0001752724-21-110351.txt : 20210525 0001752724-21-110351.hdr.sgml : 20210525 20210525163239 ACCESSION NUMBER: 0001752724-21-110351 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210331 FILED AS OF DATE: 20210525 PERIOD START: 20211231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIRST TRUST EXCHANGE-TRADED FUND CENTRAL INDEX KEY: 0001329377 IRS NUMBER: 000000000 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21774 FILM NUMBER: 21961045 BUSINESS ADDRESS: STREET 1: 120 EAST LIBERTY DRIVE, SUITE 400 CITY: WHEATON STATE: IL ZIP: 60187 BUSINESS PHONE: 630-765-8000 MAIL ADDRESS: STREET 1: 120 EAST LIBERTY DRIVE, SUITE 400 CITY: WHEATON STATE: IL ZIP: 60187 0001329377 S000011047 First Trust NASDAQ-100 Equal Weighted Index Fund C000030477 First Trust NASDAQ-100 Equal Weighted Index Fund QQEW NPORT-P 1 primary_doc.xml NPORT-P false 0001329377 XXXXXXXX S000011047 C000030477 First Trust Exchange-Traded Fund 811-21774 0001329377 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Swade Donald P. Swade Treasurer, Chief Financial Officer and Chief Accounting Officer XXXX NPORT-EX 2 265004FTNASDAQ100EqWtInx.htm Proof - etf1_nport.htm

 

 

 

 

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)  $—