) | 7,594 | ||||
38 | Itron, Inc. (a) | 3,369 | ||||
288 | Jabil, Inc. | 15,022 | ||||
206 | Keysight Technologies, Inc. (a) | 29,540 | ||||
64 | Littelfuse, Inc. | 16,924 | ||||
237 | Methode Electronics, Inc. | 9,949 | ||||
93 | National Instruments Corp. | 4,016 | ||||
111 | nLight, Inc. (a) | 3,596 | ||||
116 | PAR Technology Corp. (a) | 7,588 | ||||
116 | PC Connection, Inc. | 5,381 | ||||
70 | Plexus Corp. (a) | 6,429 | ||||
284 | Sanmina Corp. (a) | 11,752 | ||||
251 | SYNNEX Corp. | 28,825 | ||||
245 | Trimble, Inc. (a) | 19,059 | ||||
131 | TTM Technologies, Inc. (a) | 1,899 | ||||
263 | Vishay Intertechnology, Inc. | 6,333 | ||||
142 | Zebra Technologies Corp., Class A (a) | 68,896 | ||||
350,864 | ||||||
Energy Equipment & Services — 0.1% | ||||||
419 | Archrock, Inc. | 3,976 | ||||
297 | NOV, Inc. (a) | 4,075 | ||||
3,141 | Transocean Ltd. (a) | 11,151 | ||||
19,202 | ||||||
Entertainment — 0.9% | ||||||
147 | Activision Blizzard, Inc. | 13,671 | ||||
111 | Live Nation Entertainment, Inc. (a) | 9,396 | ||||
35 | Madison Square Garden Entertainment Corp. (a) | 2,863 | ||||
25 | Netflix, Inc. (a) | 13,042 | ||||
205 | Roku, Inc. (a) | 66,783 | ||||
262 | Take-Two Interactive Software, Inc. (a) | 46,295 | ||||
827 | Zynga, Inc., Class A (a) | 8,444 | ||||
160,494 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Equity Real Estate Investment Trusts — 3.4% | ||||||
511 | Acadia Realty Trust | $ | 9,694 | |||
106 | Alexander & Baldwin, Inc. | 1,780 | ||||
188 | American Assets Trust, Inc. | 6,099 | ||||
191 | American Campus Communities, Inc. | 8,245 | ||||
773 | Apartment Investment and Management Co., Class A | 4,746 | ||||
141 | Apple Hospitality REIT, Inc. | 2,054 | ||||
323 | Armada Hoffler Properties, Inc. | 4,050 | ||||
170 | AvalonBay Communities, Inc. | 31,367 | ||||
173 | Boston Properties, Inc. | 17,518 | ||||
329 | Brixmor Property Group, Inc. | 6,656 | ||||
82 | Camden Property Trust | 9,013 | ||||
754 | Colony Capital, Inc. (a) | 4,886 | ||||
253 | Columbia Property Trust, Inc. | 4,326 | ||||
122 | Cousins Properties, Inc. | 4,313 | ||||
121 | CubeSmart | 4,577 | ||||
220 | DiamondRock Hospitality Co. (a) | 2,266 | ||||
1,321 | Diversified Healthcare Trust | 6,314 | ||||
389 | Empire State Realty Trust, Inc., Class A | 4,330 | ||||
56 | EPR Properties | 2,609 | ||||
332 | Equity Commonwealth | 9,230 | ||||
918 | Equity Residential | 65,756 | ||||
172 | Essex Property Trust, Inc. | 46,756 | ||||
35 | Extra Space Storage, Inc. | 4,639 | ||||
144 | Federal Realty Investment Trust | 14,609 | ||||
1,024 | GEO Group (The), Inc. (b) | 7,946 | ||||
423 | Global Net Lease, Inc. | 7,639 | ||||
552 | Healthcare Realty Trust, Inc. | 16,737 | ||||
148 | Healthcare Trust of America, Inc., Class A | 4,082 | ||||
450 | Healthpeak Properties, Inc. | 14,283 | ||||
412 | Highwoods Properties, Inc. | 17,691 | ||||
279 | Host Hotels & Resorts, Inc. (a) | 4,701 | ||||
40 | Innovative Industrial Properties, Inc. | 7,206 | ||||
138 | Iron Mountain, Inc. | 5,107 | ||||
213 | Kilroy Realty Corp. | 13,979 | ||||
544 | Kimco Realty Corp. | 10,200 | ||||
364 | Kite Realty Group Trust | 7,022 | ||||
49 | Lamar Advertising Co., Class A | 4,602 | ||||
51 | Life Storage, Inc. | 4,383 | ||||
680 | Macerich (The) Co. | 7,956 | ||||
375 | Medical Properties Trust, Inc. | 7,980 | ||||
105 | National Health Investors, Inc. | 7,589 | ||||
299 | National Retail Properties, Inc. | 13,177 | ||||
399 | Office Properties Income Trust | 10,980 | ||||
225 | Omega Healthcare Investors, Inc. | 8,242 | ||||
602 | Paramount Group, Inc. | 6,098 | ||||
271 | Retail Opportunity Investments Corp. | 4,301 | ||||
636 | Retail Properties of America, Inc., Class A | 6,665 | ||||
83 | Rexford Industrial Realty, Inc. | 4,183 | ||||
418 | Sabra Health Care REIT, Inc. | 7,256 | ||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Equity Real Estate Investment Trusts (Continued) | ||||||
25 | Safehold, Inc. | $ | 1,753 | |||
632 | Service Properties Trust | 7,496 | ||||
717 | SITE Centers Corp. | 9,723 | ||||
151 | SL Green Realty Corp. | 10,569 | ||||
360 | STORE Capital Corp. | 12,060 | ||||
561 | Urban Edge Properties | 9,268 | ||||
555 | Ventas, Inc. | 29,604 | ||||
432 | VEREIT, Inc. | 16,684 | ||||
160 | VICI Properties, Inc. | 4,518 | ||||
335 | Washington Real Estate Investment Trust | 7,404 | ||||
335 | Weingarten Realty Investors | 9,015 | ||||
231 | WP Carey, Inc. | 16,346 | ||||
620,278 | ||||||
Food & Staples Retailing — 1.3% | ||||||
328 | BJ’s Wholesale Club Holdings, Inc. (a) | 14,714 | ||||
114 | Casey’s General Stores, Inc. | 24,646 | ||||
208 | Grocery Outlet Holding Corp. (a) | 7,673 | ||||
213 | Ingles Markets, Inc., Class A | 13,131 | ||||
2,142 | Kroger (The) Co. | 77,090 | ||||
20 | PriceSmart, Inc. | 1,935 | ||||
568 | United Natural Foods, Inc. (a) | 18,710 | ||||
123 | US Foods Holding Corp. (a) | 4,689 | ||||
341 | Walgreens Boots Alliance, Inc. | 18,721 | ||||
283 | Walmart, Inc. | 38,440 | ||||
190 | Weis Markets, Inc. | 10,739 | ||||
230,488 | ||||||
Food Products — 2.6% | ||||||
1,080 | Archer-Daniels-Midland Co. | 61,560 | ||||
65 | B&G Foods, Inc. (b) | 2,019 | ||||
33 | Beyond Meat, Inc. (a) | 4,294 | ||||
249 | Bunge Ltd. | 19,738 | ||||
281 | Campbell Soup Co. | 14,126 | ||||
1,126 | Conagra Brands, Inc. | 42,338 | ||||
354 | Darling Ingredients, Inc. (a) | 26,047 | ||||
361 | Flowers Foods, Inc. | 8,592 | ||||
301 | Fresh Del Monte Produce, Inc. | 8,618 | ||||
38 | Freshpet, Inc. (a) | 6,035 | ||||
694 | General Mills, Inc. | 42,556 | ||||
45 | Hain Celestial Group (The), Inc. (a) | 1,962 | ||||
584 | Hormel Foods Corp. | 27,904 | ||||
248 | Hostess Brands, Inc. (a) | 3,556 | ||||
259 | Ingredion, Inc. | 23,289 | ||||
177 | J.M. Smucker (The) Co. | 22,396 | ||||
46 | John B Sanfilippo & Son, Inc. | 4,157 | ||||
219 | Kellogg Co. | 13,863 | ||||
52 | Lamb Weston Holdings, Inc. | 4,029 | ||||
22 | Lancaster Colony Corp. | 3,858 | ||||
233 | Mondelez International, Inc., Class A | 13,637 | ||||
370 | Pilgrim’s Pride Corp. (a) | 8,802 | ||||
81 | Post Holdings, Inc. (a) | 8,563 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food Products (Continued) | ||||||
14 | Sanderson Farms, Inc. | $ | 2,181 | |||
3 | Seaboard Corp. | 11,070 | ||||
174 | Simply Good Foods (The) Co. (a) | 5,293 | ||||
85 | TreeHouse Foods, Inc. (a) | 4,440 | ||||
1,056 | Tyson Foods, Inc., Class A | 78,461 | ||||
473,384 | ||||||
Gas Utilities — 0.5% | ||||||
214 | Atmos Energy Corp. | 21,154 | ||||
153 | New Jersey Resources Corp. | 6,100 | ||||
158 | Northwest Natural Holding Co. | 8,524 | ||||
213 | ONE Gas, Inc. | 16,382 | ||||
337 | South Jersey Industries, Inc. | 7,609 | ||||
149 | Southwest Gas Holdings, Inc. | 10,238 | ||||
57 | Spire, Inc. | 4,212 | ||||
584 | UGI Corp. | 23,950 | ||||
98,169 | ||||||
Health Care Equipment & Supplies — 1.5% | ||||||
25 | ABIOMED, Inc. (a) | 7,968 | ||||
102 | Align Technology, Inc. (a) | 55,236 | ||||
625 | Alphatec Holdings, Inc. (a) | 9,869 | ||||
36 | Axonics, Inc. (a) | 2,156 | ||||
136 | BioLife Solutions, Inc. (a) | 4,896 | ||||
16 | CONMED Corp. | 2,090 | ||||
41 | CryoPort, Inc. (a) | 2,132 | ||||
78 | DENTSPLY SIRONA, Inc. | 4,977 | ||||
24 | Glaukos Corp. (a) | 2,014 | ||||
34 | Haemonetics Corp. (a) | 3,774 | ||||
37 | Heska Corp. (a) | 6,233 | ||||
747 | Hologic, Inc. (a) | 55,562 | ||||
109 | IDEXX Laboratories, Inc. (a) | 53,335 | ||||
32 | Insulet Corp. (a) | 8,350 | ||||
63 | Integra LifeSciences Holdings Corp. (a) | 4,353 | ||||
15 | iRhythm Technologies, Inc. (a) | 2,083 | ||||
30 | Masimo Corp. (a) | 6,890 | ||||
33 | Merit Medical Systems, Inc. (a) | 1,976 | ||||
47 | Nevro Corp. (a) | 6,557 | ||||
118 | Novocure Ltd. (a) | 15,597 | ||||
23 | Quidel Corp. (a) | 2,942 | ||||
70 | Shockwave Medical, Inc. (a) | 9,118 | ||||
61 | SI-BONE, Inc. (a) | 1,940 | ||||
23 | STAAR Surgical Co. (a) | 2,424 | ||||
22 | STERIS PLC | 4,191 | ||||
43 | Tandem Diabetes Care, Inc. (a) | 3,795 | ||||
280,458 | ||||||
Health Care Providers & Services — 4.2% | ||||||
180 | Acadia Healthcare Co., Inc. (a) | 10,285 | ||||
31 | Addus HomeCare Corp. (a) | 3,242 | ||||
56 | Amedisys, Inc. (a) | 14,828 | ||||
27 | AMN Healthcare Services, Inc. (a) | 1,990 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Providers & Services (Continued) | ||||||
169 | Anthem, Inc. | $ | 60,663 | |||
81 | Castle Biosciences, Inc. (a) | 5,545 | ||||
907 | Centene Corp. (a) | 57,966 | ||||
15 | Chemed Corp. | 6,897 | ||||
261 | Cigna Corp. | 63,094 | ||||
1,221 | Community Health Systems, Inc. (a) | 16,508 | ||||
17 | CorVel Corp. (a) | 1,744 | ||||
996 | CVS Health Corp. | 74,929 | ||||
104 | DaVita, Inc. (a) | 11,208 | ||||
99 | Encompass Health Corp. | 8,108 | ||||
75 | Ensign Group (The), Inc. | 7,038 | ||||
139 | Fulgent Genetics, Inc. (a) | 13,430 | ||||
127 | Guardant Health, Inc. (a) | 19,387 | ||||
176 | HealthEquity, Inc. (a) | 11,968 | ||||
183 | Henry Schein, Inc. (a) | 12,671 | ||||
166 | Humana, Inc. | 69,596 | ||||
201 | Laboratory Corp. of America Holdings (a) | 51,261 | ||||
19 | LHC Group, Inc. (a) | 3,633 | ||||
156 | McKesson Corp. | 30,426 | ||||
52 | ModivCare, Inc. (a) | 7,702 | ||||
77 | Molina Healthcare, Inc. (a) | 18,000 | ||||
82 | National HealthCare Corp. | 6,389 | ||||
88 | Ontrak, Inc. (a) | 2,865 | ||||
116 | Option Care Health, Inc. (a) | 2,058 | ||||
47 | PetIQ, Inc. (a) | 1,657 | ||||
171 | Progyny, Inc. (a) | 7,611 | ||||
571 | Quest Diagnostics, Inc. | 73,282 | ||||
378 | R1 RCM, Inc. (a) | 9,329 | ||||
131 | Select Medical Holdings Corp. (a) | 4,467 | ||||
313 | Surgery Partners, Inc. (a) | 13,854 | ||||
227 | Tenet Healthcare Corp. (a) | 11,804 | ||||
78 | UnitedHealth Group, Inc. | 29,022 | ||||
148 | Universal Health Services, Inc., Class B | 19,742 | ||||
764,199 | ||||||
Health Care Technology — 0.4% | ||||||
126 | Allscripts Healthcare Solutions, Inc. (a) | 1,892 | ||||
520 | Cerner Corp. | 37,378 | ||||
566 | Evolent Health, Inc., Class A (a) | 11,433 | ||||
39 | Inspire Medical Systems, Inc. (a) | 8,073 | ||||
45 | Omnicell, Inc. (a) | 5,844 | ||||
100 | Phreesia, Inc. (a) | 5,210 | ||||
131 | Vocera Communications, Inc. (a) | 5,038 | ||||
74,868 | ||||||
Hotels, Restaurants & Leisure — 0.9% | ||||||
106 | Aramark | 4,005 | ||||
144 | Bally’s Corp. (a) | 9,357 | ||||
165 | Caesars Entertainment, Inc. (a) | 14,429 | ||||
188 | Carnival Corp. (a) | 4,990 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Hotels, Restaurants & Leisure (Continued) | ||||||
20 | Chipotle Mexican Grill, Inc. (a) | $ | 28,416 | |||
38 | Choice Hotels International, Inc. | 4,077 | ||||
42 | Churchill Downs, Inc. | 9,552 | ||||
14 | Cracker Barrel Old Country Store, Inc. | 2,420 | ||||
263 | Everi Holdings, Inc. (a) | 3,711 | ||||
20 | Jack in the Box, Inc. | 2,196 | ||||
106 | Lindblad Expeditions Holdings, Inc. (a) | 2,003 | ||||
648 | MGM Resorts International | 24,618 | ||||
189 | Penn National Gaming, Inc. (a) | 19,815 | ||||
87 | Scientific Games Corp. (a) | 3,351 | ||||
57 | SeaWorld Entertainment, Inc. (a) | 2,831 | ||||
127 | Starbucks Corp. | 13,877 | ||||
52 | Texas Roadhouse, Inc. | 4,989 | ||||
31 | Wingstop, Inc. | 3,942 | ||||
158,579 | ||||||
Household Durables — 3.0% | ||||||
207 | Century Communities, Inc. (a) | 12,486 | ||||
987 | D.R. Horton, Inc. | 87,962 | ||||
227 | Garmin Ltd. | 29,930 | ||||
1,095 | GoPro, Inc., Class A (a) | 12,746 | ||||
395 | Green Brick Partners, Inc. (a) | 8,959 | ||||
55 | Helen of Troy Ltd. (a) | 11,586 | ||||
36 | Installed Building Products, Inc. | 3,992 | ||||
271 | KB Home | 12,610 | ||||
91 | La-Z-Boy, Inc. | 3,866 | ||||
276 | Leggett & Platt, Inc. | 12,599 | ||||
892 | Lennar Corp., Class A | 90,297 | ||||
17 | LGI Homes, Inc. (a) | 2,538 | ||||
201 | M.D.C. Holdings, Inc. | 11,939 | ||||
205 | M/I Homes, Inc. (a) | 12,109 | ||||
110 | Meritage Homes Corp. (a) | 10,111 | ||||
145 | Mohawk Industries, Inc. (a) | 27,885 | ||||
192 | Newell Brands, Inc. | 5,142 | ||||
13 | NVR, Inc. (a) | 61,242 | ||||
473 | PulteGroup, Inc. | 24,804 | ||||
55 | Purple Innovation, Inc. (a) | 1,741 | ||||
310 | Sonos, Inc. (a) | 11,616 | ||||
283 | Taylor Morrison Home Corp. (a) | 8,719 | ||||
302 | Tempur Sealy International, Inc. | 11,041 | ||||
469 | Toll Brothers, Inc. | 26,606 | ||||
89 | TopBuild Corp. (a) | 18,639 | ||||
526 | Tri Pointe Homes, Inc. (a) | 10,709 | ||||
90 | Whirlpool Corp. | 19,832 | ||||
551,706 | ||||||
Household Products — 0.3% | ||||||
50 | Central Garden & Pet Co., Class A (a) | 2,595 | ||||
196 | Procter & Gamble (The) Co. | 26,544 | ||||
544 | Reynolds Consumer Products, Inc. | 16,200 | ||||
23 | Spectrum Brands Holdings, Inc. | 1,955 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Household Products (Continued) | ||||||
7 | WD-40 Co. | $ | 2,143 | |||
49,437 | ||||||
Independent Power and Renewable Electricity Producers — 0.2% | ||||||
174 | AES (The) Corp. | 4,665 | ||||
57 | Clearway Energy, Inc., Class C | 1,604 | ||||
20 | Ormat Technologies, Inc. | 1,570 | ||||
201 | Sunnova Energy International, Inc. (a) | 8,205 | ||||
1,038 | Vistra Corp. | 18,352 | ||||
34,396 | ||||||
Industrial Conglomerates — 0.4% | ||||||
78 | 3M Co. | 15,029 | ||||
105 | Carlisle Cos., Inc. | 17,281 | ||||
2,520 | General Electric Co. | 33,088 | ||||
55 | Raven Industries, Inc. | 2,108 | ||||
67,506 | ||||||
Insurance — 5.0% | ||||||
1,530 | Aflac, Inc. | 78,305 | ||||
7 | Alleghany Corp. (a) | 4,384 | ||||
619 | Allstate (The) Corp. | 71,123 | ||||
328 | American Equity Investment Life Holding Co. | 10,342 | ||||
140 | American Financial Group, Inc. | 15,974 | ||||
94 | American National Group, Inc. | 10,140 | ||||
95 | AMERISAFE, Inc. | 6,080 | ||||
566 | Arch Capital Group Ltd. (a) | 21,717 | ||||
90 | Assurant, Inc. | 12,759 | ||||
288 | Assured Guaranty Ltd. | 12,177 | ||||
473 | Athene Holding Ltd., Class A (a) | 23,839 | ||||
86 | Brown & Brown, Inc. | 3,931 | ||||
182 | BRP Group, Inc., Class A (a) | 4,959 | ||||
187 | Cincinnati Financial Corp. | 19,278 | ||||
408 | CNO Financial Group, Inc. | 9,910 | ||||
282 | Employers Holdings, Inc. | 12,143 | ||||
44 | Enstar Group Ltd. (a) | 10,856 | ||||
50 | Erie Indemnity Co., Class A | 11,045 | ||||
70 | Everest Re Group Ltd. | 17,347 | ||||
104 | FBL Financial Group, Inc., Class A | 5,816 | ||||
522 | Fidelity National Financial, Inc. | 21,225 | ||||
395 | First American Financial Corp. | 22,377 | ||||
172 | Globe Life, Inc. | 16,620 | ||||
58 | Goosehead Insurance, Inc., Class A | 6,216 | ||||
47 | Hanover Insurance Group (The), Inc. | 6,085 | ||||
1,389 | Hartford Financial Services Group (The), Inc. | 92,771 | ||||
129 | Horace Mann Educators Corp. | 5,574 | ||||
106 | Kemper Corp. | 8,450 | ||||
61 | Kinsale Capital Group, Inc. | 10,053 | ||||
325 | Lincoln National Corp. | 20,238 | ||||
91 | Loews Corp. | 4,666 | ||||
139 | Mercury General Corp. | 8,453 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
1,159 | MetLife, Inc. | $ | 70,456 | |||
621 | Old Republic International Corp. | 13,563 | ||||
91 | Primerica, Inc. | 13,452 | ||||
329 | Principal Financial Group, Inc. | 19,727 | ||||
688 | Progressive (The) Corp. | 65,780 | ||||
141 | Reinsurance Group of America, Inc. | 17,773 | ||||
98 | RenaissanceRe Holdings Ltd. | 15,705 | ||||
78 | RLI Corp. | 8,702 | ||||
116 | Safety Insurance Group, Inc. | 9,773 | ||||
54 | Selective Insurance Group, Inc. | 3,917 | ||||
381 | SiriusPoint Ltd. (a) | 3,875 | ||||
150 | Stewart Information Services Corp. | 7,805 | ||||
291 | Travelers (The) Cos., Inc. | 43,766 | ||||
76 | Trupanion, Inc. (a) | 5,792 | ||||
395 | Unum Group | 10,993 | ||||
123 | W.R. Berkley Corp. | 9,268 | ||||
9 | White Mountains Insurance Group Ltd. | 10,034 | ||||
915,234 | ||||||
Interactive Media & Services — 1.7% | ||||||
16 | Alphabet, Inc., Class C (a) | 33,098 | ||||
1,032 | Pinterest, Inc., Class A (a) | 76,399 | ||||
338 | QuinStreet, Inc. (a) | 6,862 | ||||
1,359 | Snap, Inc., Class A (a) | 71,062 | ||||
754 | Twitter, Inc. (a) | 47,977 | ||||
56 | Yelp, Inc. (a) | 2,184 | ||||
524 | Zillow Group, Inc., Class C (a) | 67,931 | ||||
305,513 | ||||||
Internet & Direct Marketing Retail — 1.5% | ||||||
209 | 1-800-Flowers.com, Inc., Class A (a) | 5,770 | ||||
8 | Amazon.com, Inc. (a) | 24,753 | ||||
227 | Chewy, Inc., Class A (a) | 19,229 | ||||
1,354 | eBay, Inc. | 82,919 | ||||
115 | Etsy, Inc. (a) | 23,192 | ||||
151 | Overstock.com, Inc. (a) | 10,005 | ||||
1,860 | Qurate Retail, Inc., Series A | 21,874 | ||||
186 | RealReal (The), Inc. (a) | 4,209 | ||||
233 | Revolve Group, Inc. (a) | 10,469 | ||||
76 | Shutterstock, Inc. | 6,767 | ||||
21 | Stamps.com, Inc. (a) | 4,190 | ||||
154 | Stitch Fix, Inc., Class A (a) | 7,629 | ||||
181 | Wayfair, Inc., Class A (a) | 56,970 | ||||
277,976 | ||||||
IT Services — 2.5% | ||||||
49 | Alliance Data Systems Corp. | 5,492 | ||||
46 | Black Knight, Inc. (a) | 3,404 | ||||
166 | Cognizant Technology Solutions Corp., Class A | 12,968 | ||||
81 | CSG Systems International, Inc. | 3,636 | ||||
114 | EPAM Systems, Inc. (a) | 45,223 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
IT Services (Continued) | ||||||
21 | ExlService Holdings, Inc. (a) | $ | 1,893 | |||
47 | Fastly, Inc., Class A (a) | 3,162 | ||||
76 | Gartner, Inc. (a) | 13,874 | ||||
296 | Genpact Ltd. | 12,675 | ||||
126 | Global Payments, Inc. | 25,399 | ||||
98 | GoDaddy, Inc., Class A (a) | 7,607 | ||||
324 | International Business Machines Corp. | 43,176 | ||||
223 | MAXIMUS, Inc. | 19,856 | ||||
57 | MongoDB, Inc. (a) | 15,243 | ||||
161 | Okta, Inc. (a) | 35,489 | ||||
174 | PayPal Holdings, Inc. (a) | 42,254 | ||||
313 | Square, Inc., Class A (a) | 71,067 | ||||
144 | Sykes Enterprises, Inc. (a) | 6,347 | ||||
99 | TTEC Holdings, Inc. | 9,945 | ||||
201 | Twilio, Inc., Class A (a) | 68,493 | ||||
369 | Unisys Corp. (a) | 9,380 | ||||
20 | WEX, Inc. (a) | 4,184 | ||||
460,767 | ||||||
Leisure Products — 0.6% | ||||||
214 | Brunswick Corp. | 20,409 | ||||
131 | Hasbro, Inc. | 12,592 | ||||
32 | Johnson Outdoors, Inc., Class A | 4,568 | ||||
416 | Mattel, Inc. (a) | 8,287 | ||||
135 | Peloton Interactive, Inc., Class A (a) | 15,179 | ||||
43 | Polaris, Inc. | 5,740 | ||||
204 | Smith & Wesson Brands, Inc. | 3,560 | ||||
305 | Vista Outdoor, Inc. (a) | 9,781 | ||||
298 | YETI Holdings, Inc. (a) | 21,519 | ||||
101,635 | ||||||
Life Sciences Tools & Services — 1.8% | ||||||
86 | 10X Genomics, Inc., Class A (a) | 15,566 | ||||
207 | Adaptive Biotechnologies Corp. (a) | 8,334 | ||||
230 | Agilent Technologies, Inc. | 29,242 | ||||
725 | Avantor, Inc. (a) | 20,974 | ||||
14 | Bio-Rad Laboratories, Inc., Class A (a) | 7,996 | ||||
39 | Bio-Techne Corp. | 14,895 | ||||
226 | Bruker Corp. | 14,527 | ||||
65 | Charles River Laboratories International, Inc. (a) | 18,839 | ||||
249 | Codexis, Inc. (a) | 5,700 | ||||
76 | IQVIA Holdings, Inc. (a) | 14,679 | ||||
117 | Medpace Holdings, Inc. (a) | 19,194 | ||||
24 | Mettler-Toledo International, Inc. (a) | 27,737 | ||||
54 | NanoString Technologies, Inc. (a) | 3,548 | ||||
379 | NeoGenomics, Inc. (a) | 18,279 | ||||
210 | Pacific Biosciences of California, Inc. (a) | 6,995 | ||||
114 | PerkinElmer, Inc. | 14,625 | ||||
248 | Personalis, Inc. (a) | 6,103 | ||||
98 | PRA Health Sciences, Inc. (a) | 15,026 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Life Sciences Tools & Services (Continued) | ||||||
117 | Quanterix Corp. (a) | $ | 6,841 | |||
106 | Repligen Corp. (a) | 20,608 | ||||
180 | Syneos Health, Inc. (a) | 13,653 | ||||
29 | Thermo Fisher Scientific, Inc. | 13,235 | ||||
33 | Waters Corp. (a) | 9,378 | ||||
325,974 | ||||||
Machinery — 2.5% | ||||||
79 | AGCO Corp. | 11,348 | ||||
26 | Alamo Group, Inc. | 4,060 | ||||
95 | Allison Transmission Holdings, Inc. | 3,879 | ||||
98 | Altra Industrial Motion Corp. | 5,421 | ||||
72 | Barnes Group, Inc. | 3,567 | ||||
150 | Caterpillar, Inc. | 34,781 | ||||
77 | Chart Industries, Inc. (a) | 10,961 | ||||
47 | Colfax Corp. (a) | 2,059 | ||||
120 | Cummins, Inc. | 31,093 | ||||
202 | Deere & Co. | 75,576 | ||||
219 | Donaldson Co., Inc. | 12,737 | ||||
134 | Evoqua Water Technologies Corp. (a) | 3,524 | ||||
49 | Flowserve Corp. | 1,902 | ||||
113 | Graco, Inc. | 8,093 | ||||
249 | Greenbrier (The) Cos., Inc. | 11,758 | ||||
34 | Helios Technologies, Inc. | 2,478 | ||||
61 | Hyster-Yale Materials Handling, Inc. | 5,314 | ||||
20 | IDEX Corp. | 4,186 | ||||
269 | Ingersoll Rand, Inc. (a) | 13,238 | ||||
106 | ITT, Inc. | 9,637 | ||||
13 | Kadant, Inc. | 2,405 | ||||
105 | Lincoln Electric Holdings, Inc. | 12,909 | ||||
28 | Lindsay Corp. | 4,665 | ||||
260 | Meritor, Inc. (a) | 7,649 | ||||
95 | Middleby (The) Corp. (a) | 15,746 | ||||
207 | Mueller Industries, Inc. | 8,559 | ||||
293 | Mueller Water Products, Inc., Class A | 4,070 | ||||
190 | Oshkosh Corp. | 22,545 | ||||
192 | Shyft Group (The), Inc. | 7,142 | ||||
119 | Snap-on, Inc. | 27,458 | ||||
33 | SPX Corp. (a) | 1,923 | ||||
70 | Standex International Corp. | 6,690 | ||||
76 | Stanley Black & Decker, Inc. | 15,175 | ||||
52 | Tennant Co. | 4,154 | ||||
70 | Timken (The) Co. | 5,682 | ||||
86 | Toro (The) Co. | 8,870 | ||||
137 | Trinity Industries, Inc. | 3,903 | ||||
15 | Watts Water Technologies, Inc., Class A | 1,782 | ||||
223 | Westinghouse Air Brake Technologies Corp. | 17,653 | ||||
101 | Woodward, Inc. | 12,184 | ||||
120 | Xylem, Inc. | 12,622 | ||||
459,398 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Marine — 0.0% | ||||||
96 | Matson, Inc. | $ | 6,403 | |||
Media — 2.7% | ||||||
1,796 | Altice USA, Inc., Class A (a) | 58,424 | ||||
203 | AMC Networks, Inc., Class A (a) (b) | 10,791 | ||||
6 | Cable One, Inc. | 10,970 | ||||
38 | Cardlytics, Inc. (a) | 4,169 | ||||
62 | Charter Communications, Inc., Class A (a) | 38,255 | ||||
779 | Comcast Corp., Class A | 42,152 | ||||
678 | Discovery, Inc., Class A (a) | 29,466 | ||||
631 | DISH Network Corp., Class A (a) | 22,842 | ||||
356 | E.W. Scripps (The) Co., Class A | 6,860 | ||||
2,336 | Fox Corp., Class A | 84,353 | ||||
507 | Gray Television, Inc. | 9,329 | ||||
521 | Interpublic Group of (The) Cos., Inc. | 15,213 | ||||
94 | Meredith Corp. (a) | 2,799 | ||||
246 | MSG Networks, Inc., Class A (a) | 3,700 | ||||
158 | New York Times (The) Co., Class A | 7,998 | ||||
909 | News Corp., Class A | 23,116 | ||||
150 | Nexstar Media Group, Inc., Class A | 21,064 | ||||
196 | Omnicom Group, Inc. | 14,533 | ||||
73 | Scholastic Corp. | 2,198 | ||||
92 | TechTarget, Inc. (a) | 6,389 | ||||
650 | TEGNA, Inc. | 12,240 | ||||
1,095 | ViacomCBS, Inc., Class B | 49,385 | ||||
850 | WideOpenWest, Inc. (a) | 11,552 | ||||
487,798 | ||||||
Metals & Mining — 1.3% | ||||||
243 | Arconic Corp. (a) | 6,170 | ||||
658 | Century Aluminum Co. (a) | 11,620 | ||||
623 | Cleveland-Cliffs, Inc. | 12,529 | ||||
701 | Coeur Mining, Inc. (a) | 6,330 | ||||
442 | Commercial Metals Co. | 13,631 | ||||
29 | Compass Minerals International, Inc. | 1,819 | ||||
2,614 | Freeport-McMoRan, Inc. (a) | 86,079 | ||||
840 | Hecla Mining Co. | 4,780 | ||||
28 | Materion Corp. | 1,855 | ||||
307 | Nucor Corp. | 24,643 | ||||
170 | Reliance Steel & Aluminum Co. | 25,889 | ||||
57 | Schnitzer Steel Industries, Inc., Class A | 2,382 | ||||
554 | Steel Dynamics, Inc. | 28,121 | ||||
255 | Warrior Met Coal, Inc. | 4,368 | ||||
177 | Worthington Industries, Inc. | 11,875 | ||||
242,091 | ||||||
Mortgage Real Estate Investment Trusts — 0.3% | ||||||
262 | AGNC Investment Corp. | 4,391 | ||||
483 | Annaly Capital Management, Inc. | 4,154 | ||||
325 | Apollo Commercial Real Estate Finance, Inc. | 4,540 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Mortgage Real Estate Investment Trusts (Continued) | ||||||
66 | Blackstone Mortgage Trust, Inc., Class A | $ | 2,046 | |||
177 | Chimera Investment Corp. | 2,248 | ||||
86 | Hannon Armstrong Sustainable Infrastructure Capital, Inc. | 4,825 | ||||
556 | Ladder Capital Corp. | 6,561 | ||||
846 | Starwood Property Trust, Inc. | 20,930 | ||||
49,695 | ||||||
Multiline Retail — 0.5% | ||||||
211 | Big Lots, Inc. | 14,411 | ||||
58 | Dillard’s, Inc., Class A | 5,601 | ||||
129 | Dollar General Corp. | 26,138 | ||||
126 | Dollar Tree, Inc. (a) | 14,422 | ||||
89 | Kohl’s Corp. | 5,305 | ||||
50 | Ollie’s Bargain Outlet Holdings, Inc. (a) | 4,350 | ||||
77 | Target Corp. | 15,252 | ||||
85,479 | ||||||
Multi-Utilities — 2.2% | ||||||
523 | Ameren Corp. | 42,551 | ||||
181 | Avista Corp. | 8,643 | ||||
189 | CenterPoint Energy, Inc. | 4,281 | ||||
446 | CMS Energy Corp. | 27,304 | ||||
753 | Consolidated Edison, Inc. | 56,324 | ||||
448 | DTE Energy Co. | 59,647 | ||||
775 | MDU Resources Group, Inc. | 24,498 | ||||
356 | NiSource, Inc. | 8,583 | ||||
124 | NorthWestern Corp. | 8,085 | ||||
1,167 | Public Service Enterprise Group, Inc. | 70,265 | ||||
534 | Sempra Energy | 70,798 | ||||
296 | WEC Energy Group, Inc. | 27,702 | ||||
408,681 | ||||||
Oil, Gas & Consumable Fuels — 2.8% | ||||||
706 | Antero Midstream Corp. | 6,375 | ||||
288 | APA Corp. | 5,155 | ||||
204 | Cheniere Energy, Inc. (a) | 14,690 | ||||
483 | Chevron Corp. | 50,614 | ||||
231 | Clean Energy Fuels Corp. (a) | 3,174 | ||||
680 | ConocoPhillips | 36,020 | ||||
84 | Diamondback Energy, Inc. | 6,173 | ||||
818 | EOG Resources, Inc. | 59,330 | ||||
2,031 | Equitrans Midstream Corp. | 16,573 | ||||
1,320 | Exxon Mobil Corp. | 73,696 | ||||
158 | HollyFrontier Corp. | 5,653 | ||||
1,991 | Kinder Morgan, Inc. | 33,150 | ||||
2,448 | Marathon Oil Corp. | 26,145 | ||||
150 | Murphy Oil Corp. | 2,461 | ||||
319 | ONEOK, Inc. | 16,161 | ||||
265 | PDC Energy, Inc. (a) | 9,116 | ||||
358 | Pioneer Natural Resources Co. | 56,858 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Oil, Gas & Consumable Fuels (Continued) | ||||||
128 | Renewable Energy Group, Inc. (a) | $ | 8,453 | |||
722 | Valero Energy Corp. | 51,695 | ||||
679 | Williams (The) Cos., Inc. | 16,085 | ||||
291 | World Fuel Services Corp. | 10,243 | ||||
507,820 | ||||||
Paper & Forest Products — 0.1% | ||||||
172 | Domtar Corp. | 6,355 | ||||
146 | Louisiana-Pacific Corp. | 8,097 | ||||
180 | Schweitzer-Mauduit International, Inc. | 8,815 | ||||
23,267 | ||||||
Personal Products — 0.3% | ||||||
1,292 | Coty, Inc., Class A (a) | 11,641 | ||||
157 | Edgewell Personal Care Co. | 6,217 | ||||
144 | elf Beauty, Inc. (a) | 3,863 | ||||
170 | Herbalife Nutrition Ltd. (a) | 7,541 | ||||
28 | Medifast, Inc. | 5,931 | ||||
100 | Nu Skin Enterprises, Inc., Class A | 5,289 | ||||
71 | USANA Health Sciences, Inc. (a) | 6,930 | ||||
47,412 | ||||||
Pharmaceuticals — 1.0% | ||||||
43 | Arvinas, Inc. (a) | 2,842 | ||||
523 | Catalent, Inc. (a) | 55,077 | ||||
277 | Corcept Therapeutics, Inc. (a) | 6,590 | ||||
133 | Elanco Animal Health, Inc. (a) | 3,917 | ||||
1,263 | Endo International PLC (a) | 9,359 | ||||
112 | Horizon Therapeutics PLC (a) | 10,308 | ||||
74 | Jazz Pharmaceuticals PLC (a) | 12,163 | ||||
86 | Johnson & Johnson | 14,134 | ||||
120 | NGM Biopharmaceuticals, Inc. (a) | 3,488 | ||||
438 | Ocular Therapeutix, Inc. (a) | 7,188 | ||||
274 | Perrigo Co. PLC | 11,089 | ||||
739 | Pfizer, Inc. | 26,774 | ||||
260 | Prestige Consumer Healthcare, Inc. (a) | 11,461 | ||||
361 | Supernus Pharmaceuticals, Inc. (a) | 9,451 | ||||
183,841 | ||||||
Professional Services — 0.9% | ||||||
43 | ASGN, Inc. (a) | 4,104 | ||||
94 | Booz Allen Hamilton Holding Corp. | 7,570 | ||||
82 | CACI International, Inc., Class A (a) | 20,226 | ||||
205 | CBIZ, Inc. (a) | 6,695 | ||||
106 | CoreLogic, Inc. | 8,401 | ||||
15 | CoStar Group, Inc. (a) | 12,328 | ||||
45 | Exponent, Inc. | 4,385 | ||||
37 | FTI Consulting, Inc. (a) | 5,184 | ||||
73 | ICF International, Inc. | 6,380 | ||||
22 | Insperity, Inc. | 1,842 | ||||
75 | Jacobs Engineering Group, Inc. | 9,695 | ||||
86 | Kforce, Inc. | 4,610 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Professional Services (Continued) | ||||||
116 | Leidos Holdings, Inc. | $ | 11,168 | |||
45 | ManpowerGroup, Inc. | 4,451 | ||||
41 | ManTech International Corp., Class A | 3,565 | ||||
196 | Robert Half International, Inc. | 15,302 | ||||
129 | Science Applications International Corp. | 10,783 | ||||
152 | TriNet Group, Inc. (a) | 11,850 | ||||
263 | Upwork, Inc. (a) | 11,775 | ||||
160,314 | ||||||
Real Estate Management & Development — 0.8% | ||||||
651 | CBRE Group, Inc., Class A (a) | 51,501 | ||||
288 | eXp World Holdings, Inc. (a) | 13,118 | ||||
360 | Forestar Group, Inc. (a) | 8,381 | ||||
23 | Howard Hughes (The) Corp. (a) | 2,188 | ||||
138 | Jones Lang LaSalle, Inc. (a) | 24,707 | ||||
97 | Marcus & Millichap, Inc. (a) | 3,269 | ||||
995 | Newmark Group, Inc., Class A | 9,955 | ||||
297 | Redfin Corp. (a) | 19,777 | ||||
214 | St Joe (The) Co. | 9,181 | ||||
142,077 | ||||||
Road & Rail — 1.0% | ||||||
45 | AMERCO | 27,567 | ||||
213 | ArcBest Corp. | 14,989 | ||||
146 | Avis Budget Group, Inc. (a) | 10,591 | ||||
60 | J.B. Hunt Transport Services, Inc. | 10,084 | ||||
61 | Landstar System, Inc. | 10,069 | ||||
249 | Lyft, Inc., Class A (a) | 15,732 | ||||
88 | Ryder System, Inc. | 6,657 | ||||
40 | Saia, Inc. (a) | 9,223 | ||||
438 | Schneider National, Inc., Class B | 10,937 | ||||
1,067 | Uber Technologies, Inc. (a) | 58,162 | ||||
174,011 | ||||||
Semiconductors & Semiconductor Equipment — 5.1% | ||||||
22 | ACM Research, Inc., Class A (a) | 1,777 | ||||
75 | Advanced Energy Industries, Inc. | 8,188 | ||||
593 | Advanced Micro Devices, Inc. (a) | 46,550 | ||||
601 | Amkor Technology, Inc. | 14,250 | ||||
315 | Applied Materials, Inc. | 42,084 | ||||
125 | Axcelis Technologies, Inc. (a) | 5,136 | ||||
62 | Broadcom, Inc. | 28,747 | ||||
60 | Brooks Automation, Inc. | 4,899 | ||||
149 | Cirrus Logic, Inc. (a) | 12,634 | ||||
27 | CMC Materials, Inc. | 4,773 | ||||
190 | Cohu, Inc. (a) | 7,950 | ||||
116 | Enphase Energy, Inc. (a) | 18,810 | ||||
212 | Entegris, Inc. | 23,702 | ||||
83 | First Solar, Inc. (a) | 7,246 | ||||
169 | FormFactor, Inc. (a) | 7,623 | ||||
60 | Ichor Holdings Ltd. (a) | 3,228 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Semiconductors & Semiconductor Equipment (Continued) | ||||||
87 | Impinj, Inc. (a) | $ | 4,948 | |||
1,365 | Intel Corp. | 87,360 | ||||
210 | KLA Corp. | 69,384 | ||||
144 | Lam Research Corp. | 85,714 | ||||
356 | Lattice Semiconductor Corp. (a) | 16,027 | ||||
132 | MACOM Technology Solutions Holdings, Inc. (a) | 7,659 | ||||
859 | Marvell Technology Group Ltd. | 42,074 | ||||
190 | MaxLinear, Inc. (a) | 6,475 | ||||
99 | Microchip Technology, Inc. | 15,367 | ||||
724 | Micron Technology, Inc. (a) | 63,864 | ||||
81 | MKS Instruments, Inc. | 15,019 | ||||
56 | Monolithic Power Systems, Inc. | 19,780 | ||||
26 | NVIDIA Corp. | 13,882 | ||||
249 | ON Semiconductor Corp. (a) | 10,361 | ||||
66 | Power Integrations, Inc. | 5,378 | ||||
409 | Qorvo, Inc. (a) | 74,724 | ||||
357 | QUALCOMM, Inc. | 47,335 | ||||
25 | Semtech Corp. (a) | 1,725 | ||||
32 | Silicon Laboratories, Inc. (a) | 4,514 | ||||
32 | SiTime Corp. (a) | 3,155 | ||||
48 | SMART Global Holdings, Inc. (a) | 2,209 | ||||
19 | Synaptics, Inc. (a) | 2,573 | ||||
567 | Teradyne, Inc. | 68,992 | ||||
116 | Ultra Clean Holdings, Inc. (a) | 6,733 | ||||
53 | Universal Display Corp. | 12,549 | ||||
313 | Veeco Instruments, Inc. (a) | 6,492 | ||||
931,890 | ||||||
Software — 6.3% | ||||||
263 | 8x8, Inc. (a) | 8,532 | ||||
94 | ACI Worldwide, Inc. (a) | 3,577 | ||||
142 | Agilysys, Inc. (a) | 6,810 | ||||
88 | Alarm.com Holdings, Inc. (a) | 7,601 | ||||
62 | Altair Engineering, Inc., Class A (a) | 3,879 | ||||
34 | Alteryx, Inc., Class A (a) | 2,821 | ||||
170 | Anaplan, Inc. (a) | 9,154 | ||||
56 | Appian Corp. (a) | 7,445 | ||||
134 | Autodesk, Inc. (a) | 37,138 | ||||
99 | Avalara, Inc. (a) | 13,210 | ||||
150 | Bill.com Holdings, Inc. (a) | 21,825 | ||||
153 | Blackline, Inc. (a) | 16,585 | ||||
399 | Cadence Design Systems, Inc. (a) | 54,659 | ||||
158 | CDK Global, Inc. | 8,541 | ||||
90 | Cerence, Inc. (a) | 8,062 | ||||
115 | Ceridian HCM Holding, Inc. (a) | 9,691 | ||||
269 | Cloudflare, Inc., Class A (a) | 18,900 | ||||
33 | CommVault Systems, Inc. (a) | 2,128 | ||||
120 | Coupa Software, Inc. (a) | 30,538 | ||||
321 | Crowdstrike Holdings, Inc., Class A (a) | 58,586 | ||||
160 | Digital Turbine, Inc. (a) | 12,858 | ||||
61 | DocuSign, Inc. (a) | 12,349 | ||||
142 | Domo, Inc., Class B (a) | 7,993 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
368 | Dropbox, Inc., Class A (a) | $ | 9,811 | |||
94 | Dynatrace, Inc. (a) | 4,535 | ||||
191 | Ebix, Inc. | 6,118 | ||||
140 | Elastic N.V. (a) | 15,568 | ||||
50 | Envestnet, Inc. (a) | 3,611 | ||||
55 | Everbridge, Inc. (a) | 6,665 | ||||
16 | Fair Isaac Corp. (a) | 7,777 | ||||
315 | FireEye, Inc. (a) | 6,165 | ||||
117 | Five9, Inc. (a) | 18,291 | ||||
92 | Fortinet, Inc. (a) | 16,967 | ||||
32 | Guidewire Software, Inc. (a) | 3,252 | ||||
51 | HubSpot, Inc. (a) | 23,165 | ||||
60 | InterDigital, Inc. | 3,807 | ||||
72 | Intuit, Inc. | 27,580 | ||||
56 | J2 Global, Inc. (a) | 6,712 | ||||
58 | LivePerson, Inc. (a) | 3,059 | ||||
246 | Medallia, Inc. (a) | 6,861 | ||||
32 | Mimecast Ltd. (a) | 1,287 | ||||
62 | New Relic, Inc. (a) | 3,812 | ||||
370 | Nuance Communications, Inc. (a) | 16,147 | ||||
384 | Nutanix, Inc., Class A (a) | 10,199 | ||||
131 | PagerDuty, Inc. (a) | 5,270 | ||||
191 | Palo Alto Networks, Inc. (a) | 61,513 | ||||
150 | Paycom Software, Inc. (a) | 55,509 | ||||
79 | Paylocity Holding Corp. (a) | 14,207 | ||||
61 | Pegasystems, Inc. | 6,975 | ||||
90 | Proofpoint, Inc. (a) | 11,321 | ||||
171 | PTC, Inc. (a) | 23,538 | ||||
129 | Q2 Holdings, Inc. (a) | 12,926 | ||||
57 | QAD, Inc., Class A | 3,795 | ||||
67 | Qualys, Inc. (a) | 7,020 | ||||
80 | Rapid7, Inc. (a) | 5,969 | ||||
144 | RingCentral, Inc., Class A (a) | 42,895 | ||||
136 | Sailpoint Technologies Holding, Inc. (a) | 6,887 | ||||
74 | ServiceNow, Inc. (a) | 37,008 | ||||
236 | Smartsheet, Inc., Class A (a) | 15,085 | ||||
80 | Sprout Social, Inc., Class A (a) | 4,621 | ||||
33 | SPS Commerce, Inc. (a) | 3,277 | ||||
187 | SS&C Technologies Holdings, Inc. | 13,066 | ||||
157 | Synopsys, Inc. (a) | 38,901 | ||||
139 | Tenable Holdings, Inc. (a) | 5,030 | ||||
161 | Teradata Corp. (a) | 6,205 | ||||
85 | Trade Desk (The), Inc., Class A (a) | 55,391 | ||||
31 | Tyler Technologies, Inc. (a) | 13,160 | ||||
40 | Upland Software, Inc. (a) | 1,888 | ||||
66 | Varonis Systems, Inc. (a) | 3,388 | ||||
106 | Verint Systems, Inc. (a) | 4,822 | ||||
255 | Veritone, Inc. (a) | 6,115 | ||||
57 | Workday, Inc., Class A (a) | 14,160 | ||||
79 | Workiva, Inc. (a) | 6,972 | ||||
143 | Zendesk, Inc. (a) | 18,965 | ||||
40 | Zoom Video Communications, Inc., Class A (a) | 12,852 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
341 | Zscaler, Inc. (a) | $ | 58,539 | |||
1,141,541 | ||||||
Specialty Retail — 2.7% | ||||||
356 | Abercrombie & Fitch Co., Class A (a) | 12,214 | ||||
78 | Advance Auto Parts, Inc. | 14,312 | ||||
37 | Asbury Automotive Group, Inc. (a) | 7,271 | ||||
292 | AutoNation, Inc. (a) | 27,220 | ||||
102 | Bed Bath & Beyond, Inc. (a) | 2,973 | ||||
545 | Best Buy Co., Inc. | 62,572 | ||||
212 | Blink Charging Co. (a) (b) | 8,713 | ||||
42 | Boot Barn Holdings, Inc. (a) | 2,617 | ||||
186 | Buckle (The), Inc. | 7,306 | ||||
31 | Burlington Stores, Inc. (a) | 9,263 | ||||
144 | CarMax, Inc. (a) | 19,103 | ||||
51 | Carvana Co. (a) | 13,382 | ||||
129 | Dick’s Sporting Goods, Inc. | 9,823 | ||||
93 | Five Below, Inc. (a) | 17,744 | ||||
220 | Floor & Decor Holdings, Inc., Class A (a) | 21,006 | ||||
224 | Foot Locker, Inc. | 12,600 | ||||
55 | Group 1 Automotive, Inc. | 8,679 | ||||
226 | GrowGeneration Corp. (a) | 11,230 | ||||
28 | Lithia Motors, Inc., Class A | 10,923 | ||||
170 | Lowe’s Cos., Inc. | 32,331 | ||||
295 | Lumber Liquidators Holdings, Inc. (a) | 7,410 | ||||
697 | Michaels (The) Cos., Inc. (a) | 15,292 | ||||
34 | Monro, Inc. | 2,237 | ||||
40 | National Vision Holdings, Inc. (a) | 1,753 | ||||
122 | Penske Automotive Group, Inc. | 9,789 | ||||
190 | Rent-A-Center, Inc. | 10,955 | ||||
36 | RH (a) | 21,478 | ||||
67 | Signet Jewelers Ltd. (a) | 3,885 | ||||
111 | Sleep Number Corp. (a) | 15,927 | ||||
97 | Tractor Supply Co. | 17,177 | ||||
43 | Ulta Beauty, Inc. (a) | 13,294 | ||||
142 | Urban Outfitters, Inc. (a) | 5,281 | ||||
200 | Williams-Sonoma, Inc. | 35,840 | ||||
247 | Zumiez, Inc. (a) | 10,596 | ||||
482,196 | ||||||
Technology Hardware, Storage & Peripherals — 1.0% | ||||||
308 | Apple, Inc. | 37,622 | ||||
557 | Dell Technologies, Inc., Class C (a) | 49,099 | ||||
1,378 | Hewlett Packard Enterprise Co. | 21,690 | ||||
145 | NCR Corp. (a) | 5,503 | ||||
123 | NetApp, Inc. | 8,938 | ||||
722 | Pure Storage, Inc., Class A (a) | 15,552 | ||||
197 | Seagate Technology PLC | 15,120 | ||||
172 | Super Micro Computer, Inc. (a) | 6,718 | ||||
221 | Western Digital Corp. | 14,752 |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Technology Hardware, Storage & Peripherals (Continued) | ||||||
391 | Xerox Holdings Corp. | $ | 9,490 | |||
184,484 | ||||||
Textiles, Apparel & Luxury Goods — 0.5% | ||||||
19 | Carter’s, Inc. | 1,690 | ||||
93 | Columbia Sportswear Co. | 9,824 | ||||
116 | Crocs, Inc. (a) | 9,332 | ||||
71 | Deckers Outdoor Corp. (a) | 23,460 | ||||
382 | G-III Apparel Group Ltd. (a) | 11,513 | ||||
1,120 | Hanesbrands, Inc. | 22,030 | ||||
227 | Skechers U.S.A., Inc., Class A (a) | 9,468 | ||||
233 | Tapestry, Inc. (a) | 9,602 | ||||
96,919 | ||||||
Thrifts & Mortgage Finance — 0.9% | ||||||
145 | Axos Financial, Inc. (a) | 6,816 | ||||
145 | Capitol Federal Financial, Inc. | 1,921 | ||||
472 | Essent Group Ltd. | 22,415 | ||||
223 | Flagstar Bancorp, Inc. | 10,057 | ||||
344 | Kearny Financial Corp. | 4,155 | ||||
198 | Meta Financial Group, Inc. | 8,971 | ||||
723 | MGIC Investment Corp. | 10,014 | ||||
292 | Mr. Cooper Group, Inc. (a) | 10,150 | ||||
1,548 | New York Community Bancorp, Inc. | 19,536 | ||||
400 | NMI Holdings, Inc., Class A (a) | 9,456 | ||||
142 | Northwest Bancshares, Inc. | 2,052 | ||||
111 | PennyMac Financial Services, Inc. | 7,423 | ||||
237 | Premier Financial Corp. | 7,883 | ||||
303 | Provident Financial Services, Inc. | 6,751 | ||||
448 | Radian Group, Inc. | 10,416 | ||||
79 | Walker & Dunlop, Inc. | 8,116 | ||||
282 | Washington Federal, Inc. | 8,686 | ||||
81 | WSFS Financial Corp. | 4,033 | ||||
158,851 | ||||||
Tobacco — 0.1% | ||||||
187 | Universal Corp. | 11,031 | ||||
Trading Companies & Distributors — 0.7% | ||||||
204 | Air Lease Corp. | 9,996 | ||||
47 | Applied Industrial Technologies, Inc. | 4,285 | ||||
45 | Beacon Roofing Supply, Inc. (a) | 2,355 | ||||
190 | Boise Cascade Co. | 11,368 | ||||
87 | GATX Corp. | 8,068 | ||||
119 | GMS, Inc. (a) | 4,968 | ||||
122 | H&E Equipment Services, Inc. | 4,636 | ||||
82 | Herc Holdings, Inc. (a) | 8,309 | ||||
43 | MSC Industrial Direct Co., Inc., Class A | 3,878 | ||||
88 | Rush Enterprises, Inc., Class A | 4,385 | ||||
129 | SiteOne Landscape Supply, Inc. (a) | 22,026 | ||||
51 | Systemax, Inc. | 2,097 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Trading Companies & Distributors (Continued) | ||||||
37 | Triton International Ltd. | $ | 2,035 | |||
88 | United Rentals, Inc. (a) | 28,979 | ||||
95 | Univar Solutions, Inc. (a) | 2,046 | ||||
36 | Watsco, Inc. | 9,387 | ||||
46 | WESCO International, Inc. (a) | 3,980 | ||||
132,798 | ||||||
Water Utilities — 0.0% | ||||||
86 | Essential Utilities, Inc. | 3,848 | ||||
26 | SJW Group | 1,638 | ||||
5,486 | ||||||
Wireless Telecommunication Services — 0.3% | ||||||
488 | Telephone and Data Systems, Inc. | 11,204 | ||||
202 | T-Mobile US, Inc. (a) | 25,309 | ||||
296 | United States Cellular Corp. (a) | 10,798 | ||||
47,311 | ||||||
Total Common Stocks — 99.9% | 18,170,017 | |||||
(Cost $13,831,741) | ||||||
Money Market Funds — 0.2% | ||||||
19,849 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.02% (d) (e) | 19,849 | ||||
10,758 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class 0.01% (d) | 10,758 | ||||
Total Money Market Funds — 0.2% | 30,607 | |||||
(Cost $30,607) | ||||||
Total Investments — 100.1% | 18,200,624 | |||||
(Cost $13,862,348) (f) | ||||||
Net Other Assets and Liabilities — (0.1)% | (13,661 | ) | ||||
Net Assets — 100.0% | $ | 18,186,963 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $19,323 and the total value of the collateral held by the Fund is $19,849. |
(c) | This security may be resold to qualified foreign investors and foreign institutional buyers under Regulation S of the Securities Act of 1933, as amended. |
(d) | Rate shown reflects yield as of March 31, 2021. |
(e) | This security serves as collateral for securities on loan. |
First Trust Total US Market AlphaDEX® ETF (TUSA) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
(f) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $4,472,558 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $134,282. The net unrealized appreciation was $4,338,276. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 18,170,017 | $ | — | $ | — | ||||||
Money Market Funds | 30,607 | — | — | |||||||||
Total Investments | $ | 18,200,624 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Dorsey Wright People’s Portfolio ETF (DWPP) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Aerospace & Defense — 1.7% | ||||||
186 | Boeing (The) Co. (a) | $ | 47,378 | |||
77 | General Dynamics Corp. | 13,980 | ||||
14 | HEICO Corp. | 1,761 | ||||
64 | L3Harris Technologies, Inc. | 12,971 | ||||
84 | Lockheed Martin Corp. | 31,038 | ||||
48 | Northrop Grumman Corp. | 15,535 | ||||
485 | Raytheon Technologies Corp. | 37,476 | ||||
9 | Teledyne Technologies, Inc. (a) | 3,723 | ||||
14 | TransDigm Group, Inc. (a) | 8,231 | ||||
172,093 | ||||||
Air Freight & Logistics — 0.6% | ||||||
51 | Expeditors International of Washington, Inc. | 5,492 | ||||
74 | FedEx Corp. | 21,019 | ||||
230 | United Parcel Service, Inc., Class B | 39,098 | ||||
65,609 | ||||||
Airlines — 0.2% | ||||||
204 | Delta Air Lines, Inc. (a) | 9,849 | ||||
168 | Southwest Airlines Co. (a) | 10,258 | ||||
91 | United Airlines Holdings, Inc. (a) | 5,236 | ||||
25,343 | ||||||
Auto Components — 0.1% | ||||||
79 | Aptiv PLC (a) | 10,894 | ||||
Automobiles — 2.0% | ||||||
1,247 | Ford Motor Co. (a) | 15,276 | ||||
382 | General Motors Co. (a) | 21,950 | ||||
251 | Tesla, Inc. (a) | 167,650 | ||||
204,876 | ||||||
Banks — 4.5% | ||||||
2,425 | Bank of America Corp. | 93,823 | ||||
666 | Citigroup, Inc. | 48,451 | ||||
117 | Citizens Financial Group, Inc. | 5,166 | ||||
195 | Fifth Third Bancorp | 7,303 | ||||
56 | First Republic Bank | 9,338 | ||||
305 | Huntington Bancshares, Inc. | 4,795 | ||||
974 | JPMorgan Chase & Co. | 148,272 | ||||
269 | KeyCorp | 5,375 | ||||
38 | M&T Bank Corp. | 5,761 | ||||
127 | PNC Financial Services Group (The), Inc. | 22,277 | ||||
288 | Regions Financial Corp. | 5,950 | ||||
16 | SVB Financial Group (a) | 7,899 | ||||
404 | Truist Financial Corp. | 23,561 | ||||
436 | U.S. Bancorp | 24,115 | ||||
1,319 | Wells Fargo & Co. | 51,533 | ||||
463,619 | ||||||
Beverages — 1.6% | ||||||
99 | Brown-Forman Corp., Class B | 6,828 | ||||
1,251 | Coca-Cola (The) Co. | 65,940 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Beverages (Continued) | ||||||
54 | Constellation Brands, Inc., Class A | $ | 12,312 | |||
260 | Keurig Dr Pepper, Inc. | 8,936 | ||||
111 | Monster Beverage Corp. (a) | 10,111 | ||||
440 | PepsiCo, Inc. | 62,238 | ||||
166,365 | ||||||
Biotechnology — 2.1% | ||||||
564 | AbbVie, Inc. | 61,036 | ||||
66 | Alexion Pharmaceuticals, Inc. (a) | 10,092 | ||||
29 | Alnylam Pharmaceuticals, Inc. (a) | 4,095 | ||||
164 | Amgen, Inc. | 40,805 | ||||
41 | Biogen, Inc. (a) | 11,470 | ||||
42 | BioMarin Pharmaceutical, Inc. (a) | 3,171 | ||||
45 | Exact Sciences Corp. (a) | 5,930 | ||||
337 | Gilead Sciences, Inc. | 21,780 | ||||
55 | Incyte Corp. (a) | 4,470 | ||||
110 | Moderna, Inc. (a) | 14,404 | ||||
19 | Novavax, Inc. (a) | 3,445 | ||||
26 | Regeneron Pharmaceuticals, Inc. (a) | 12,302 | ||||
52 | Seagen, Inc. (a) | 7,221 | ||||
71 | Vertex Pharmaceuticals, Inc. (a) | 15,257 | ||||
215,478 | ||||||
Building Products — 0.4% | ||||||
247 | Carrier Global Corp. | 10,428 | ||||
229 | Johnson Controls International PLC | 13,665 | ||||
78 | Masco Corp. | 4,672 | ||||
76 | Trane Technologies PLC | 12,583 | ||||
41,348 | ||||||
Capital Markets — 3.1% | ||||||
35 | Ameriprise Financial, Inc. | 8,136 | ||||
258 | Bank of New York Mellon (The) Corp. | 12,201 | ||||
46 | BlackRock, Inc. | 34,682 | ||||
218 | Blackstone Group (The), Inc. | 16,248 | ||||
535 | Charles Schwab (The) Corp. | 34,871 | ||||
104 | CME Group, Inc. | 21,240 | ||||
97 | Franklin Resources, Inc. | 2,871 | ||||
110 | Goldman Sachs Group (The), Inc. | 35,970 | ||||
179 | Intercontinental Exchange, Inc. | 19,991 | ||||
184 | KKR & Co., Inc. | 8,988 | ||||
11 | MarketAxess Holdings, Inc. | 5,477 | ||||
52 | Moody’s Corp. | 15,528 | ||||
428 | Morgan Stanley | 33,238 | ||||
25 | MSCI, Inc. | 10,482 | ||||
34 | Nasdaq, Inc. | 5,014 | ||||
66 | Northern Trust Corp. | 6,937 | ||||
40 | Raymond James Financial, Inc. | 4,902 | ||||
77 | S&P Global, Inc. | 27,171 | ||||
106 | State Street Corp. | 8,905 | ||||
68 | T. Rowe Price Group, Inc. | 11,669 | ||||
324,521 | ||||||
First Trust Dorsey Wright People’s Portfolio ETF (DWPP) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Chemicals — 1.2% | ||||||
66 | Air Products and Chemicals, Inc. | $ | 18,568 | |||
37 | Albemarle Corp. | 5,406 | ||||
34 | Celanese Corp. | 5,094 | ||||
237 | Corteva, Inc. | 11,049 | ||||
221 | Dow, Inc. | 14,131 | ||||
161 | DuPont de Nemours, Inc. | 12,442 | ||||
37 | Eastman Chemical Co. | 4,074 | ||||
81 | Ecolab, Inc. | 17,340 | ||||
41 | FMC Corp. | 4,535 | ||||
63 | LyondellBasell Industries N.V., Class A | 6,555 | ||||
72 | PPG Industries, Inc. | 10,819 | ||||
26 | Sherwin-Williams (The) Co. | 19,188 | ||||
129,201 | ||||||
Commercial Services & Supplies — 0.4% | ||||||
29 | Cintas Corp. | 9,898 | ||||
70 | Copart, Inc. (a) | 7,603 | ||||
67 | Republic Services, Inc. | 6,656 | ||||
86 | Rollins, Inc. | 2,960 | ||||
128 | Waste Management, Inc. | 16,515 | ||||
43,632 | ||||||
Communications Equipment — 0.8% | ||||||
19 | Arista Networks, Inc. (a) | 5,736 | ||||
1,347 | Cisco Systems, Inc. | 69,653 | ||||
51 | Motorola Solutions, Inc. | 9,590 | ||||
2 | Ubiquiti, Inc. | 597 | ||||
85,576 | ||||||
Construction Materials — 0.1% | ||||||
19 | Martin Marietta Materials, Inc. | 6,381 | ||||
39 | Vulcan Materials Co. | 6,581 | ||||
12,962 | ||||||
Consumer Finance — 0.7% | ||||||
119 | Ally Financial, Inc. | 5,380 | ||||
208 | American Express Co. | 29,419 | ||||
138 | Capital One Financial Corp. | 17,558 | ||||
92 | Discover Financial Services | 8,739 | ||||
160 | Synchrony Financial | 6,506 | ||||
67,602 | ||||||
Containers & Packaging — 0.2% | ||||||
23 | Avery Dennison Corp. | 4,224 | ||||
92 | Ball Corp. | 7,796 | ||||
104 | International Paper Co. | 5,623 | ||||
23 | Packaging Corp. of America | 3,093 | ||||
20,736 | ||||||
Distributors — 0.1% | ||||||
43 | Genuine Parts Co. | 4,970 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Distributors (Continued) | ||||||
11 | Pool Corp. | $ | 3,798 | |||
8,768 | ||||||
Diversified Financial Services — 1.0% | ||||||
411 | Berkshire Hathaway, Inc., Class B (a) | 104,998 | ||||
Diversified Telecommunication Services — 1.4% | ||||||
2,276 | AT&T, Inc. | 68,895 | ||||
298 | Lumen Technologies, Inc. | 3,978 | ||||
1,321 | Verizon Communications, Inc. | 76,816 | ||||
149,689 | ||||||
Electric Utilities — 1.5% | ||||||
141 | American Electric Power Co., Inc. | 11,943 | ||||
19 | Avangrid, Inc. | 946 | ||||
233 | Duke Energy Corp. | 22,492 | ||||
115 | Edison International | 6,739 | ||||
61 | Entergy Corp. | 6,068 | ||||
95 | Eversource Energy | 8,226 | ||||
296 | Exelon Corp. | 12,947 | ||||
165 | FirstEnergy Corp. | 5,724 | ||||
594 | NextEra Energy, Inc. | 44,912 | ||||
437 | PG&E Corp. (a) | 5,117 | ||||
231 | PPL Corp. | 6,662 | ||||
320 | Southern (The) Co. | 19,891 | ||||
141 | Xcel Energy, Inc. | 9,378 | ||||
161,045 | ||||||
Electrical Equipment — 0.7% | ||||||
74 | AMETEK, Inc. | 9,452 | ||||
127 | Eaton Corp. PLC | 17,562 | ||||
191 | Emerson Electric Co. | 17,232 | ||||
17 | Generac Holdings, Inc. (a) | 5,567 | ||||
149 | Plug Power, Inc. (a) | 5,340 | ||||
37 | Rockwell Automation, Inc. | 9,821 | ||||
50 | Sunrun, Inc. (a) | 3,024 | ||||
67,998 | ||||||
Electronic Equipment, Instruments & Components — 0.6% | ||||||
166 | Amphenol Corp., Class A | 10,951 | ||||
45 | CDW Corp. | 7,459 | ||||
49 | Cognex Corp. | 4,066 | ||||
245 | Corning, Inc. | 10,660 | ||||
52 | Keysight Technologies, Inc. (a) | 7,457 | ||||
100 | TE Connectivity Ltd. | 12,911 | ||||
66 | Trimble, Inc. (a) | 5,134 | ||||
16 | Zebra Technologies Corp., Class A (a) | 7,763 | ||||
66,401 | ||||||
First Trust Dorsey Wright People’s Portfolio ETF (DWPP) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Energy Equipment & Services — 0.2% | ||||||
167 | Baker Hughes Co. | $ | 3,609 | |||
264 | Halliburton Co. | 5,665 | ||||
446 | Schlumberger N.V. | 12,127 | ||||
21,401 | ||||||
Entertainment — 2.2% | ||||||
220 | Activision Blizzard, Inc. | 20,460 | ||||
86 | Electronic Arts, Inc. | 11,642 | ||||
49 | Liberty Media Corp.-Liberty Formula One, Class C (a) | 2,121 | ||||
48 | Live Nation Entertainment, Inc. (a) | 4,063 | ||||
131 | Netflix, Inc. (a) | 68,337 | ||||
32 | Roku, Inc. (a) | 10,425 | ||||
34 | Take-Two Interactive Software, Inc. (a) | 6,008 | ||||
579 | Walt Disney (The) Co. (a) | 106,837 | ||||
229,893 | ||||||
Equity Real Estate Investment Trusts — 2.3% | ||||||
37 | Alexandria Real Estate Equities, Inc. | 6,079 | ||||
135 | American Tower Corp. | 32,273 | ||||
41 | AvalonBay Communities, Inc. | 7,565 | ||||
42 | Boston Properties, Inc. | 4,253 | ||||
138 | Crown Castle International Corp. | 23,754 | ||||
79 | Digital Realty Trust, Inc. | 11,126 | ||||
111 | Duke Realty Corp. | 4,654 | ||||
27 | Equinix, Inc. | 18,349 | ||||
101 | Equity Residential | 7,235 | ||||
19 | Essex Property Trust, Inc. | 5,165 | ||||
39 | Extra Space Storage, Inc. | 5,170 | ||||
160 | Healthpeak Properties, Inc. | 5,078 | ||||
170 | Invitation Homes, Inc. | 5,438 | ||||
34 | Mid-America Apartment Communities, Inc. | 4,908 | ||||
222 | Prologis, Inc. | 23,532 | ||||
46 | Public Storage | 11,351 | ||||
112 | Realty Income Corp. | 7,112 | ||||
33 | SBA Communications Corp. | 9,159 | ||||
97 | Simon Property Group, Inc. | 11,036 | ||||
32 | Sun Communities, Inc. | 4,801 | ||||
105 | Ventas, Inc. | 5,601 | ||||
163 | VICI Properties, Inc. | 4,603 | ||||
124 | Welltower, Inc. | 8,882 | ||||
205 | Weyerhaeuser Co. | 7,298 | ||||
234,422 | ||||||
Food & Staples Retailing — 1.4% | ||||||
141 | Costco Wholesale Corp. | 49,700 | ||||
226 | Kroger (The) Co. | 8,134 | ||||
163 | Sysco Corp. | 12,834 | ||||
229 | Walgreens Boots Alliance, Inc. | 12,572 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food & Staples Retailing (Continued) | ||||||
460 | Walmart, Inc. | $ | 62,482 | |||
145,722 | ||||||
Food Products — 0.9% | ||||||
162 | Archer-Daniels-Midland Co. | 9,234 | ||||
66 | Campbell Soup Co. | 3,318 | ||||
137 | Conagra Brands, Inc. | 5,151 | ||||
195 | General Mills, Inc. | 11,957 | ||||
43 | Hershey (The) Co. | 6,801 | ||||
91 | Hormel Foods Corp. | 4,348 | ||||
33 | J.M. Smucker (The) Co. | 4,176 | ||||
83 | Kellogg Co. | 5,254 | ||||
219 | Kraft Heinz (The) Co. | 8,760 | ||||
64 | McCormick & Co., Inc. | 5,706 | ||||
451 | Mondelez International, Inc., Class A | 26,397 | ||||
94 | Tyson Foods, Inc., Class A | 6,984 | ||||
98,086 | ||||||
Health Care Equipment & Supplies — 3.6% | ||||||
565 | Abbott Laboratories | 67,710 | ||||
13 | ABIOMED, Inc. (a) | 4,143 | ||||
23 | Align Technology, Inc. (a) | 12,455 | ||||
153 | Baxter International, Inc. | 12,904 | ||||
87 | Becton, Dickinson and Co. | 21,154 | ||||
452 | Boston Scientific Corp. (a) | 17,470 | ||||
14 | Cooper (The) Cos., Inc. | 5,377 | ||||
214 | Danaher Corp. | 48,167 | ||||
25 | Dexcom, Inc. (a) | 8,985 | ||||
189 | Edwards Lifesciences Corp. (a) | 15,808 | ||||
57 | Hologic, Inc. (a) | 4,240 | ||||
26 | IDEXX Laboratories, Inc. (a) | 12,722 | ||||
14 | Insulet Corp. (a) | 3,653 | ||||
35 | Intuitive Surgical, Inc. (a) | 25,863 | ||||
14 | Masimo Corp. (a) | 3,215 | ||||
408 | Medtronic PLC | 48,197 | ||||
19 | Novocure Ltd. (a) | 2,511 | ||||
41 | ResMed, Inc. | 7,955 | ||||
24 | STERIS PLC | 4,572 | ||||
104 | Stryker Corp. | 25,332 | ||||
13 | Teleflex, Inc. | 5,401 | ||||
21 | West Pharmaceutical Services, Inc. | 5,917 | ||||
63 | Zimmer Biomet Holdings, Inc. | 10,085 | ||||
373,836 | ||||||
Health Care Providers & Services — 2.6% | ||||||
47 | AmerisourceBergen Corp. | 5,549 | ||||
78 | Anthem, Inc. | 27,998 | ||||
88 | Cardinal Health, Inc. | 5,346 | ||||
150 | Centene Corp. (a) | 9,586 | ||||
103 | Cigna Corp. | 24,899 | ||||
418 | CVS Health Corp. | 31,446 |
First Trust Dorsey Wright People’s Portfolio ETF (DWPP) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Providers & Services (Continued) | ||||||
23 | DaVita, Inc. (a) | $ | 2,479 | |||
30 | Guardant Health, Inc. (a) | 4,579 | ||||
78 | HCA Healthcare, Inc. | 14,691 | ||||
35 | Humana, Inc. | 14,674 | ||||
31 | Laboratory Corp. of America Holdings (a) | 7,906 | ||||
48 | McKesson Corp. | 9,362 | ||||
14 | Molina Healthcare, Inc. (a) | 3,273 | ||||
40 | Quest Diagnostics, Inc. | 5,134 | ||||
288 | UnitedHealth Group, Inc. | 107,156 | ||||
274,078 | ||||||
Health Care Technology — 0.2% | ||||||
93 | Cerner Corp. | 6,685 | ||||
43 | Teladoc Health, Inc. (a) | 7,815 | ||||
40 | Veeva Systems, Inc., Class A (a) | 10,450 | ||||
24,950 | ||||||
Hotels, Restaurants & Leisure — 2.1% | ||||||
13 | Booking Holdings, Inc. (a) | 30,288 | ||||
45 | Caesars Entertainment, Inc. (a) | 3,935 | ||||
253 | Carnival Corp. (a) | 6,715 | ||||
8 | Chipotle Mexican Grill, Inc. (a) | 11,367 | ||||
35 | Darden Restaurants, Inc. | 4,970 | ||||
11 | Domino’s Pizza, Inc. | 4,046 | ||||
119 | DraftKings, Inc., Class A (a) | 7,298 | ||||
35 | Expedia Group, Inc. (a) | 6,024 | ||||
77 | Hilton Worldwide Holdings, Inc. (a) | 9,311 | ||||
105 | Las Vegas Sands Corp. (a) | 6,380 | ||||
92 | Marriott International, Inc., Class A (a) | 13,626 | ||||
238 | McDonald’s Corp. | 53,345 | ||||
139 | MGM Resorts International | 5,281 | ||||
38 | Penn National Gaming, Inc. (a) | 3,984 | ||||
58 | Royal Caribbean Cruises Ltd. (a) | 4,965 | ||||
376 | Starbucks Corp. | 41,085 | ||||
80 | Yum! Brands, Inc. | 8,654 | ||||
221,274 | ||||||
Household Durables — 0.3% | ||||||
101 | D.R. Horton, Inc. | 9,001 | ||||
48 | Garmin Ltd. | 6,329 | ||||
75 | Lennar Corp., Class A | 7,592 | ||||
1 | NVR, Inc. (a) | 4,711 | ||||
27,633 | ||||||
Household Products — 1.5% | ||||||
74 | Church & Dwight Co., Inc. | 6,464 | ||||
37 | Clorox (The) Co. | 7,136 | ||||
271 | Colgate-Palmolive Co. | 21,363 | ||||
102 | Kimberly-Clark Corp. | 14,183 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Household Products (Continued) | ||||||
786 | Procter & Gamble (The) Co. | $ | 106,448 | |||
155,594 | ||||||
Independent Power and Renewable Electricity Producers — 0.0% | ||||||
174 | AES (The) Corp. | 4,665 | ||||
Industrial Conglomerates — 1.2% | ||||||
185 | 3M Co. | 35,646 | ||||
2,574 | General Electric Co. | 33,797 | ||||
222 | Honeywell International, Inc. | 48,189 | ||||
29 | Roper Technologies, Inc. | 11,697 | ||||
129,329 | ||||||
Insurance — 1.7% | ||||||
202 | Aflac, Inc. | 10,338 | ||||
92 | Allstate (The) Corp. | 10,571 | ||||
257 | American International Group, Inc. | 11,876 | ||||
69 | Aon PLC, Class A | 15,878 | ||||
108 | Arch Capital Group Ltd. (a) | 4,144 | ||||
58 | Arthur J. Gallagher & Co. | 7,237 | ||||
136 | Chubb Ltd. | 21,484 | ||||
43 | Cincinnati Financial Corp. | 4,433 | ||||
108 | Hartford Financial Services Group (The), Inc. | 7,213 | ||||
59 | Loews Corp. | 3,025 | ||||
4 | Markel Corp. (a) | 4,558 | ||||
143 | Marsh & McLennan Cos., Inc. | 17,417 | ||||
240 | MetLife, Inc. | 14,590 | ||||
71 | Principal Financial Group, Inc. | 4,257 | ||||
178 | Progressive (The) Corp. | 17,019 | ||||
119 | Prudential Financial, Inc. | 10,841 | ||||
72 | Travelers (The) Cos., Inc. | 10,829 | ||||
175,710 | ||||||
Interactive Media & Services — 4.6% | ||||||
96 | Alphabet, Inc., Class A (a) | 198,002 | ||||
729 | Facebook, Inc., Class A (a) | 214,712 | ||||
25 | IAC/InterActiveCorp (a) | 5,408 | ||||
75 | Match Group, Inc. (a) | 10,304 | ||||
170 | Pinterest, Inc., Class A (a) | 12,585 | ||||
332 | Snap, Inc., Class A (a) | 17,360 | ||||
255 | Twitter, Inc. (a) | 16,226 | ||||
44 | Zillow Group, Inc., Class C (a) | 5,704 | ||||
480,301 | ||||||
Internet & Direct Marketing Retail — 4.3% | ||||||
138 | Amazon.com, Inc. (a) | 426,983 | ||||
217 | eBay, Inc. | 13,289 | ||||
35 | Etsy, Inc. (a) | 7,058 | ||||
18 | Wayfair, Inc., Class A (a) | 5,666 | ||||
452,996 | ||||||
First Trust Dorsey Wright People’s Portfolio ETF (DWPP) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
IT Services — 5.9% | ||||||
211 | Accenture PLC, Class A | $ | 58,289 | |||
49 | Akamai Technologies, Inc. (a) | 4,993 | ||||
137 | Automatic Data Processing, Inc. | 25,820 | ||||
36 | Black Knight, Inc. (a) | 2,664 | ||||
35 | Broadridge Financial Solutions, Inc. | 5,359 | ||||
169 | Cognizant Technology Solutions Corp., Class A | 13,202 | ||||
18 | EPAM Systems, Inc. (a) | 7,140 | ||||
188 | Fidelity National Information Services, Inc. | 26,435 | ||||
169 | Fiserv, Inc. (a) | 20,118 | ||||
22 | FleetCor Technologies, Inc. (a) | 5,910 | ||||
28 | Gartner, Inc. (a) | 5,111 | ||||
78 | Global Payments, Inc. | 15,723 | ||||
48 | GoDaddy, Inc., Class A (a) | 3,726 | ||||
285 | International Business Machines Corp. | 37,979 | ||||
280 | Mastercard, Inc., Class A | 99,694 | ||||
15 | MongoDB, Inc. (a) | 4,011 | ||||
36 | Okta, Inc. (a) | 7,936 | ||||
96 | Paychex, Inc. | 9,410 | ||||
374 | PayPal Holdings, Inc. (a) | 90,822 | ||||
124 | Square, Inc., Class A (a) | 28,154 | ||||
51 | Twilio, Inc., Class A (a) | 17,379 | ||||
32 | VeriSign, Inc. (a) | 6,360 | ||||
541 | Visa, Inc., Class A | 114,546 | ||||
610,781 | ||||||
Leisure Products — 0.1% | ||||||
37 | Hasbro, Inc. | 3,556 | ||||
79 | Peloton Interactive, Inc., Class A (a) | 8,883 | ||||
12,439 | ||||||
Life Sciences Tools & Services — 1.2% | ||||||
24 | 10X Genomics, Inc., Class A (a) | 4,344 | ||||
85 | Agilent Technologies, Inc. | 10,807 | ||||
154 | Avantor, Inc. (a) | 4,455 | ||||
6 | Bio-Rad Laboratories, Inc., Class A (a) | 3,427 | ||||
11 | Bio-Techne Corp. | 4,201 | ||||
15 | Charles River Laboratories International, Inc. (a) | 4,348 | ||||
38 | Illumina, Inc. (a) | 14,594 | ||||
61 | IQVIA Holdings, Inc. (a) | 11,782 | ||||
7 | Mettler-Toledo International, Inc. (a) | 8,090 | ||||
32 | PerkinElmer, Inc. | 4,105 | ||||
119 | Thermo Fisher Scientific, Inc. | 54,309 | ||||
17 | Waters Corp. (a) | 4,831 | ||||
129,293 | ||||||
Machinery — 1.7% | ||||||
174 | Caterpillar, Inc. | 40,345 | ||||
44 | Cummins, Inc. | 11,401 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Machinery (Continued) | ||||||
90 | Deere & Co. | $ | 33,673 | |||
43 | Dover Corp. | 5,896 | ||||
98 | Fortive Corp. | 6,923 | ||||
23 | IDEX Corp. | 4,814 | ||||
86 | Illinois Tool Works, Inc. | 19,051 | ||||
98 | Ingersoll Rand, Inc. (a) | 4,822 | ||||
138 | Otis Worldwide Corp. | 9,446 | ||||
103 | PACCAR, Inc. | 9,571 | ||||
41 | Parker-Hannifin Corp. | 12,933 | ||||
45 | Stanley Black & Decker, Inc. | 8,985 | ||||
60 | Westinghouse Air Brake Technologies Corp. | 4,750 | ||||
52 | Xylem, Inc. | 5,469 | ||||
178,079 | ||||||
Media — 1.3% | ||||||
40 | Charter Communications, Inc., Class A (a) | 24,681 | ||||
1,459 | Comcast Corp., Class A | 78,946 | ||||
39 | Discovery, Inc., Class A (a) | 1,695 | ||||
98 | Fox Corp., Class A | 3,539 | ||||
53 | Liberty Broadband Corp., Class C (a) | 7,958 | ||||
64 | Omnicom Group, Inc. | 4,746 | ||||
317 | Sirius XM Holdings, Inc. | 1,930 | ||||
147 | ViacomCBS, Inc., Class B | 6,630 | ||||
130,125 | ||||||
Metals & Mining — 0.4% | ||||||
465 | Freeport-McMoRan, Inc. (a) | 15,312 | ||||
240 | Newmont Corp. | 14,465 | ||||
81 | Nucor Corp. | 6,502 | ||||
36,279 | ||||||
Multiline Retail — 0.5% | ||||||
72 | Dollar General Corp. | 14,588 | ||||
71 | Dollar Tree, Inc. (a) | 8,127 | ||||
152 | Target Corp. | 30,107 | ||||
52,822 | ||||||
Multi-Utilities — 0.7% | ||||||
70 | Ameren Corp. | 5,695 | ||||
81 | CMS Energy Corp. | 4,959 | ||||
102 | Consolidated Edison, Inc. | 7,630 | ||||
257 | Dominion Energy, Inc. | 19,522 | ||||
47 | DTE Energy Co. | 6,257 | ||||
144 | Public Service Enterprise Group, Inc. | 8,670 | ||||
79 | Sempra Energy | 10,474 | ||||
88 | WEC Energy Group, Inc. | 8,236 | ||||
71,443 | ||||||
Oil, Gas & Consumable Fuels — 2.5% | ||||||
77 | Cheniere Energy, Inc. (a) | 5,545 | ||||
615 | Chevron Corp. | 64,446 |
First Trust Dorsey Wright People’s Portfolio ETF (DWPP) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Oil, Gas & Consumable Fuels (Continued) | ||||||
432 | ConocoPhillips | $ | 22,883 | |||
145 | EOG Resources, Inc. | 10,517 | ||||
1,351 | Exxon Mobil Corp. | 75,426 | ||||
78 | Hess Corp. | 5,519 | ||||
643 | Kinder Morgan, Inc. | 10,706 | ||||
195 | Marathon Petroleum Corp. | 10,431 | ||||
297 | Occidental Petroleum Corp. | 7,906 | ||||
133 | ONEOK, Inc. | 6,738 | ||||
139 | Phillips 66 | 11,334 | ||||
69 | Pioneer Natural Resources Co. | 10,959 | ||||
124 | Valero Energy Corp. | 8,878 | ||||
368 | Williams (The) Cos., Inc. | 8,718 | ||||
260,006 | ||||||
Personal Products — 0.2% | ||||||
70 | Estee Lauder (The) Cos., Inc., Class A | 20,360 | ||||
Pharmaceuticals — 3.8% | ||||||
715 | Bristol-Myers Squibb Co. | 45,138 | ||||
48 | Catalent, Inc. (a) | 5,055 | ||||
119 | Elanco Animal Health, Inc. (a) | 3,505 | ||||
254 | Eli Lilly and Co. | 47,452 | ||||
64 | Horizon Therapeutics PLC (a) | 5,891 | ||||
839 | Johnson & Johnson | 137,890 | ||||
767 | Merck & Co., Inc. | 59,128 | ||||
1,780 | Pfizer, Inc. | 64,489 | ||||
385 | Viatris, Inc. (a) | 5,378 | ||||
152 | Zoetis, Inc. | 23,937 | ||||
397,863 | ||||||
Professional Services — 0.4% | ||||||
11 | CoStar Group, Inc. (a) | 9,041 | ||||
34 | Equifax, Inc. | 6,158 | ||||
39 | Jacobs Engineering Group, Inc. | 5,041 | ||||
42 | Leidos Holdings, Inc. | 4,044 | ||||
53 | TransUnion | 4,770 | ||||
49 | Verisk Analytics, Inc. | 8,658 | ||||
37,712 | ||||||
Real Estate Management & Development — 0.1% | ||||||
101 | CBRE Group, Inc., Class A (a) | 7,990 | ||||
Road & Rail — 1.3% | ||||||
204 | CSX Corp. | 19,670 | ||||
25 | J.B. Hunt Transport Services, Inc. | 4,202 | ||||
27 | Kansas City Southern | 7,126 | ||||
75 | Lyft, Inc., Class A (a) | 4,738 | ||||
80 | Norfolk Southern Corp. | 21,481 | ||||
31 | Old Dominion Freight Line, Inc. | 7,453 | ||||
520 | Uber Technologies, Inc. (a) | 28,345 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Road & Rail (Continued) | ||||||
214 | Union Pacific Corp. | $ | 47,168 | |||
140,183 | ||||||
Semiconductors & Semiconductor Equipment — 5.4% | ||||||
387 | Advanced Micro Devices, Inc. (a) | 30,380 | ||||
111 | Analog Devices, Inc. | 17,214 | ||||
264 | Applied Materials, Inc. | 35,270 | ||||
96 | Broadcom, Inc. | 44,511 | ||||
37 | Enphase Energy, Inc. (a) | 6,000 | ||||
37 | Entegris, Inc. | 4,137 | ||||
1,232 | Intel Corp. | 78,848 | ||||
41 | KLA Corp. | 13,546 | ||||
41 | Lam Research Corp. | 24,405 | ||||
159 | Marvell Technology Group Ltd. | 7,788 | ||||
73 | Maxim Integrated Products, Inc. | 6,670 | ||||
82 | Microchip Technology, Inc. | 12,728 | ||||
357 | Micron Technology, Inc. (a) | 31,491 | ||||
13 | Monolithic Power Systems, Inc. | 4,592 | ||||
184 | NVIDIA Corp. | 98,243 | ||||
72 | NXP Semiconductors N.V. | 14,496 | ||||
120 | ON Semiconductor Corp. (a) | 4,993 | ||||
34 | Qorvo, Inc. (a) | 6,212 | ||||
363 | QUALCOMM, Inc. | 48,130 | ||||
49 | Skyworks Solutions, Inc. | 8,991 | ||||
50 | Teradyne, Inc. | 6,084 | ||||
279 | Texas Instruments, Inc. | 52,728 | ||||
74 | Xilinx, Inc. | 9,169 | ||||
566,626 | ||||||
Software — 9.8% | ||||||
136 | Adobe, Inc. (a) | 64,650 | ||||
26 | ANSYS, Inc. (a) | 8,829 | ||||
70 | Autodesk, Inc. (a) | 19,400 | ||||
25 | Avalara, Inc. (a) | 3,336 | ||||
84 | Cadence Design Systems, Inc. (a) | 11,507 | ||||
24 | Ceridian HCM Holding, Inc. (a) | 2,022 | ||||
33 | Citrix Systems, Inc. | 4,632 | ||||
41 | Cloudflare, Inc., Class A (a) | 2,881 | ||||
21 | Coupa Software, Inc. (a) | 5,344 | ||||
60 | Crowdstrike Holdings, Inc., Class A (a) | 10,951 | ||||
60 | Datadog, Inc., Class A (a) | 5,000 | ||||
57 | DocuSign, Inc. (a) | 11,540 | ||||
18 | Elastic N.V. (a) | 2,002 | ||||
8 | Fair Isaac Corp. (a) | 3,888 | ||||
43 | Fortinet, Inc. (a) | 7,930 | ||||
13 | HubSpot, Inc. (a) | 5,905 | ||||
80 | Intuit, Inc. | 30,645 | ||||
2,407 | Microsoft Corp. | 567,498 | ||||
145 | NortonLifeLock, Inc. | 3,083 | ||||
86 | Nuance Communications, Inc. (a) | 3,753 | ||||
573 | Oracle Corp. | 40,207 |
First Trust Dorsey Wright People’s Portfolio ETF (DWPP) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
520 | Palantir Technologies, Inc., Class A (a) | $ | 12,111 | |||
31 | Palo Alto Networks, Inc. (a) | 9,984 | ||||
15 | Paycom Software, Inc. (a) | 5,551 | ||||
31 | PTC, Inc. (a) | 4,267 | ||||
22 | RingCentral, Inc., Class A (a) | 6,553 | ||||
255 | salesforce.com, Inc. (a) | 54,027 | ||||
58 | ServiceNow, Inc. (a) | 29,006 | ||||
43 | Splunk, Inc. (a) | 5,826 | ||||
72 | SS&C Technologies Holdings, Inc. | 5,031 | ||||
43 | Synopsys, Inc. (a) | 10,654 | ||||
13 | Trade Desk (The), Inc., Class A (a) | 8,472 | ||||
12 | Tyler Technologies, Inc. (a) | 5,094 | ||||
26 | VMware, Inc., Class A (a) | 3,912 | ||||
57 | Workday, Inc., Class A (a) | 14,160 | ||||
35 | Zendesk, Inc. (a) | 4,642 | ||||
65 | Zoom Video Communications, Inc., Class A (a) | 20,884 | ||||
25 | Zscaler, Inc. (a) | 4,292 | ||||
1,019,469 | ||||||
Specialty Retail — 2.4% | ||||||
7 | AutoZone, Inc. (a) | 9,830 | ||||
69 | Best Buy Co., Inc. | 7,922 | ||||
16 | Burlington Stores, Inc. (a) | 4,781 | ||||
46 | CarMax, Inc. (a) | 6,102 | ||||
17 | Carvana Co. (a) | 4,461 | ||||
14 | GameStop Corp., Class A (a) | 2,658 | ||||
344 | Home Depot (The), Inc. | 105,006 | ||||
234 | Lowe’s Cos., Inc. | 44,502 | ||||
21 | O’Reilly Automotive, Inc. (a) | 10,652 | ||||
99 | Ross Stores, Inc. | 11,871 | ||||
383 | TJX (The) Cos., Inc. | 25,335 | ||||
35 | Tractor Supply Co. | 6,198 | ||||
18 | Ulta Beauty, Inc. (a) | 5,565 | ||||
244,883 | ||||||
Technology Hardware, Storage & Peripherals — 6.4% | ||||||
5,090 | Apple, Inc. | 621,743 | ||||
84 | Dell Technologies, Inc., Class C (a) | 7,405 | ||||
369 | Hewlett Packard Enterprise Co. | 5,808 | ||||
370 | HP, Inc. | 11,747 | ||||
50 | NetApp, Inc. | 3,634 | ||||
71 | Seagate Technology PLC | 5,449 | ||||
98 | Western Digital Corp. | 6,542 | ||||
662,328 | ||||||
Textiles, Apparel & Luxury Goods — 0.6% | ||||||
406 | NIKE, Inc., Class B | 53,953 | ||||
104 | VF Corp. | 8,312 | ||||
62,265 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Tobacco — 0.7% | ||||||
558 | Altria Group, Inc. | $ | 28,548 | |||
472 | Philip Morris International, Inc. | 41,885 | ||||
70,433 | ||||||
Trading Companies & Distributors — 0.2% | ||||||
174 | Fastenal Co. | 8,749 | ||||
23 | United Rentals, Inc. (a) | 7,574 | ||||
15 | W.W. Grainger, Inc. | 6,014 | ||||
22,337 | ||||||
Water Utilities — 0.1% | ||||||
55 | American Water Works Co., Inc. | 8,246 | ||||
Wireless Telecommunication Services — 0.2% | ||||||
190 | T-Mobile US, Inc. (a) | 23,805 | ||||
Total Investments — 100.0% | 10,424,411 | |||||
(Cost $8,956,061) (b) | ||||||
Net Other Assets and Liabilities — 0.0% | 1,676 | |||||
Net Assets — 100.0% | $ | 10,426,087 |
(a) | Non-income producing security. |
(b) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $1,569,309 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $100,959. The net unrealized appreciation was $1,468,350. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 10,424,411 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Dow 30 Equal Weight ETF (EDOW) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Aerospace & Defense — 3.1% | ||||||
9,595 | Boeing (The) Co. (a) | $ | 2,444,038 | |||
Banks — 3.2% | ||||||
16,541 | JPMorgan Chase & Co. | 2,518,037 | ||||
Beverages — 3.5% | ||||||
51,293 | Coca-Cola (The) Co. | 2,703,654 | ||||
Biotechnology — 3.6% | ||||||
11,214 | Amgen, Inc. | 2,790,155 | ||||
Capital Markets — 3.1% | ||||||
7,406 | Goldman Sachs Group (The), Inc. | 2,421,762 | ||||
Chemicals — 3.3% | ||||||
40,147 | Dow, Inc. | 2,566,999 | ||||
Communications Equipment — 3.5% | ||||||
52,910 | Cisco Systems, Inc. | 2,735,976 | ||||
Consumer Finance — 3.1% | ||||||
17,389 | American Express Co. | 2,459,500 | ||||
Diversified Telecommunication Services — 3.5% | ||||||
46,433 | Verizon Communications, Inc. | 2,700,079 | ||||
Entertainment — 3.1% | ||||||
13,101 | Walt Disney (The) Co. (a) | 2,417,397 | ||||
Food & Staples Retailing — 6.7% | ||||||
48,545 | Walgreens Boots Alliance, Inc. | 2,665,120 | ||||
19,260 | Walmart, Inc. | 2,616,086 | ||||
5,281,206 | ||||||
Health Care Providers & Services — 3.4% | ||||||
7,255 | UnitedHealth Group, Inc. | 2,699,368 | ||||
Hotels, Restaurants & Leisure — 3.5% | ||||||
12,165 | McDonald’s Corp. | 2,726,663 | ||||
Household Products — 3.5% | ||||||
20,159 | Procter & Gamble (The) Co. | 2,730,133 | ||||
Industrial Conglomerates — 6.8% | ||||||
13,969 | 3M Co. | 2,691,547 | ||||
12,050 | Honeywell International, Inc. | 2,615,694 | ||||
5,307,241 | ||||||
Insurance — 3.2% | ||||||
16,424 | Travelers (The) Cos., Inc. | 2,470,170 | ||||
IT Services — 6.6% | ||||||
20,241 | International Business Machines Corp. | 2,697,315 | ||||
11,512 | Visa, Inc., Class A | 2,437,436 | ||||
5,134,751 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Machinery — 3.3% | ||||||
11,280 | Caterpillar, Inc. | $ | 2,615,494 | |||
Oil, Gas & Consumable Fuels — 3.1% | ||||||
23,154 | Chevron Corp. | 2,426,308 | ||||
Pharmaceuticals — 6.8% | ||||||
16,185 | Johnson & Johnson | 2,660,005 | ||||
34,626 | Merck & Co., Inc. | 2,669,318 | ||||
5,329,323 | ||||||
Semiconductors & Semiconductor Equipment — 3.4% | ||||||
41,065 | Intel Corp. | 2,628,160 | ||||
Software — 6.6% | ||||||
10,957 | Microsoft Corp. | 2,583,332 | ||||
12,173 | salesforce.com, Inc. (a) | 2,579,093 | ||||
5,162,425 | ||||||
Specialty Retail — 3.7% | ||||||
9,459 | Home Depot (The), Inc. | 2,887,360 | ||||
Technology Hardware, Storage & Peripherals — 3.3% | ||||||
21,342 | Apple, Inc. | 2,606,925 | ||||
Textiles, Apparel & Luxury Goods — 3.1% | ||||||
18,391 | NIKE, Inc., Class B | 2,443,980 | ||||
Total Investments — 100.0% | 78,207,104 | |||||
(Cost $71,624,172) (b) | ||||||
Net Other Assets and Liabilities — 0.0% | 34,041 | |||||
Net Assets — 100.0% | $ | 78,241,145 |
(a) | Non-income producing security. |
(b) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $7,104,749 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $521,817. The net unrealized appreciation was $6,582,932. |
First Trust Dow 30 Equal Weight ETF (EDOW) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 78,207,104 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Lunt U.S. Factor Rotation ETF (FCTR) |
Portfolio of Investments |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Aerospace & Defense — 2.7% | ||||||
13,941 | Boeing (The) Co. (a) | $ | 3,551,051 | |||
8,273 | Raytheon Technologies Corp. | 639,255 | ||||
10,457 | Textron, Inc. | 586,428 | ||||
1,504 | TransDigm Group, Inc. (a) | 884,232 | ||||
5,660,966 | ||||||
Air Freight & Logistics — 0.6% | ||||||
4,670 | FedEx Corp. | 1,326,467 | ||||
Airlines — 1.8% | ||||||
17,261 | American Airlines Group, Inc. (a) | 412,538 | ||||
46,954 | Delta Air Lines, Inc. (a) | 2,266,939 | ||||
16,058 | Southwest Airlines Co. (a) | 980,501 | ||||
3,659,978 | ||||||
Automobiles — 4.7% | ||||||
113,267 | Ford Motor Co. (a) | 1,387,521 | ||||
46,612 | General Motors Co. (a) | 2,678,325 | ||||
8,244 | Tesla, Inc. (a) | 5,506,415 | ||||
9,572,261 | ||||||
Banks — 3.7% | ||||||
20,579 | Citigroup, Inc. | 1,497,122 | ||||
49,513 | KeyCorp | 989,270 | ||||
9,566 | M&T Bank Corp. | 1,450,301 | ||||
14,625 | Truist Financial Corp. | 852,930 | ||||
18,590 | U.S. Bancorp | 1,028,213 | ||||
44,782 | Wells Fargo & Co. | 1,749,633 | ||||
7,567,469 | ||||||
Biotechnology — 3.3% | ||||||
8,494 | Alnylam Pharmaceuticals, Inc. (a) | 1,199,268 | ||||
7,663 | BioMarin Pharmaceutical, Inc. (a) | 578,633 | ||||
29,673 | Moderna, Inc. (a) | 3,885,680 | ||||
6,508 | Sarepta Therapeutics, Inc. (a) | 485,041 | ||||
5,105 | Seagen, Inc. (a) | 708,880 | ||||
6,857,502 | ||||||
Building Products — 0.3% | ||||||
9,475 | Johnson Controls International PLC | 565,373 | ||||
Capital Markets — 1.4% | ||||||
17,516 | Bank of New York Mellon (The) Corp. | 828,332 | ||||
2,021 | MarketAxess Holdings, Inc. | 1,006,296 | ||||
2,376 | MSCI, Inc. | 996,209 | ||||
2,830,837 | ||||||
Chemicals — 3.4% | ||||||
43,044 | Corteva, Inc. | 2,006,711 | ||||
33,759 | Dow, Inc. | 2,158,551 | ||||
17,272 | DuPont de Nemours, Inc. | 1,334,780 | ||||
14,453 | LyondellBasell Industries N.V., Class A | 1,503,835 | ||||
7,003,877 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Communications Equipment — 0.3% | ||||||
12,879 | Cisco Systems, Inc. | $ | 665,973 | |||
Consumer Finance — 0.6% | ||||||
9,825 | Capital One Financial Corp. | 1,250,035 | ||||
Containers & Packaging — 0.5% | ||||||
8,610 | International Paper Co. | 465,542 | ||||
9,156 | WestRock Co. | 476,570 | ||||
942,112 | ||||||
Diversified Consumer Services — 0.8% | ||||||
20,168 | Chegg, Inc. (a) | 1,727,591 | ||||
Diversified Telecommunication Services — 0.3% | ||||||
18,507 | AT&T, Inc. | 560,207 | ||||
Electric Utilities — 1.6% | ||||||
12,886 | Edison International | 755,120 | ||||
12,291 | Evergy, Inc. | 731,683 | ||||
13,833 | Exelon Corp. | 605,056 | ||||
35,886 | FirstEnergy Corp. | 1,244,885 | ||||
3,336,744 | ||||||
Energy Equipment & Services — 3.2% | ||||||
63,555 | Baker Hughes Co. | 1,373,424 | ||||
84,565 | Halliburton Co. | 1,814,765 | ||||
122,722 | Schlumberger N.V. | 3,336,811 | ||||
6,525,000 | ||||||
Entertainment — 2.0% | ||||||
40,248 | Liberty Media Corp.-Liberty Formula One, Class C (a) | 1,742,336 | ||||
12,963 | Live Nation Entertainment, Inc. (a) | 1,097,318 | ||||
4,222 | Roku, Inc. (a) | 1,375,401 | ||||
4,215,055 | ||||||
Equity Real Estate Investment Trusts — 5.4% | ||||||
3,286 | American Tower Corp. | 785,551 | ||||
3,470 | AvalonBay Communities, Inc. | 640,250 | ||||
10,076 | Boston Properties, Inc. | 1,020,296 | ||||
15,291 | Equity Residential | 1,095,294 | ||||
3,338 | Essex Property Trust, Inc. | 907,402 | ||||
26,496 | Healthpeak Properties, Inc. | 840,983 | ||||
16,885 | Medical Properties Trust, Inc. | 359,313 | ||||
3,433 | SBA Communications Corp. | 952,829 | ||||
12,988 | Simon Property Group, Inc. | 1,477,645 | ||||
21,399 | UDR, Inc. | 938,560 | ||||
56,940 | Weyerhaeuser Co. | 2,027,064 | ||||
11,045,187 | ||||||
Food & Staples Retailing — 1.2% | ||||||
7,970 | Kroger (The) Co. | 286,840 |
First Trust Lunt U.S. Factor Rotation ETF (FCTR) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food & Staples Retailing (Continued) | ||||||
9,936 | Sysco Corp. | $ | 782,361 | |||
23,884 | Walgreens Boots Alliance, Inc. | 1,311,232 | ||||
2,380,433 | ||||||
Food Products — 1.2% | ||||||
7,436 | Archer-Daniels-Midland Co. | 423,852 | ||||
9,059 | Conagra Brands, Inc. | 340,618 | ||||
4,270 | Kellogg Co. | 270,291 | ||||
10,453 | Kraft Heinz (The) Co. | 418,120 | ||||
14,350 | Tyson Foods, Inc., Class A | 1,066,205 | ||||
2,519,086 | ||||||
Health Care Equipment & Supplies — 1.8% | ||||||
2,212 | Dexcom, Inc. (a) | 794,971 | ||||
1,865 | IDEXX Laboratories, Inc. (a) | 912,563 | ||||
3,284 | Insulet Corp. (a) | 856,861 | ||||
8,236 | Quidel Corp. (a) | 1,053,632 | ||||
3,618,027 | ||||||
Health Care Technology — 1.1% | ||||||
7,213 | Teladoc Health, Inc. (a) | 1,310,963 | ||||
3,397 | Veeva Systems, Inc., Class A (a) | 887,432 | ||||
2,198,395 | ||||||
Hotels, Restaurants & Leisure — 3.1% | ||||||
12,877 | Aramark | 486,493 | ||||
17,566 | Carnival Corp. (a) | 466,202 | ||||
37,800 | DraftKings, Inc., Class A (a) | 2,318,274 | ||||
6,701 | Marriott International, Inc., Class A (a) | 992,485 | ||||
8,422 | Wynn Resorts Ltd. (a) | 1,055,866 | ||||
9,269 | Yum! Brands, Inc. | 1,002,720 | ||||
6,322,040 | ||||||
Household Durables — 0.4% | ||||||
8,013 | Lennar Corp., Class A | 811,156 | ||||
Industrial Conglomerates — 2.0% | ||||||
311,426 | General Electric Co. | 4,089,023 | ||||
Insurance — 2.5% | ||||||
30,897 | American International Group, Inc. | 1,427,750 | ||||
4,447 | Chubb Ltd. | 702,493 | ||||
20,403 | Hartford Financial Services Group (The), Inc. | 1,362,716 | ||||
17,206 | Loews Corp. | 882,324 | ||||
13,107 | Principal Financial Group, Inc. | 785,896 | ||||
5,161,179 | ||||||
Interactive Media & Services — 1.6% | ||||||
20,831 | Pinterest, Inc., Class A (a) | 1,542,119 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Interactive Media & Services (Continued) | ||||||
32,560 | Snap, Inc., Class A (a) | $ | 1,702,562 | |||
3,244,681 | ||||||
Internet & Direct Marketing Retail — 0.6% | ||||||
5,848 | Etsy, Inc. (a) | 1,179,366 | ||||
IT Services — 4.7% | ||||||
3,782 | Automatic Data Processing, Inc. | 712,793 | ||||
2,016 | Fidelity National Information Services, Inc. | 283,470 | ||||
2,396 | Mastercard, Inc., Class A | 853,096 | ||||
7,260 | MongoDB, Inc. (a) | 1,941,542 | ||||
5,066 | Okta, Inc. (a) | 1,116,698 | ||||
4,601 | Square, Inc., Class A (a) | 1,044,657 | ||||
6,227 | Twilio, Inc., Class A (a) | 2,121,912 | ||||
4,284 | VeriSign, Inc. (a) | 851,488 | ||||
3,727 | Visa, Inc., Class A | 789,118 | ||||
9,714,774 | ||||||
Life Sciences Tools & Services — 0.8% | ||||||
4,369 | Illumina, Inc. (a) | 1,677,958 | ||||
Machinery — 1.2% | ||||||
5,756 | Fortive Corp. | 406,604 | ||||
143,063 | Nikola Corp. (a) | 1,987,145 | ||||
2,393,749 | ||||||
Media — 0.8% | ||||||
15,009 | Omnicom Group, Inc. | 1,112,918 | ||||
98,826 | Sirius XM Holdings, Inc. | 601,850 | ||||
1,714,768 | ||||||
Metals & Mining — 3.6% | ||||||
182,911 | Freeport-McMoRan, Inc. (a) | 6,023,259 | ||||
17,531 | Nucor Corp. | 1,407,214 | ||||
7,430,473 | ||||||
Multiline Retail — 0.2% | ||||||
3,016 | Dollar Tree, Inc. (a) | 345,211 | ||||
Oil, Gas & Consumable Fuels — 14.9% | ||||||
172,251 | APA Corp. | 3,083,293 | ||||
18,989 | Chevron Corp. | 1,989,857 | ||||
23,113 | ConocoPhillips | 1,224,296 | ||||
9,963 | Diamondback Energy, Inc. | 732,181 | ||||
45,733 | EOG Resources, Inc. | 3,317,014 | ||||
35,444 | Exxon Mobil Corp. | 1,978,838 | ||||
31,709 | Hess Corp. | 2,243,729 | ||||
66,938 | Kinder Morgan, Inc. | 1,114,518 | ||||
44,228 | Marathon Petroleum Corp. | 2,365,756 | ||||
229,966 | Occidental Petroleum Corp. | 6,121,695 | ||||
40,647 | ONEOK, Inc. | 2,059,177 |
First Trust Lunt U.S. Factor Rotation ETF (FCTR) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Oil, Gas & Consumable Fuels (Continued) | ||||||
29,831 | Phillips 66 | $ | 2,432,420 | |||
29,097 | Valero Energy Corp. | 2,083,345 | ||||
30,746,119 | ||||||
Pharmaceuticals — 0.3% | ||||||
6,963 | Horizon Therapeutics PLC (a) | 640,874 | ||||
Professional Services — 0.6% | ||||||
4,931 | Equifax, Inc. | 893,152 | ||||
3,459 | Jacobs Engineering Group, Inc. | 447,145 | ||||
1,340,297 | ||||||
Road & Rail — 2.1% | ||||||
35,518 | Lyft, Inc., Class A (a) | 2,244,027 | ||||
36,422 | Uber Technologies, Inc. (a) | 1,985,363 | ||||
4,229,390 | ||||||
Semiconductors & Semiconductor Equipment — 3.0% | ||||||
8,566 | Advanced Micro Devices, Inc. (a) | 672,431 | ||||
3,151 | KLA Corp. | 1,041,090 | ||||
1,908 | Lam Research Corp. | 1,135,718 | ||||
2,761 | Monolithic Power Systems, Inc. | 975,213 | ||||
2,829 | NVIDIA Corp. | 1,510,488 | ||||
4,555 | Qorvo, Inc. (a) | 832,199 | ||||
6,167,139 | ||||||
Software — 12.9% | ||||||
1,587 | Adobe, Inc. (a) | 754,412 | ||||
3,548 | Autodesk, Inc. (a) | 983,328 | ||||
11,451 | Avalara, Inc. (a) | 1,527,907 | ||||
7,998 | Ceridian HCM Holding, Inc. (a) | 673,991 | ||||
6,399 | Coupa Software, Inc. (a) | 1,628,418 | ||||
12,113 | Crowdstrike Holdings, Inc., Class A (a) | 2,210,744 | ||||
12,265 | Datadog, Inc., Class A (a) | 1,022,165 | ||||
7,982 | DocuSign, Inc. (a) | 1,615,956 | ||||
36,851 | Dynatrace, Inc. (a) | 1,777,692 | ||||
2,415 | HubSpot, Inc. (a) | 1,096,917 | ||||
3,011 | Paycom Software, Inc. (a) | 1,114,251 | ||||
6,127 | RingCentral, Inc., Class A (a) | 1,825,111 | ||||
2,843 | salesforce.com, Inc. (a) | 602,346 | ||||
1,787 | ServiceNow, Inc. (a) | 893,697 | ||||
4,078 | Splunk, Inc. (a) | 552,487 | ||||
3,478 | Trade Desk (The), Inc., Class A (a) | 2,266,474 | ||||
5,881 | Workday, Inc., Class A (a) | 1,461,017 | ||||
6,977 | Zendesk, Inc. (a) | 925,290 | ||||
4,428 | Zoom Video Communications, Inc., Class A (a) | 1,422,672 | ||||
12,281 | Zscaler, Inc. (a) | 2,108,279 | ||||
26,463,154 | ||||||
Specialty Retail — 0.7% | ||||||
5,534 | Carvana Co. (a) | 1,452,122 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Technology Hardware, Storage & Peripherals — 1.6% | ||||||
78,215 | Hewlett Packard Enterprise Co. | $ | 1,231,104 | |||
32,408 | Western Digital Corp. | 2,163,234 | ||||
3,394,338 | ||||||
Textiles, Apparel & Luxury Goods — 0.3% | ||||||
8,052 | VF Corp. | 643,516 | ||||
Tobacco — 0.2% | ||||||
7,420 | Altria Group, Inc. | 379,607 | ||||
Total Common Stocks — 100.0% | 205,569,509 | |||||
(Cost $190,164,460) | ||||||
Money Market Funds — 0.0% | ||||||
17,390 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class 0.01% (b) | 17,390 | ||||
(Cost $17,390) | ||||||
Total Investments — 100.0% | 205,586,899 | |||||
(Cost $190,181,850) (c) | ||||||
Net Other Assets and Liabilities — 0.0% | 36,163 | |||||
Net Assets — 100.0% | $ | 205,623,062 |
(a) | Non-income producing security. |
(b) | Rate shown reflects yield as of March 31, 2021. |
(c) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $19,919,758 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $4,514,709. The net unrealized appreciation was $15,405,049. |
First Trust Lunt U.S. Factor Rotation ETF (FCTR) |
Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 205,569,509 | $ | — | $ | — | ||||||
Money Market Funds | 17,390 | — | — | |||||||||
Total Investments | $ | 205,586,899 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
Additional Information
First Trust Exchange-Traded Fund
March 31, 2021 (Unaudited)
Valuation Inputs
The Funds are subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
• | Level 1 – Level 1 inputs are quoted prices in active markets for identical investments. |
• | Level 2 – Level 2 inputs are observable inputs, either directly or indirectly. (Quoted prices for similar investments, valuations based on interest rates and yield curves, or valuations derived from observable market data.) |
• | Level 3 – Level 3 inputs are unobservable inputs that may reflect the reporting entity’s own assumptions about the assumptions that market participants would use in pricing the investment. |
The inputs or methodologies used for valuing investments are not necessarily an indication of the risk associated with investing in those investments.
Licensing Information
Nasdaq® and NASDAQ AlphaDEX® Total US Market Index are registered trademarks and service marks of Nasdaq, Inc. (together with its affiliates hereinafter referred to as the “Corporations”) and are licensed for use by First Trust. AlphaDEX® is a registered trademark owned by First Trust that has been licensed to Nasdaq, Inc. for use in the name of the Index. The Fund has not been passed on by the Corporations as to its legality or suitability. The Fund is not issued, endorsed, sold or promoted by the Corporations. THE CORPORATIONS MAKE NO WARRANTIES AND BEAR NO LIABILITY WITH RESPECT TO THE FUND.
Nasdaq® and Nasdaq Dorsey Wright People's Portfolio Index are registered trademarks and service marks of Nasdaq, Inc. (together with its affiliates hereinafter referred to as the “Corporations”) and are licensed for use by First Trust. The Fund has not been passed on by the Corporations as to its legality or suitability. The Fund is not issued, endorsed, sold or promoted by the Corporations. THE CORPORATIONS MAKE NO WARRANTIES AND BEAR NO LIABILITY WITH RESPECT TO THE FUND.
Dow Jones Industrial Average® Equal Weight Index (“Index”) is a product of S&P Dow Jones Indices LLC or its affiliates (“SPDJI”) and has been licensed for use by First Trust. Standard & Poor’s® and S&P® are registered trademarks of Standard & Poor’s Financial Services LLC (“S&P”); Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC (“Dow Jones”); and these trademarks have been licensed for use by SPDJI and sublicensed for certain purposes by First Trust. The Fund is not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, or their respective affiliates and none of such parties make any representation regarding the advisability of investing in such product nor do they have any liability for any errors, omissions, or interruptions of the Index.
Lunt Capital Management, Inc. (“Lunt”) and the Lunt Capital Large Cap Factor Rotation Index, (“Lunt Index”) are trademarks of Lunt and have been licensed for use for certain purposes by First Trust. The First Trust Lunt U.S. Factor Rotation ETF is based on the Lunt Index and is not sponsored, endorsed, sold or promoted by Lunt, and Lunt makes no representation regarding the advisability of trading in such fund. Lunt has contracted with Nasdaq, Inc. to calculate and maintain the Lunt Index. The Fund is not sponsored, endorsed, sold or promoted by Nasdaq, Inc. or its affiliates (Nasdaq, with its affiliates, hereinafter referred to as the “Corporations”). The Corporations have not passed on the legality or suitability of, or the accuracy or adequacy of descriptions and disclosures relating to, the Fund. The Corporations make no representation or warranty, express or implied to the owners of the fund or any member of the public regarding the advisability of investing in securities generally or in the fund particularly, or the ability of the Lunt Index to track general stock performance.
FT Cboe Vest Gold Strategy Quarterly Buffer ETF (BGLD) |
Consolidated Portfolio of Investments |
March 31, 2021 (Unaudited) |
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |||||||
U.S. TREASURY BILLS — 95.3% | |||||||||||
$ | 5,391,600 | U.S. Treasury Bill (a) | (b) | 05/27/21 | $ | 5,391,516 | |||||
(Cost $5,391,313) |
Shares | Description | Value | ||||
MONEY MARKET FUNDS — 0.5% | ||||||
26,152 | Dreyfus Government Cash Management Fund, Institutional Shares- 0.03% (c) | 26,152 | ||||
(Cost $26,152) | ||||||
Total Investments — 95.8% | 5,417,668 | |||||
(Cost $5,417,465) (d) |
Number of Contracts | Description | Notional Amount | Exercise Price | Expiration Date | Value | |||||||||||||
CALL OPTIONS PURCHASED — 4.9% | ||||||||||||||||||
352 | SPDR® Gold Shares | $ | 5,630,592 | $ | 153.72 | 05/28/21 | 278,319 | |||||||||||
(Cost $394,369) | ||||||||||||||||||
WRITTEN OPTIONS — (0.6)% | ||||||||||||||||||
CALL OPTIONS WRITTEN — (0.4)% | ||||||||||||||||||
(352 | ) | SPDR® Gold Shares | (5,630,592 | ) | 171.84 | 05/28/21 | (25,096 | ) | ||||||||||
(Premiums received $97,228) | ||||||||||||||||||
PUT OPTIONS WRITTEN — (0.2)% | ||||||||||||||||||
(352 | ) | SPDR® Gold Shares | (5,630,592 | ) | 137.54 | 05/28/21 | (8,474 | ) | ||||||||||
(Premiums received $15,713) | ||||||||||||||||||
Total Written Options | (33,570 | ) | ||||||||||||||||
(Premiums received $112,941) | ||||||||||||||||||
Net Other Assets and Liabilities — (0.1)% | (4,091 | ) | ||||||||||||||||
Net Assets — 100.0% | $ | 5,658,326 |
(a) | This security or a portion of this security is segregated as collateral for written options contracts. |
(b) | Zero coupon security. |
(c) | Rate shown reflects yield as of March 31, 2021. |
(d) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $79,574 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $116,050. The net unrealized depreciation was $36,476. The unrealized amounts presented are inclusive of derivative contracts. |
FT Cboe Vest Gold Strategy Quarterly Buffer ETF (BGLD) |
Consolidated Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Valuation Inputs | |||
The Fund is subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
• | Level 1 – Level 1 inputs are quoted prices in active markets for identical investments. |
• | Level 2 – Level 2 inputs are observable inputs, either directly or indirectly. (Quoted prices for similar investments, valuations based on interest rates and yield curves, or valuations derived from observable market data.) |
• | Level 3 – Level 3 inputs are unobservable inputs that may reflect the reporting
entity’s own assumptions about the assumptions that market participants would use in pricing the investment. |
The inputs or methodologies used for valuing investments are not necessarily an indication of the risk associated with investing in those investments. A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows:
ASSETS TABLE
Total Value at 3/31/2021 | Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | |||||||||||||
U.S. Treasury Bills | $ | 5,391,516 | $ | — | $ | 5,391,516 | $ | — | ||||||||
Money Market Funds | 26,152 | 26,152 | — | — | ||||||||||||
Total Investments | 5,417,668 | 26,152 | 5,391,516 | — | ||||||||||||
Call Options Purchased | 278,319 | — | 278,319 | — | ||||||||||||
Total | $ | 5,695,987 | $ | 26,152 | $ | 5,669,835 | $ | — | ||||||||
LIABILITIES TABLE
Total Value at 3/31/2021 | Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | |||||||||||||
Call Options Written | $ | (25,096 | ) | $ | — | $ | (25,096 | ) | $ | — | ||||||
Put Options Written | (8,474 | ) | — | (8,474 | ) | — | ||||||||||
Total | $ | (33,570 | ) | $ | — | $ | (33,570 | ) | $ | — |
FT Cboe Vest Gold Strategy Target Income ETF (IGLD) |
Consolidated Portfolio of Investments |
March 31, 2021 (Unaudited) |
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |||||||
U.S. TREASURY BILLS — 152.0% | |||||||||||
$ | 7,540,000 | U.S. Treasury Bill (a) | (b) | 11/04/21 | $ | 7,538,523 | |||||
(Cost $7,537,864) |
Shares | Description | Value | ||||
MONEY MARKET FUNDS — 20.1% | ||||||
994,718 | Dreyfus Government Cash Management Fund, Institutional Shares - 0.03% (c) | 994,718 | ||||
(Cost $994,718) | ||||||
Total Investments — 172.1% | 8,533,241 | |||||
(Cost $8,532,582) (d) |
Number of Contracts | Description | Notional Amount | Exercise Price | Expiration Date | Value | |||||||||||||
CALL OPTIONS PURCHASED — 0.2% | ||||||||||||||||||
310 | SPDR® Gold Shares | $ | 4,958,760 | $ | 243.62 | 11/30/21 | 11,278 | |||||||||||
(Cost $25,057) | ||||||||||||||||||
WRITTEN OPTIONS — (52.8)% | ||||||||||||||||||
CALL OPTIONS WRITTEN — (0.3)% | ||||||||||||||||||
(65 | ) | SPDR® Gold Shares | (1,039,740 | ) | 159.96 | 04/30/21 | (15,795 | ) | ||||||||||
(Premiums received $15,676) | ||||||||||||||||||
PUT OPTIONS WRITTEN — (52.5)% | ||||||||||||||||||
(310 | ) | SPDR® Gold Shares | (4,958,760 | ) | 243.62 | 11/30/21 | (2,600,949 | ) | ||||||||||
(Premiums received $2,535,157) | ||||||||||||||||||
Total Written Options | (2,616,744 | ) | ||||||||||||||||
(Premiums received $2,550,833) | ||||||||||||||||||
Net Other Assets and Liabilities — (19.5)% | (967,337 | ) | ||||||||||||||||
Net Assets — 100.0% | $ | 4,960,438 | ||||||||||||||||
(a) | This security or a portion of this security is segregated as collateral for written options contracts. |
(b) | Zero coupon security. |
(c) | Rate shown reflects yield as of March 31, 2021. |
(d) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of March 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $659 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $79,690. The net unrealized depreciation was $79,031. The unrealized amounts presented are inclusive of derivative contracts. |
FT Cboe Vest Gold Strategy Target Income ETF (IGLD) |
Consolidated Portfolio of Investments (Continued) |
March 31, 2021 (Unaudited) |
Valuation Inputs | |||
The Fund is subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
• | Level 1 – Level 1 inputs are quoted prices in active markets for identical investments. |
• | Level 2 – Level 2 inputs are observable inputs, either directly or indirectly. (Quoted prices for similar investments, valuations based on interest rates and yield curves, or valuations derived from observable market data.) |
• | Level 3 – Level 3 inputs are unobservable inputs that may reflect the reporting entity’s
own assumptions about the assumptions that market participants would use in pricing the investment. |
The inputs or methodologies used for valuing investments are not necessarily an indication of the risk associated with investing in those investments. A summary of the inputs used to value the Fund’s investments as of March 31, 2021 is as follows:
ASSETS TABLE
Total Value at 3/31/2021 | Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | |||||||||||||
U.S. Treasury Bills | $ | 7,538,523 | $ | — | $ | 7,538,523 | $ | — | ||||||||
Money Market Funds | 994,718 | 994,718 | — | — | ||||||||||||
Total Investments | 8,533,241 | 994,718 | 7,538,523 | — | ||||||||||||
Call Options Purchased | 11,278 | — | 11,278 | — | ||||||||||||
Total | $ | 8,544,519 | $ | 994,718 | $ | 7,549,801 | $ | — | ||||||||
LIABILITIES TABLE
Total Value at 3/31/2021 | Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | |||||||||||||
Call Options Written | $ | (15,795 | ) | $ | — | $ | (15,795 | ) | $ | — | ||||||
Put Options Written | (2,600,949 | ) | — | (2,600,949 | ) | — | ||||||||||
Total | $ | (2,616,744 | ) | $ | — | $ | (2,616,744 | ) | $ | — | ||||||