0001752724-23-269927.txt : 20231128 0001752724-23-269927.hdr.sgml : 20231128 20231128125048 ACCESSION NUMBER: 0001752724-23-269927 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230929 FILED AS OF DATE: 20231128 DATE AS OF CHANGE: 20231128 PERIOD START: 20231231 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: 231444103 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 S000013817 First Trust Value Line Dividend Index Fund C000037913 First Trust Value Line Dividend Index Fund FVD NPORT-P 1 primary_doc.xml NPORT-P false 0001329377 XXXXXXXX S000013817 C000037913 First Trust Exchange-Traded Fund 811-21774 0001329377 549300MZB4XDLRWOC672 120 East Liberty Drive Suite 400 Wheaton 60187 630-765-8000 First Trust Value Line Dividend Index Fund S000013817 549300P5LD08LT4J5846 2023-12-31 2023-09-29 N 10798313260.87 15097803.88 10783215456.99 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 13045311.32000000 N Brady Corp 549300G2LEQOFQC8GY34 Brady Corp 104674106 1184655.00000000 NS USD 65061252.60000000 0.603356696891 Long EC CORP US N 1 N N N Fortis Inc/Canada 549300MQYQ9Y065XPR71 Fortis Inc/Canada 349553107 1661705.00000000 NS USD 63128172.95000000 0.585429950850 Long EC CORP CA N 1 N N N Kellogg Co LONOZNOJYIBXOHXWDB86 Kellogg Co 487836108 1119534.00000000 NS USD 66623468.34000000 0.617844172786 Long EC CORP US N 1 N N N Open Text Corp 549300HP7ONDQODZJV16 Open Text Corp 683715106 1871350.00000000 NS USD 65684385.00000000 0.609135422193 Long EC CORP CA N 1 N N N General Dynamics Corp 9C1X8XOOTYY2FNYTVH06 General Dynamics Corp 369550108 303655.00000000 NS USD 67098645.35000000 0.622250808375 Long EC CORP US N 1 N N N Colgate-Palmolive Co YMEGZFW4SBUSS5BQXF88 Colgate-Palmolive Co 194162103 922195.00000000 NS USD 65577286.45000000 0.608142225401 Long EC CORP US N 1 N N N Chubb Ltd E0JAN6VLUDI1HITHT809 Chubb Ltd 000000000 313822.00000000 NS USD 65331463.96000000 0.605862548333 Long EC CORP CH N 1 N N N Starbucks Corp OQSJ1DU9TAOC51A47K68 Starbucks Corp 855244109 718155.00000000 NS USD 65546006.85000000 0.607852148660 Long EC CORP US N 1 N N N Abbott Laboratories HQD377W2YR662HK5JX27 Abbott Laboratories 002824100 683305.00000000 NS USD 66178089.25000000 0.613713873324 Long EC CORP US N 1 N N N Robert Half Inc 529900VPCUY9H3HLIC08 Robert Half Inc 770323103 901848.00000000 NS USD 66087421.44000000 0.612873049820 Long EC CORP US N 1 N N N TSMC 549300KB6NK5SBD14S87 Taiwan Semiconductor Manufacturing Co Ltd 874039100 772277.00000000 NS USD 67110871.30000000 0.622364187822 Long EC CORP TW N 1 N N N Archer-Daniels-Midland Co 549300LO13MQ9HYSTR83 Archer-Daniels-Midland Co 039483102 861594.00000000 NS USD 64981419.48000000 0.602616350746 Long EC CORP US N 1 N N N CME Group Inc LCZ7XYGSLJUHFXXNXD88 CME Group Inc 12572Q105 331601.00000000 NS USD 66393152.22000000 0.615708296702 Long EC CORP US N 1 N N N American Tower Corp 5493006ORUSIL88JOE18 American Tower Corp 03027X100 401885.00000000 NS USD 66089988.25000000 0.612896853574 Long EC CORP US N 1 N N N McCormick & Co Inc/MD 549300JQQA6MQ4OJP259 McCormick & Co Inc/MD 579780206 881430.00000000 NS USD 66671365.20000000 0.618288352541 Long EC CORP US N 1 N N N Air Products and Chemicals Inc 7QEON6Y1RL5XR3R1W237 Air Products and Chemicals Inc 009158106 229966.00000000 NS USD 65172364.40000000 0.604387111246 Long EC CORP US N 1 N N N Nasdaq Inc 549300L8X1Q78ERXFD06 Nasdaq Inc 631103108 1369273.00000000 NS USD 66532975.07000000 0.617004967909 Long EC CORP US N 1 N N N General Mills Inc 2TGYMUGI08PO8X8L6150 General Mills Inc 370334104 1028113.00000000 NS USD 65788950.87000000 0.610105131742 Long EC CORP US N 1 N N N Alliant Energy Corp 5493009ML300G373MZ12 Alliant Energy Corp 018802108 1304627.00000000 NS USD 63209178.15000000 0.586181166481 Long EC CORP US N 1 N N N J & J Snack Foods Corp N/A J & J Snack Foods Corp 466032109 404700.00000000 NS USD 66229155.00000000 0.614187440324 Long EC CORP US N 1 N N N Quest Diagnostics Inc 8MCWUBXQ0WE04KMXBX50 Quest Diagnostics Inc 74834L100 535806.00000000 NS USD 65293319.16000000 0.605508805981 Long EC CORP US N 1 N N N Southern Co/The 549300FC3G3YU2FBZD92 Southern Co/The 842587107 961189.00000000 NS USD 62208152.08000000 0.576897979346 Long EC CORP US N 1 N N N Avista Corp Q0IK63NITJD6RJ47SW96 Avista Corp 05379B107 1985726.00000000 NS USD 64277950.62000000 0.596092611488 Long EC CORP US N 1 N N N Analog Devices Inc GYVOE5EZ4GDAVTU4CQ61 Analog Devices Inc 032654105 379642.00000000 NS USD 66471517.78000000 0.616435033178 Long EC CORP US N 1 N N N Donaldson Co Inc OZE6KXY9QQPR8EJ8WL20 Donaldson Co Inc 257651109 1106700.00000000 NS USD 66003588.00000000 0.612095606020 Long EC CORP US N 1 N N N Ameren Corp XRZQ5S7HYJFPHJ78L959 Ameren Corp 023608102 837223.00000000 NS USD 62649397.09000000 0.580989940708 Long EC CORP US N 1 N N N Goldman Sachs Group Inc/The 784F5XWPLTWKTBV3E584 Goldman Sachs Group Inc/The 38141G104 202536.00000000 NS USD 65534573.52000000 0.607746119711 Long EC CORP US N 1 N N N Cognizant Technology Solutions 5493006IEVQEFQO40L83 Cognizant Technology Solutions Corp 192446102 955123.00000000 NS USD 64700032.02000000 0.600006855822 Long EC CORP US N 1 N N N Lockheed Martin Corp DPRBOZP0K5RM2YE8UU08 Lockheed Martin Corp 539830109 161300.00000000 NS USD 65965248.00000000 0.611740053447 Long EC CORP US N 1 N N N Mondelez International Inc 549300DV9GIB88LZ5P30 Mondelez International Inc 609207105 955397.00000000 NS USD 66304551.80000000 0.614886645495 Long EC CORP US N 1 N N N Booz Allen Hamilton Holding Co 529900JPV47PIUWMA015 Booz Allen Hamilton Holding Corp 099502106 616165.00000000 NS USD 67328349.55000000 0.624381009714 Long EC CORP US N 1 N N N Comcast Corp 51M0QTTNCGUN7KFCFZ59 Comcast Corp 20030N101 1484315.00000000 NS USD 65814527.10000000 0.610342317303 Long EC CORP US N 1 N N N Xcel Energy Inc LGJNMI9GH8XIDG5RCM61 Xcel Energy Inc 98389B100 1119534.00000000 NS USD 64059735.48000000 0.594068955920 Long EC CORP US N 1 N N N CSG Systems International Inc 549300D7FJZUOHHXUA81 CSG Systems International Inc 126349109 1299284.00000000 NS USD 66419398.08000000 0.615951692191 Long EC CORP US N 1 N N N WEC Energy Group Inc 549300IGLYTZUK3PVP70 WEC Energy Group Inc 92939U106 786041.00000000 NS USD 63315602.55000000 0.587168111427 Long EC CORP US N 1 N N N Merck & Co Inc 4YV9Y5M8S0BRK1RP0397 Merck & Co Inc 58933Y105 629262.00000000 NS USD 64782522.90000000 0.600771849161 Long EC CORP US N 1 N N N 3M Co LUZQVYP4VS22CLWDAR65 3M Co 88579Y101 702614.00000000 NS USD 65778722.68000000 0.610010278866 Long EC CORP US N 1 N N N NextEra Energy Inc N/A NextEra Energy Inc 65339F101 987126.00000000 NS USD 56552448.54000000 0.524448841494 Long EC CORP US N 1 N N N J M Smucker Co/The 5493000WDH6A0LHDJD55 J M Smucker Co/The 832696405 526495.00000000 NS USD 64711500.45000000 0.600113210276 Long EC CORP US N 1 N N N Juniper Networks Inc AUHIXNGG7U2U7JEHM527 Juniper Networks Inc 48203R104 2387136.00000000 NS USD 66338509.44000000 0.615201557500 Long EC CORP US N 1 N N N MGE Energy Inc N/A MGE Energy Inc 55277P104 906385.00000000 NS USD 62096436.35000000 0.575861964343 Long EC CORP US N 1 N N N Chesapeake Utilities Corp 254900WW0FDCKAOCKE74 Chesapeake Utilities Corp 165303108 619605.00000000 NS USD 60566388.75000000 0.561672805218 Long EC CORP US N 1 N N N Otter Tail Corp N/A Otter Tail Corp 689648103 874259.00000000 NS USD 66373743.28000000 0.615528304564 Long EC CORP US N 1 N N N Consolidated Edison Inc 54930033SBW53OO8T749 Consolidated Edison Inc 209115104 738125.00000000 NS USD 63131831.25000000 0.585463876724 Long EC CORP US N 1 N N N CIBC 2IGI19DL77OX0HC3ZE78 Canadian Imperial Bank of Commerce 136069101 1658398.00000000 NS USD 64030746.78000000 0.593800124233 Long EC CORP CA N 1 N N N Norfolk Southern Corp 54930036C8MWP850MI84 Norfolk Southern Corp 655844108 328279.00000000 NS USD 64647983.47000000 0.599524174656 Long EC CORP US N 1 N N N American Electric Power Co Inc 1B4S6S7G0TW5EE83BO58 American Electric Power Co Inc 025537101 846477.00000000 NS USD 63671999.94000000 0.590473223816 Long EC CORP US N 1 N N N Rogers Communications Inc 5493000M6Z4XFIP6PF03 Rogers Communications Inc 775109200 1655923.00000000 NS USD 63570883.97000000 0.589535507507 Long EC CORP CA N 1 N N N Northrop Grumman Corp RIMU48P07456QXSO0R61 Northrop Grumman Corp 666807102 156500.00000000 NS USD 68889735.00000000 0.638860785771 Long EC CORP US N 1 N N N Exelon Corp 3SOUA6IRML7435B56G12 Exelon Corp 30161N101 1652637.00000000 NS USD 62453152.23000000 0.579170030304 Long EC CORP US N 1 N N N Public Storage N/A Public Storage 74460D109 252535.00000000 NS USD 66548023.20000000 0.617144519326 Long EC CORP US N 1 N N N Honeywell International Inc ISRPG12PN4EIEOEMW547 Honeywell International Inc 438516106 347137.00000000 NS USD 64130089.38000000 0.594721394891 Long EC CORP US N 1 N N N Lancaster Colony Corp 529900X4O13HED1ZAS58 Lancaster Colony Corp 513847103 402035.00000000 NS USD 66347836.05000000 0.615288049419 Long EC CORP US N 1 N N N Infosys Ltd 335800TYLGG93MM7PR89 Infosys Ltd 456788108 3782008.00000000 NS USD 64710156.88000000 0.600100750449 Long EC CORP IN N 1 N N N Procter & Gamble Co/The 2572IBTT8CCZW6AU4141 Procter & Gamble Co/The 742718109 442061.00000000 NS USD 64479017.46000000 0.597957239352 Long EC CORP US N 1 N N N Automatic Data Processing Inc HGBOLILQXWER4SAL2I23 Automatic Data Processing Inc 053015103 277485.00000000 NS USD 66757341.30000000 0.619085666666 Long EC CORP US N 1 N N N Travelers Cos Inc/The 549300Y650407RU8B149 Travelers Cos Inc/The 89417E109 396811.00000000 NS USD 64803204.41000000 0.600963642695 Long EC CORP US N 1 N N N Royal Bank of Canada ES7IP3U3RHIGC71XBU11 Royal Bank of Canada 780087102 744232.00000000 NS USD 65075646.08000000 0.603490177299 Long EC CORP CA N 1 N N N L3Harris Technologies Inc 549300UTE50ZMDBG8A20 L3Harris Technologies Inc 502431109 382416.00000000 NS USD 66586273.92000000 0.617499243946 Long EC CORP US N 1 N N N Willis Towers Watson PLC 549300WHC56FF48KL350 Willis Towers Watson PLC 000000000 311363.00000000 NS USD 65062412.48000000 0.603367453237 Long EC CORP GB N 1 N N N Aflac Inc 549300N0B7DOGLXWPP39 Aflac Inc 001055102 867319.00000000 NS USD 66566733.25000000 0.617318030187 Long EC CORP US N 1 N N N Lowe's Cos Inc WAFCR4OKGSC504WU3E95 Lowe's Cos Inc 548661107 313419.00000000 NS USD 65141004.96000000 0.604096294095 Long EC CORP US N 1 N N N CMS Energy Corp 549300IA9XFBAGNIBW29 CMS Energy Corp 125896100 1190586.00000000 NS USD 63232022.46000000 0.586393017112 Long EC CORP US N 1 N N N Evergy Inc 549300PGTHDQY6PSUI61 Evergy Inc 30034W106 1249782.00000000 NS USD 63363947.40000000 0.587616445695 Long EC CORP US N 1 N N N ONE Gas Inc 549300HXDWI0LATTX840 ONE Gas Inc 68235P108 911593.00000000 NS USD 62243570.04000000 0.577226433880 Long EC CORP US N 1 N N N Sensient Technologies Corp CMMZHMFZQG86EI7WZU92 Sensient Technologies Corp 81725T100 1102122.00000000 NS USD 64452094.56000000 0.597707565216 Long EC CORP US N 1 N N N AstraZeneca PLC PY6ZZQWO2IZFZC3IOL08 AstraZeneca PLC 046353108 966081.00000000 NS USD 65423005.32000000 0.606711472852 Long EC CORP GB N 1 N N N NewMarket Corp 54930082CG88ERDREQ47 NewMarket Corp 651587107 145025.00000000 NS USD 65992176.00000000 0.611989774879 Long EC CORP US N 1 N N N Allstate Corp/The OBT0W1ED8G0NWVOLOJ77 Allstate Corp/The 020002101 577935.00000000 NS USD 64387738.35000000 0.597110746852 Long EC CORP US N 1 N N N ALLETE Inc 549300NNLSIMY6Z8OT86 ALLETE Inc 018522300 1196574.00000000 NS USD 63179107.20000000 0.585902298363 Long EC CORP US N 1 N N N Cisco Systems Inc 549300LKFJ962MZ46593 Cisco Systems Inc 17275R102 1245344.00000000 NS USD 66949693.44000000 0.620869477263 Long EC CORP US N 1 N N N Garmin Ltd 2549001E0HIPIJQ0W046 Garmin Ltd 000000000 631887.00000000 NS USD 66474512.40000000 0.616462804301 Long EC CORP CH N 1 N N N Snap-on Inc HHWAT5TDOYZMM26KKQ73 Snap-on Inc 833034101 259866.00000000 NS USD 66281421.96000000 0.614672146952 Long EC CORP US N 1 N N N Flowers Foods Inc 7YNCQQNDK8FBM9BBTK25 Flowers Foods Inc 343498101 2933968.00000000 NS USD 65075410.24000000 0.603487990196 Long EC CORP US N 1 N N N Northwestern Energy Group Inc 3BPWMBHR1R9SHUN7J795 Northwestern Energy Group Inc 668074305 1321976.00000000 NS USD 63534166.56000000 0.589195002301 Long EC CORP US N 1 N N N Conagra Brands Inc 54930035UDEIH090K650 Conagra Brands Inc 205887102 2354229.00000000 NS USD 64552959.18000000 0.598642950588 Long EC CORP US N 1 N N N Spire Inc 549300NXSY15DRY2R511 Spire Inc 84857L101 1137705.00000000 NS USD 64371348.90000000 0.596958756474 Long EC CORP US N 1 N N N Cummins Inc ZUNI8PYC725B6H8JU438 Cummins Inc 231021106 287679.00000000 NS USD 65723144.34000000 0.609494863588 Long EC CORP US N 1 N N N Toyota Motor Corp 5493006W3QUS5LMH6R84 Toyota Motor Corp 892331307 360322.00000000 NS USD 64767879.50000000 0.600636051077 Long EC CORP JP N 1 N N N Yum! Brands Inc 549300JE8XHZZ7OHN517 Yum! Brands Inc 988498101 532943.00000000 NS USD 66585898.42000000 0.617495761682 Long EC CORP US N 1 N N N Sonoco Products Co GKOMIK4RDJGHEF0VNP11 Sonoco Products Co 835495102 1225415.00000000 NS USD 66601305.25000000 0.617638639565 Long EC CORP US N 1 N N N Illinois Tool Works Inc 76NA4I14SZCFAYMNSV04 Illinois Tool Works Inc 452308109 284051.00000000 NS USD 65419785.81000000 0.606681616174 Long EC CORP US N 1 N N N United Parcel Service Inc D01LMJZU09ULLNCY6Z23 United Parcel Service Inc 911312106 431604.00000000 NS USD 67274115.48000000 0.623878060754 Long EC CORP US N 1 N N N PepsiCo Inc FJSUNZKFNQ5YPJ5OT455 PepsiCo Inc 713448108 382044.00000000 NS USD 64733535.36000000 0.600317554797 Long EC CORP US N 1 N N N Kroger Co/The 6CPEOKI6OYJ13Q6O7870 Kroger Co/The 501044101 1457031.00000000 NS USD 65202137.25000000 0.604663214883 Long EC CORP US N 1 N N N OGE Energy Corp CE5OG6JPOZMDSA0LAQ19 OGE Energy Corp 670837103 1898011.00000000 NS USD 63260706.63000000 0.586659024688 Long EC CORP US N 1 N N N Kimberly-Clark Corp MP3J6QPYPGN75NVW2S34 Kimberly-Clark Corp 494368103 539364.00000000 NS USD 65182139.40000000 0.604477761387 Long EC CORP US N 1 N N N JPMorgan Chase & Co 8I5DZWZKVSZI1NUHU748 JPMorgan Chase & Co 46625H100 454771.00000000 NS USD 65950890.42000000 0.611606905964 Long EC CORP US N 1 N N N Avangrid Inc 549300OX0Q38NLSKPB49 Avangrid Inc 05351W103 2019440.00000000 NS USD 60926504.80000000 0.565012403239 Long EC CORP US N 1 N N N Amgen Inc 62QBXGPJ34PQ72Z12S66 Amgen Inc 031162100 249574.00000000 NS USD 67075508.24000000 0.622036242413 Long EC CORP US N 1 N N N Duke Energy Corp I1BZKREC126H0VB1BL91 Duke Energy Corp 26441C204 713759.00000000 NS USD 62996369.34000000 0.584207647443 Long EC CORP US N 1 N N N Assurant Inc H3F39CAXWQRVWURFXL38 Assurant Inc 04621X108 450984.00000000 NS USD 64752282.72000000 0.600491411659 Long EC CORP US N 1 N N N Clorox Co/The 54930044KVSC06Z79I06 Clorox Co/The 189054109 504330.00000000 NS USD 66097489.80000000 0.612966420485 Long EC CORP US N 1 N N N Diageo PLC 213800ZVIELEA55JMJ32 Diageo PLC 25243Q205 435585.00000000 NS USD 64980570.30000000 0.602608475729 Long EC CORP GB N 1 N N N IFF BZLRL03D3GPGMOGFO832 International Flavors & Fragrances Inc 459506101 977277.00000000 NS USD 66620973.09000000 0.617821032656 Long EC CORP US N 1 N N N Keurig Dr Pepper Inc DYTQ8KRTKO7Y2BVU5K74 Keurig Dr Pepper Inc 49271V100 2050532.00000000 NS USD 64735295.24000000 0.600333875347 Long EC CORP US N 1 N N N Medtronic PLC 549300GX3ZBSQWUXY261 Medtronic PLC 000000000 832831.00000000 NS USD 65260637.16000000 0.605205723842 Long EC CORP IE N 1 N N N IDACORP Inc N134NUJDWN8UEFA8B673 IDACORP Inc 451107106 682463.00000000 NS USD 63912659.95000000 0.592705025740 Long EC CORP US N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 Novartis AG 66987V109 654175.00000000 NS USD 66634265.50000000 0.617944302103 Long EC CORP CH N 1 N N N RTX Corp I07WOS4YJ0N7YRFE7309 RTX Corp 75513E101 924375.00000000 NS USD 66527268.75000000 0.616952049371 Long EC CORP US N 1 N N N New Jersey Resources Corp 549300QKBSQBIX4DQ583 New Jersey Resources Corp 646025106 1571890.00000000 NS USD 63865890.70000000 0.592271303070 Long EC CORP US N 1 N N N Bank of Montreal NQQ6HPCNCCU6TUTQYE16 Bank of Montreal 063671101 774793.00000000 NS USD 65369285.41000000 0.606213292043 Long EC CORP CA N 1 N N N Reynolds Consumer Products Inc N/A Reynolds Consumer Products Inc 76171L106 2564539.00000000 NS USD 65729134.57000000 0.609550415014 Long EC CORP US N 1 N N N Amdocs Ltd 549300HQV672RJ7RQV66 Amdocs Ltd 000000000 771379.00000000 NS USD 65173811.71000000 0.604400533124 Long EC CORP US N 1 N N N Coca-Cola Co/The UWJKFUJFZ02DKWI3RY53 Coca-Cola Co/The 191216100 1168437.00000000 NS USD 65409103.26000000 0.606582549712 Long EC CORP US N 1 N N N Home Depot Inc/The QEKMOTMBBKA8I816DO57 Home Depot Inc/The 437076102 217298.00000000 NS USD 65658763.68000000 0.608897818483 Long EC CORP US N 1 N N N American Express Co R4PP93JZOLY261QX3811 American Express Co 025816109 434651.00000000 NS USD 64845582.69000000 0.601356644951 Long EC CORP US N 1 N N N Ingredion Inc PKSTQ48QDN0XSVS7YK88 Ingredion Inc 457187102 676362.00000000 NS USD 66554020.80000000 0.617200139100 Long EC CORP US N 1 N N N Toronto-Dominion Bank/The PT3QB789TSUIDF371261 Toronto-Dominion Bank/The 891160509 1087717.00000000 NS USD 65545826.42000000 0.607850475411 Long EC CORP CA N 1 N N N Pinnacle West Capital Corp TWSEY0NEDUDCKS27AH81 Pinnacle West Capital Corp 723484101 860370.00000000 NS USD 63392061.60000000 0.587877167555 Long EC CORP US N 1 N N N Johnson & Johnson 549300G0CFPGEF6X2043 Johnson & Johnson 478160104 415581.00000000 NS USD 64726740.75000000 0.600254543815 Long EC CORP US N 1 N N N Thomson Reuters Corp 549300561UZND4C7B569 Thomson Reuters Corp 884903808 529167.00000000 NS USD 64727707.44000000 0.600263508581 Long EC CORP CA N 1 N N N Sanofi 549300E9PC51EN656011 Sanofi 80105N105 1225415.00000000 NS USD 65731260.60000000 0.609570131118 Long EC CORP FR N 1 N N N Caterpillar Inc WRJR7GS4GTRECRRTVX92 Caterpillar Inc 149123101 242831.00000000 NS USD 66292863.00000000 0.614778247401 Long EC CORP US N 1 N N N Toro Co/The YJKE4YIT6BWQHVEW0D14 Toro Co/The 891092108 819000.00000000 NS USD 68058900.00000000 0.631155894746 Long EC CORP US N 1 N N N Entergy Corp 4XM3TW50JULSLG8BNC79 Entergy Corp 29364G103 692606.00000000 NS USD 64066055.00000000 0.594127561074 Long EC CORP US N 1 N N N Stepan Co IZU1EW9GB3WC7CYCSR17 Stepan Co 858586100 887186.00000000 NS USD 66512334.42000000 0.616813553297 Long EC CORP US N 1 N N N AbbVie Inc FR5LCKFTG8054YNNRU85 AbbVie Inc 00287Y109 430653.00000000 NS USD 64193136.18000000 0.595306070216 Long EC CORP US N 1 N N N Erie Indemnity Co 549300WA5KP94KRUFZ80 Erie Indemnity Co 29530P102 225249.00000000 NS USD 66175903.71000000 0.613693605343 Long EC CORP US N 1 N N N Broadridge Financial Solutions 549300KZDJZQ2YIHRC28 Broadridge Financial Solutions Inc 11133T103 359837.00000000 NS USD 64428814.85000000 0.597491676828 Long EC CORP US N 1 N N N A O Smith Corp 549300XG4US7UJNECY36 A O Smith Corp 831865209 1033058.00000000 NS USD 68316125.54000000 0.633541319956 Long EC CORP US N 1 N N N Canadian National Railway Co 3SU7BEP7TH9YEQOZCS77 Canadian National Railway Co 136375102 597260.00000000 NS USD 64701175.80000000 0.600017462862 Long EC CORP CA N 1 N N N Public Service Enterprise Grou PUSS41EMO3E6XXNV3U28 Public Service Enterprise Group Inc 744573106 1104678.00000000 NS USD 62867224.98000000 0.583010005046 Long EC CORP US N 1 N N N Hershey Co/The 21X2CX66SU2BR6QTAD08 Hershey Co/The 427866108 323355.00000000 NS USD 64696868.40000000 0.599977517448 Long EC CORP US N 1 N N N Fastenal Co 529900PP0C7H2HHPSJ32 Fastenal Co 311900104 1215568.00000000 NS USD 66418635.52000000 0.615944620460 Long EC CORP US N 1 N N N Sun Life Financial Inc 549300V040JZX5S66Z78 Sun Life Financial Inc 866796105 1340876.00000000 NS USD 65434748.80000000 0.606820378030 Long EC CORP CA N 1 N N N Crown Castle Inc 54930012H97VSM0I2R19 Crown Castle Inc 22822V101 721493.00000000 NS USD 66399000.79000000 0.615762534420 Long EC CORP US N 1 N N N Middlesex Water Co N/A Middlesex Water Co 596680108 979428.00000000 NS USD 64887105.00000000 0.601741709222 Long EC CORP US N 1 N N N CH Robinson Worldwide Inc 529900WNWN5L0OVDHA79 CH Robinson Worldwide Inc 12541W209 778142.00000000 NS USD 67021370.46000000 0.621534186415 Long EC CORP US N 1 N N N Tractor Supply Co 549300OJ9VZHZRO6I137 Tractor Supply Co 892356106 322756.00000000 NS USD 65535605.80000000 0.607755692737 Long EC CORP US N 1 N N N Emerson Electric Co FGLT0EWZSUIRRITFOA30 Emerson Electric Co 291011104 678910.00000000 NS USD 65562338.70000000 0.608003604875 Long EC CORP US N 1 N N N McDonald's Corp UE2136O97NLB5BYP9H04 McDonald's Corp 580135101 246872.00000000 NS USD 65035959.68000000 0.603122138655 Long EC CORP US N 1 N N N Hanover Insurance Group Inc/Th JJYR6MFKFF6CF8DBZ078 Hanover Insurance Group Inc/The 410867105 588817.00000000 NS USD 65346910.66000000 0.606005795958 Long EC CORP US N 1 N N N MSC Industrial Direct Co Inc 0XVKH0LN6YGOWO2EGO17 MSC Industrial Direct Co Inc 553530106 697396.00000000 NS USD 68449417.40000000 0.634777424906 Long EC CORP US N 1 N N N SAP SE 529900D6BF99LW9R2E68 SAP SE 803054204 504742.00000000 NS USD 65273235.44000000 0.605322556155 Long EC CORP DE N 1 N N N Pfizer Inc 765LHXWGK1KXCLTFYQ30 Pfizer Inc 717081103 2019440.00000000 NS USD 66984824.80000000 0.621195273962 Long EC CORP US N 1 N N N T Rowe Price Group Inc 549300SIV6FPS9Y7IH33 T Rowe Price Group Inc 74144T108 628611.00000000 NS USD 65922435.57000000 0.611343025027 Long EC CORP US N 1 N N N Eversource Energy SJ7XXD41SQU3ZNWUJ746 Eversource Energy 30040W108 1077513.00000000 NS USD 62657380.95000000 0.581063980404 Long EC CORP US N 1 N N N CVS Health Corp 549300EJG376EN5NQE29 CVS Health Corp 126650100 917752.00000000 NS USD 64077444.64000000 0.594233184856 Long EC CORP US N 1 N N N Unilever PLC 549300MKFYEKVRWML317 Unilever PLC 904767704 1338717.00000000 NS USD 66132619.80000000 0.613292204572 Long EC CORP GB N 1 N N N Atmos Energy Corp QVLWEGTD2S8GJMO8D383 Atmos Energy Corp 049560105 602833.00000000 NS USD 63858099.69000000 0.592199051801 Long EC CORP US N 1 N N N Bristol-Myers Squibb Co HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Co 110122108 1125780.00000000 NS USD 65340271.20000000 0.605944223785 Long EC CORP US N 1 N N N Texas Instruments Inc WDJNR2L6D8RWOEB8T652 Texas Instruments Inc 882508104 413928.00000000 NS USD 65818691.28000000 0.610380934541 Long EC CORP US N 1 N N N American States Water Co 529900L26LIS2V8PWM23 American States Water Co 029899101 824782.00000000 NS USD 64893847.76000000 0.601804239364 Long EC CORP US N 1 N N N TE Connectivity Ltd 894500ZRIX9K13RHXR17 TE Connectivity Ltd 000000000 541340.00000000 NS USD 66871730.20000000 0.620146471771 Long EC CORP US N 1 N N N Packaging Corp of America 549300XZP8MFZFY8TJ84 Packaging Corp of America 695156109 441503.00000000 NS USD 67792785.65000000 0.628688037630 Long EC CORP US N 1 N N N Johnson Controls International 549300XQ6S1GYKGBL205 Johnson Controls International plc 000000000 1208950.00000000 NS USD 64328229.50000000 0.596558881314 Long EC CORP US N 1 N N N DTE Energy Co 549300IX8SD6XXD71I78 DTE Energy Co 233331107 630336.00000000 NS USD 62579758.08000000 0.580344131392 Long EC CORP US N 1 N N N Paychex Inc 529900K900DW6SUBM174 Paychex Inc 704326107 582431.00000000 NS USD 67171767.23000000 0.622928916684 Long EC CORP US N 1 N N N Waste Management Inc 549300YX8JIID70NFS41 Waste Management Inc 94106L109 423785.00000000 NS USD 64601785.40000000 0.599095748922 Long EC CORP US N 1 N N N Sempra PBBKGKLRK5S5C0Y4T545 Sempra 816851109 929408.00000000 NS USD 63227626.24000000 0.586352248011 Long EC CORP US N 1 N N N TELUS Corp L2TEUTQ8OSHMJWVLCE40 TELUS Corp 87971M103 3945568.00000000 NS USD 64470581.12000000 0.597879003504 Long EC CORP CA N 1 N N N Hormel Foods Corp MSD54751OJP1FS2ND863 Hormel Foods Corp 440452100 1710790.00000000 NS USD 65061343.70000000 0.603357541723 Long EC CORP US N 1 N N N Portland General Electric Co GJOUP9M7C39GLSK9R870 Portland General Electric Co 736508847 1544550.00000000 NS USD 62523384.00000000 0.579821336681 Long EC CORP US N 1 N N N Gilead Sciences Inc 549300WTZWR07K8MNV44 Gilead Sciences Inc 375558103 890037.00000000 NS USD 66699372.78000000 0.618548085643 Long EC CORP US N 1 N N N Baxter International Inc J5OIVXX3P24RJRW5CK77 Baxter International Inc 071813109 1776030.00000000 NS USD 67027372.20000000 0.621589844581 Long EC CORP US N 1 N N N WD-40 Co 549300UZHTN0CNKBOB19 WD-40 Co 929236107 331487.00000000 NS USD 67371417.88000000 0.624780411267 Long EC CORP US N 1 N N N Avery Dennison Corp 549300PW7VPFCYKLIV37 Avery Dennison Corp 053611109 359914.00000000 NS USD 65745490.38000000 0.609702093426 Long EC CORP US N 1 N N N Watsco Inc 549300F1Y3LN5BX5WN75 Watsco Inc 942622200 184995.00000000 NS USD 69876311.40000000 0.648009971410 Long EC CORP US N 1 N N N PPG Industries Inc 549300BKPEP01R3V6C59 PPG Industries Inc 693506107 504366.00000000 NS USD 65466706.80000000 0.607116746031 Long EC CORP US N 1 N N N Silgan Holdings Inc KAF673KJXD92C8KSLU49 Silgan Holdings Inc 827048109 1536360.00000000 NS USD 66232479.60000000 0.614218271573 Long EC CORP US N 1 N N N Union Pacific Corp 549300LMMRSZZCZ8CL11 Union Pacific Corp 907818108 319464.00000000 NS USD 65052454.32000000 0.603275104531 Long EC CORP US N 1 N N N Altria Group Inc XSGZFLO9YTNO9VCQV219 Altria Group Inc 02209S103 1582354.00000000 NS USD 66537985.70000000 0.617051434846 Long EC CORP US N 1 N N N Black Hills Corp 3MGELCRSTNSAMJ962671 Black Hills Corp 092113109 1238627.00000000 NS USD 62662139.93000000 0.581108113622 Long EC CORP US N 1 N N N PNM Resources Inc 5493003JOBJGLZSDDQ28 PNM Resources Inc 69349H107 1487628.00000000 NS USD 66363085.08000000 0.615429463917 Long EC CORP US N 1 N N N 2023-11-20 First Trust Exchange-Traded Fund Derek Maltbie Derek Maltbie Treasurer, Chief Financial Officer and Chief Accounting Officer XXXX NPORT-EX 2 290029FT093023.htm EDGAR HTML
First Trust Dow Jones Select MicroCap Index Fund (FDM)
Portfolio of Investments
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 100.0%
Aerospace & Defense — 1.7%
36,351
Ducommun, Inc. (a)
$1,581,632
14,049
National Presto Industries, Inc.
1,017,991
 
2,599,623
Air Freight & Logistics —
0.4%
97,009
Radiant Logistics, Inc. (a)
548,101
Banks — 19.3%
47,639
Amalgamated Financial Corp.
820,344
40,659
Bar Harbor Bankshares
960,772
29,690
BayCom Corp.
570,345
63,231
Business First Bancshares, Inc.
1,186,214
36,012
Capital City Bank Group, Inc.
1,074,238
28,905
Coastal Financial Corp. (a)
1,240,313
24,494
Codorus Valley Bancorp, Inc.
456,568
115,044
CrossFirst Bankshares, Inc. (a)
1,160,794
18,045
Esquire Financial Holdings, Inc.
824,476
28,915
First Financial Corp.
977,616
31,481
Five Star Bancorp
631,509
18,722
FS Bancorp, Inc.
552,299
23,729
Great Southern Bancorp, Inc.
1,137,094
35,028
HBT Financial, Inc.
638,911
163,890
Heritage Commerce Corp.
1,388,148
41,932
HomeTrust Bancshares, Inc.
908,666
56,187
Independent Bank Corp.
1,030,470
176,695
Kearny Financial Corp.
1,224,496
16,756
MainStreet Bancshares, Inc.
344,168
39,534
Mercantile Bank Corp.
1,221,996
38,291
MidWestOne Financial Group,
Inc.
778,456
31,394
MVB Financial Corp.
708,876
17,488
Northeast Bank
771,221
40,160
Northeast Community Bancorp,
Inc.
592,762
14,994
Northrim BanCorp, Inc.
594,062
17,775
Oak Valley Bancorp (b)
445,797
107,865
Old Second Bancorp, Inc.
1,468,043
11,509
Orange County Bancorp, Inc. (b)
496,843
13,062
Plumas Bancorp
445,937
35,287
Sierra Bancorp
669,041
32,670
South Plains Financial, Inc.
863,795
25,532
Southern Missouri Bancorp, Inc.
987,833
21,717
Timberland Bancorp, Inc.
588,531
79,062
Univest Financial Corp.
1,374,098
 
29,134,732
Biotechnology — 1.0%
90,570
Cullinan Oncology, Inc. (a)
819,658
83,620
Voyager Therapeutics, Inc. (a)
648,055
 
1,467,713
Shares
Description
Value
 
Capital Markets — 1.5%
79,620
Bridge Investment Group
Holdings, Inc., Class A
$732,504
7,901
Diamond Hill Investment Group,
Inc.
1,331,872
82,709
Heritage Global, Inc. (a)
258,052
 
2,322,428
Chemicals — 1.6%
73,094
American Vanguard Corp.
798,918
19,618
Core Molding Technologies,
Inc. (a)
558,917
70,442
FutureFuel Corp.
505,069
25,070
Intrepid Potash, Inc. (a)
630,761
 
2,493,665
Commercial Services &
Supplies — 3.9%
78,342
CECO Environmental Corp. (a)
1,251,122
60,105
Liquidity Services, Inc. (a)
1,059,050
82,481
Quad Graphics, Inc. (a)
414,880
56,012
Viad Corp. (a)
1,467,514
35,055
VSE Corp.
1,768,174
 
5,960,740
Communications Equipment
— 0.8%
30,693
Aviat Networks, Inc. (a)
957,622
32,586
Cambium Networks Corp. (a)
238,855
 
1,196,477
Construction & Engineering
— 1.1%
26,566
Limbach Holdings, Inc. (a)
842,939
26,865
Northwest Pipe Co. (a)
810,517
 
1,653,456
Consumer Finance — 1.4%
12,389
Atlanticus Holdings Corp. (a)
375,511
139,775
EZCORP, Inc., Class A (a)
1,153,144
24,015
Regional Management Corp.
664,735
 
2,193,390
Containers & Packaging —
1.2%
98,751
Myers Industries, Inc.
1,770,605
Diversified Consumer Services
— 1.1%
35,733
Carriage Services, Inc.
1,009,457
76,556
Lincoln Educational Services
Corp. (a)
646,898
 
1,656,355
Diversified REITs — 0.5%
42,875
One Liberty Properties, Inc.
809,051
Diversified Telecommunication
Services — 0.8%
53,908
IDT Corp., Class B (a)
1,188,671

First Trust Dow Jones Select MicroCap Index Fund (FDM)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Electric Utilities — 0.6%
58,331
Genie Energy Ltd., Class B
$859,216
Electrical Equipment — 2.9%
37,764
Allient, Inc.
1,167,663
71,537
LSI Industries, Inc.
1,136,007
24,501
Powell Industries, Inc.
2,031,133
 
4,334,803
Electronic Equipment,
Instruments & Components
— 4.4%
26,826
Bel Fuse, Inc., Class B
1,280,137
10,664
Climb Global Solutions, Inc.
458,659
66,328
Kimball Electronics, Inc. (a)
1,816,061
66,800
ScanSource, Inc. (a)
2,024,708
33,751
Vishay Precision Group, Inc. (a)
1,133,358
 
6,712,923
Energy Equipment & Services
— 4.0%
53,021
DMC Global, Inc. (a)
1,297,424
25,591
Forum Energy Technologies,
Inc. (a)
614,696
36,533
KLX Energy Services Holdings,
Inc. (a) (b)
432,916
61,735
Mammoth Energy Services,
Inc. (a)
286,450
37,602
Ranger Energy Services, Inc.
533,196
77,673
Solaris Oilfield Infrastructure,
Inc., Class A
827,994
312,809
TETRA Technologies, Inc. (a)
1,995,722
 
5,988,398
Entertainment — 1.3%
56,925
Sciplay Corp., Class A (a)
1,296,182
98,257
Vivid Seats, Inc., Class A (a)
630,810
 
1,926,992
Financial Services — 1.7%
62,876
NewtekOne, Inc. (b)
927,421
14,829
Ocwen Financial Corp. (a)
383,774
249,801
UWM Holdings Corp. (b)
1,211,535
 
2,522,730
Ground Transportation —
0.4%
113,170
Daseke, Inc. (a)
580,562
Health Care Equipment &
Supplies — 0.8%
196,952
OraSure Technologies, Inc. (a)
1,167,925
Health Care Providers &
Services — 0.7%
341,291
Community Health Systems,
Inc. (a)
989,744
Shares
Description
Value
 
Hotels, Restaurants & Leisure
— 4.2%
24,756
Bluegreen Vacations Holding
Corp.
$908,050
148,794
Denny’s Corp. (a)
1,260,285
72,515
El Pollo Loco Holdings, Inc.
649,009
65,709
Inspired Entertainment, Inc. (a)
785,880
7,443
Nathan’s Famous, Inc.
525,923
67,018
ONE Group Hospitality (The),
Inc. (a)
368,599
64,495
Potbelly Corp. (a)
503,061
23,250
RCI Hospitality Holdings, Inc.
1,410,345
 
6,411,152
Household Durables — 0.4%
30,023
Landsea Homes Corp. (a)
269,907
18,977
Legacy Housing Corp. (a)
368,343
 
638,250
Household Products — 1.3%
25,558
Central Garden & Pet Co. (a)
1,128,130
13,693
Oil-Dri Corp. of America
845,543
 
1,973,673
Insurance — 1.7%
121,538
Ambac Financial Group, Inc. (a)
1,465,748
72,395
Greenlight Capital Re Ltd.,
Class A (a)
777,523
49,975
Kingsway Financial Services,
Inc. (a)
377,311
 
2,620,582
Interactive Media & Services
— 0.1%
19,711
Travelzoo (a)
114,915
IT Services — 1.3%
66,444
Hackett Group (The), Inc.
1,567,414
80,766
Information Services Group, Inc.
353,755
 
1,921,169
Leisure Products — 1.5%
17,782
Johnson Outdoors, Inc., Class A
972,498
32,363
Marine Products Corp.
459,878
40,833
MasterCraft Boat Holdings,
Inc. (a)
907,309
 
2,339,685
Machinery — 2.8%
61,660
Douglas Dynamics, Inc.
1,860,899
27,806
Gencor Industries, Inc. (a)
392,899
28,449
Mayville Engineering Co.,
Inc. (a)
312,085
30,706
Miller Industries, Inc.
1,203,982
22,088
Park-Ohio Holdings Corp.
439,772
 
4,209,637

First Trust Dow Jones Select MicroCap Index Fund (FDM)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Marine Transportation —
1.4%
114,037
Genco Shipping & Trading Ltd.
$1,595,378
92,247
Pangaea Logistics Solutions
Ltd. (b)
542,412
 
2,137,790
Media — 0.6%
162,454
Entravision Communications
Corp., Class A
592,957
32,341
Townsquare Media, Inc.,
Class A
282,014
 
874,971
Metals & Mining — 4.7%
126,169
Gatos Silver, Inc. (a)
653,555
34,156
Haynes International, Inc.
1,588,937
26,283
Olympic Steel, Inc.
1,477,368
95,399
Ramaco Resources, Inc., Class A
1,048,435
224,694
SunCoke Energy, Inc.
2,280,644
 
7,048,939
Mortgage REITs — 0.3%
42,809
AFC Gamma, Inc.
502,578
Oil, Gas & Consumable Fuels
— 9.5%
96,184
Amplify Energy Corp. (a)
706,952
180,650
Berry Corp.
1,481,330
34,557
Centrus Energy Corp.,
Class A (a)
1,961,455
189,512
Crescent Energy, Inc.,
Class A (b)
2,395,432
81,219
Evolution Petroleum Corp.
555,538
65,794
Hallador Energy Co. (a)
948,750
152,246
Overseas Shipholding Group,
Inc., Class A (a)
668,360
40,588
REX American Resources
Corp. (a)
1,652,743
115,299
Ring Energy, Inc. (a)
224,833
84,294
SandRidge Energy, Inc.
1,320,044
285,645
VAALCO Energy, Inc.
1,253,982
259,358
W&T Offshore, Inc. (a)
1,135,988
 
14,305,407
Paper & Forest Products —
1.1%
44,836
Clearwater Paper Corp. (a)
1,625,305
Pharmaceuticals — 1.6%
249,793
Assertio Holdings, Inc. (a)
639,470
168,625
Omeros Corp. (a) (b)
492,385
54,561
Phibro Animal Health Corp.,
Class A
696,744
104,883
SIGA Technologies, Inc.
550,636
 
2,379,235
Shares
Description
Value
 
Professional Services — 2.5%
18,055
Barrett Business Services, Inc.
$1,629,283
18,784
CRA International, Inc.
1,892,676
15,192
RCM Technologies, Inc. (a)
296,852
 
3,818,811
Real Estate Management &
Development — 0.6%
38,532
RMR Group (The), Inc., Class A
944,805
Retail REITs — 0.8%
126,208
Whitestone REIT
1,215,383
Semiconductors &
Semiconductor Equipment
— 1.8%
123,944
ACM Research, Inc., Class A (a)
2,244,006
30,657
inTEST Corp. (a)
465,067
 
2,709,073
Software — 0.2%
16,856
CoreCard Corp. (a)
337,120
Specialty Retail — 2.8%
109,827
Arhaus, Inc. (a)
1,021,391
60,232
Big 5 Sporting Goods Corp. (b)
422,226
35,075
Build-A-Bear Workshop, Inc.
1,031,556
36,032
Haverty Furniture Cos., Inc.
1,037,001
27,731
OneWater Marine, Inc.,
Class A (a)
710,468
 
4,222,642
Technology Hardware, Storage
& Peripherals — 0.7%
43,516
CompoSecure, Inc. (a) (b)
280,678
183,358
Eastman Kodak Co. (a)
771,937
 
1,052,615
Trading Companies &
Distributors — 2.7%
36,797
DXP Enterprises, Inc. (a)
1,285,687
104,689
Hudson Technologies, Inc. (a)
1,392,364
54,120
Titan Machinery, Inc. (a)
1,438,509
 
4,116,560
Water Utilities — 1.5%
25,201
Artesian Resources Corp.,
Class A
1,058,190
40,122
Consolidated Water Co., Ltd.
1,141,070
 
2,199,260
Wireless Telecommunication
Services — 0.8%
53,569
Spok Holdings, Inc.
764,430
382,133
Tingo Group, Inc. (a) (b)
391,686
 
1,156,116
Total Common Stocks
150,953,973
(Cost $155,914,103)

First Trust Dow Jones Select MicroCap Index Fund (FDM)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Shares
Description
Value
MONEY MARKET FUNDS — 0.8%
1,289,194
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.19% (c) (d)
$1,289,194
(Cost $1,289,194)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 2.5%
$3,793,765
BNP Paribas S.A., 5.20% (c),
dated 09/29/23, due 10/02/23,
with a maturity value of
$3,795,409. Collateralized by
U.S. Treasury Securities,
interest rates of 4.00% to
5.44%, due 07/31/24 to
02/15/26. The value of the
collateral including accrued
interest is $3,869,231. (d)
3,793,765
(Cost $3,793,765)
Total Investments — 103.3%
156,036,932
(Cost $160,997,062)
Net Other Assets and
Liabilities — (3.3)%
(5,024,043
)
Net Assets — 100.0%
$151,012,889
(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, including those sold
and pending settlement, is $4,935,892 and the total value of
the collateral held by the Fund is $5,082,959.
(c)
Rate shown reflects yield as of September 30, 2023.
(d)
This security serves as collateral for securities on loan.

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of September 30, 2023 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
9/30/2023
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$150,953,973
$150,953,973
$
$
Money Market
Funds
1,289,194
1,289,194
Repurchase
Agreements
3,793,765
3,793,765
Total Investments
$156,036,932
$152,243,167
$3,793,765
$
*
See Portfolio of Investments for industry breakout.

First Trust Morningstar Dividend Leaders Index Fund (FDL)
Portfolio of Investments
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
Automobiles — 1.9%
6,365,897
Ford Motor Co.
$79,064,441
Banks — 17.1%
245,119
Associated Banc-Corp.
4,193,986
102,179
Atlantic Union Bankshares Corp.
2,940,712
129,297
Bank OZK
4,793,040
252,199
Cadence Bank
5,351,663
88,070
Cathay General Bancorp
3,061,313
3,250,820
Citigroup, Inc.
133,706,227
957,217
Citizens Financial Group, Inc.
25,653,416
482,806
Columbia Banking System, Inc.
9,800,962
261,714
Comerica, Inc.
10,874,217
196,730
CVB Financial Corp.
3,259,816
166,174
East West Bancorp, Inc.
8,759,031
1,100,756
Fifth Third Bancorp
27,882,149
236,424
First Hawaiian, Inc.
4,267,453
877,721
First Horizon Corp.
9,672,485
217,144
First Interstate BancSystem, Inc.,
Class A
5,415,571
498,900
FNB Corp.
5,383,131
163,823
Glacier Bancorp, Inc.
4,668,955
2,670,869
Huntington Bancshares, Inc.
27,777,038
58,699
Independent Bank Corp.
2,881,534
2,253,453
KeyCorp
24,247,154
230,777
M&T Bank Corp.
29,181,752
1,349,179
New York Community Bancorp,
Inc.
15,299,690
355,959
Old National Bancorp
5,175,644
681,254
PNC Financial Services Group
(The), Inc.
83,637,554
1,620,808
Regions Financial Corp.
27,877,898
193,092
Simmons First National Corp.,
Class A
3,274,840
236,590
Synovus Financial Corp.
6,577,202
3,037,556
Truist Financial Corp.
86,904,477
2,416,277
U.S. Bancorp
79,882,118
217,468
United Bankshares, Inc.
5,999,942
133,653
United Community Banks, Inc.
3,396,123
675,301
Valley National Bancorp
5,780,576
218,747
Webster Financial Corp.
8,817,691
227,302
Zions Bancorp N.A.
7,930,567
 
694,325,927
Biotechnology — 8.6%
2,337,398
AbbVie, Inc.
348,412,546
Capital Markets — 2.0%
306,681
Carlyle Group (The), Inc.
9,249,499
29,217
Cohen & Steers, Inc.
1,831,614
427,564
Franklin Resources, Inc.
10,509,523
247,136
Janus Henderson Group PLC
6,381,051
Shares
Description
Value
 
Capital Markets (Continued)
266,831
Northern Trust Corp.
$18,539,418
320,283
T. Rowe Price Group, Inc.
33,588,078
 
80,099,183
Chemicals — 2.0%
148,342
Eastman Chemical Co.
11,380,798
379,381
International Flavors &
Fragrances, Inc.
25,862,403
414,747
LyondellBasell Industries N.V.,
Class A
39,276,541
65,550
Scotts Miracle-Gro (The) Co.
3,387,624
 
79,907,366
Construction & Engineering
— 0.1%
298,577
MDU Resources Group, Inc.
5,846,138
Consumer Finance — 0.3%
420,111
Ally Financial, Inc.
11,208,561
117,553
Navient Corp.
2,024,263
 
13,232,824
Consumer Staples Distribution
& Retail — 1.1%
1,978,989
Walgreens Boots Alliance, Inc.
44,012,715
Containers & Packaging —
0.4%
7,296
Greif, Inc., Class B
485,622
101,208
Packaging Corp. of America
15,540,488
 
16,026,110
Diversified Telecommunication
Services — 8.3%
10,460,738
Verizon Communications, Inc.
339,032,519
Electric Utilities — 8.7%
92,735
ALLETE, Inc.
4,896,408
118,827
Avangrid, Inc.
3,585,010
1,176,837
Duke Energy Corp.
103,867,634
543,565
Edison International
34,402,229
314,226
Entergy Corp.
29,065,905
343,964
Evergy, Inc.
17,438,975
788,366
FirstEnergy Corp.
26,946,350
297,962
NRG Energy, Inc.
11,477,496
324,839
OGE Energy Corp.
10,826,884
169,266
Pinnacle West Capital Corp.
12,471,519
1,501,727
Southern (The) Co.
97,191,771
 
352,170,181
Financial Services — 0.3%
906,744
Western Union (The) Co.
11,950,886
Gas Utilities — 0.5%
88,072
Southwest Gas Holdings, Inc.
5,320,430
84,437
Spire, Inc.
4,777,445
409,434
UGI Corp.
9,416,982
 
19,514,857

First Trust Morningstar Dividend Leaders Index Fund (FDL)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Hotels, Restaurants & Leisure
— 0.1%
101,029
Bloomin’ Brands, Inc.
$2,484,303
50,100
Cracker Barrel Old Country
Store, Inc.
3,366,720
 
5,851,023
Household Durables — 0.4%
92,509
MDC Holdings, Inc.
3,814,146
90,392
Whirlpool Corp.
12,085,410
 
15,899,556
Industrial Conglomerates —
2.3%
1,014,017
3M Co.
94,932,272
Insurance — 3.1%
377,431
Fidelity National Financial, Inc.
15,587,900
354,639
Lincoln National Corp.
8,756,037
689,899
MetLife, Inc.
43,401,546
630,508
Prudential Financial, Inc.
59,828,904
 
127,574,387
IT Services — 4.6%
1,326,998
International Business Machines
Corp.
186,177,819
Leisure Products — 0.3%
163,028
Hasbro, Inc.
10,782,672
Metals & Mining — 0.3%
70,375
Arch Resources, Inc.
12,010,197
Multi-Utilities — 0.3%
137,993
Avista Corp.
4,466,834
101,505
Black Hills Corp.
5,135,138
100,586
Northwestern Energy Group,
Inc.
4,834,163
 
14,436,135
Oil, Gas & Consumable Fuels
— 17.4%
2,102,493
Chevron Corp.
354,522,370
54,472
CVR Energy, Inc.
1,853,682
1,125,860
Devon Energy Corp.
53,703,522
132,007
HF Sinclair Corp.
7,515,158
875,055
ONEOK, Inc.
55,504,739
538,413
Phillips 66
64,690,322
421,580
Pioneer Natural Resources Co.
96,773,689
2,099,755
Williams (The) Cos., Inc.
70,740,746
 
705,304,228
Pharmaceuticals — 7.2%
8,777,768
Pfizer, Inc.
291,158,565
Professional Services — 0.1%
64,028
ManpowerGroup, Inc.
4,694,533
Specialty Retail — 0.7%
28,907
Advance Auto Parts, Inc.
1,616,768
Shares
Description
Value
 
Specialty Retail (Continued)
316,482
Best Buy Co., Inc.
$21,986,005
219,306
Foot Locker, Inc.
3,804,959
 
27,407,732
Technology Hardware, Storage
& Peripherals — 0.1%
217,130
Xerox Holdings Corp.
3,406,770
Textiles, Apparel & Luxury
Goods — 0.1%
54,983
Carter’s, Inc.
3,802,074
Tobacco — 11.5%
5,024,345
Altria Group, Inc.
211,273,707
2,746,622
Philip Morris International, Inc.
254,282,265
 
465,555,972
Total Investments — 99.8%
4,052,589,628
(Cost $4,354,447,681)
Net Other Assets and
Liabilities — 0.2%
9,982,100
Net Assets — 100.0%
$4,062,571,728

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of September 30, 2023 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
9/30/2023
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$4,052,589,628
$4,052,589,628
$
$
*
See Portfolio of Investments for industry breakout.

First Trust US Equity Opportunities ETF (FPX)
Portfolio of Investments
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 100.0%
Aerospace & Defense — 1.0%
412,612
Leonardo DRS, Inc. (a)
$6,890,620
Air Freight & Logistics —
0.2%
18,733
GXO Logistics, Inc. (a)
1,098,691
Automobile Components —
0.7%
126,882
Mobileye Global, Inc.,
Class A (a)
5,271,947
Automobiles — 2.0%
597,269
Rivian Automotive, Inc.,
Class A (a)
14,501,691
Beverages — 0.1%
26,665
Vita Coco (The) Co., Inc. (a)
694,357
Biotechnology — 6.2%
18,544
Apellis Pharmaceuticals, Inc. (a)
705,414
15,232
Arcellx, Inc. (a)
546,524
53,509
Legend Biotech Corp., ADR (a)
3,594,199
15,095
Morphic Holding, Inc. (a)
345,826
42,743
Regeneron Pharmaceuticals,
Inc. (a)
35,175,779
17,195
REVOLUTION Medicines,
Inc. (a)
475,958
121,538
Roivant Sciences Ltd. (a)
1,419,564
29,562
Vaxcyte, Inc. (a)
1,507,071
 
43,770,335
Building Products — 7.5%
23,523
AZEK (The) Co., Inc. (a)
699,574
923,398
Carrier Global Corp.
50,971,569
67,126
Hayward Holdings, Inc. (a)
946,477
40,219
Masterbrand, Inc. (a)
488,661
 
53,106,281
Capital Markets — 0.7%
11,696
AssetMark Financial Holdings,
Inc. (a)
293,336
61,378
Blue Owl Capital Corp. (b)
850,085
34,413
StepStone Group, Inc., Class A
1,086,762
97,388
TPG, Inc.
2,933,327
 
5,163,510
Commercial Services &
Supplies — 0.1%
50,635
ACV Auctions, Inc., Class A (a)
768,639
Communications Equipment
— 0.1%
20,480
Extreme Networks, Inc. (a)
495,821
Construction Materials —
0.1%
17,818
Knife River Corp. (a)
870,053
Shares
Description
Value
 
Consumer Staples Distribution
& Retail — 0.1%
23,506
Maplebear, Inc. (a) (b)
$697,893
Diversified Consumer Services
— 1.5%
65,415
Duolingo, Inc. (a)
10,850,386
Electric Utilities — 3.9%
253,231
Constellation Energy Corp.
27,622,438
Electrical Equipment — 1.5%
118,958
Array Technologies, Inc. (a)
2,639,678
11,906
Atkore, Inc. (a)
1,776,256
27,890
Fluence Energy, Inc. (a)
641,191
75,685
NEXTracker, Inc., Class A (a)
3,039,510
59,929
Vertiv Holdings Co.
2,229,359
 
10,325,994
Electronic Equipment,
Instruments & Components
— 1.0%
11,206
Insight Enterprises, Inc. (a)
1,630,473
170,584
Vontier Corp.
5,274,457
 
6,904,930
Energy Equipment & Services
— 4.1%
31,498
Atlas Energy Solutions, Inc.,
Class A
700,200
795,027
Baker Hughes Co.
28,080,354
 
28,780,554
Entertainment — 2.2%
111,016
Endeavor Group Holdings, Inc.,
Class A
2,209,218
97,134
ROBLOX Corp., Class A (a)
2,813,001
959,629
Warner Bros Discovery, Inc. (a)
10,421,571
 
15,443,790
Financial Services — 3.0%
144,119
Block, Inc. (a)
6,378,707
100,155
Corebridge Financial, Inc.
1,978,061
25,197
Enact Holdings, Inc.
686,114
18,943
Flywire Corp. (a)
604,092
28,538
Remitly Global, Inc. (a)
719,729
311,388
Rocket Cos., Inc., Class A (a) (b)
2,547,154
12,925
Shift4 Payments, Inc.,
Class A (a)
715,657
421,772
Toast, Inc., Class A (a)
7,899,790
 
21,529,304
Ground Transportation —
8.3%
1,287,296
Uber Technologies, Inc. (a)
59,202,743
Health Care Equipment &
Supplies — 4.6%
220,921
Bausch + Lomb Corp. (a)
3,744,611

First Trust US Equity Opportunities ETF (FPX)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Health Care Equipment &
Supplies (Continued)
358,151
GE HealthCare Technologies,
Inc.
$24,368,594
15,325
Glaukos Corp. (a)
1,153,206
17,365
Shockwave Medical, Inc. (a)
3,457,372
 
32,723,783
Health Care Providers &
Services — 0.7%
67,428
HealthEquity, Inc. (a)
4,925,615
Hotels, Restaurants & Leisure
— 13.2%
407,751
Airbnb, Inc., Class A (a)
55,947,515
216,786
DoorDash, Inc., Class A (a)
17,227,983
674,816
DraftKings, Inc., Class A (a)
19,866,583
30,885
Life Time Group Holdings,
Inc. (a)
469,761
 
93,511,842
Insurance — 0.9%
19,768
F&G Annuities & Life, Inc.
554,690
122,943
Ryan Specialty Holdings, Inc. (a)
5,950,441
 
6,505,131
IT Services — 2.9%
52,636
Cloudflare, Inc., Class A (a)
3,318,173
72,095
Kyndryl Holdings, Inc. (a)
1,088,635
103,847
Snowflake, Inc., Class A (a)
15,864,706
21,351
Squarespace, Inc., Class A (a)
618,539
 
20,890,053
Machinery — 5.4%
8,944
Crane Co.
794,585
75,920
Esab Corp.
5,331,102
259,376
Otis Worldwide Corp.
20,830,487
350,153
Symbotic, Inc. (a) (b)
11,705,615
 
38,661,789
Oil, Gas & Consumable Fuels
— 0.7%
29,534
Civitas Resources, Inc.
2,388,415
178,265
Permian Resources Corp.
2,488,579
 
4,876,994
Personal Care Products —
2.3%
103,506
BellRing Brands, Inc. (a)
4,267,552
603,136
Kenvue, Inc.
12,110,971
 
16,378,523
Pharmaceuticals — 0.0%
26,447
Neumora Therapeutics,
Inc. (a) (b)
373,167
Professional Services — 0.3%
37,168
Parsons Corp. (a)
2,020,081
Shares
Description
Value
 
Retail REITs — 0.6%
124,674
Phillips Edison & Co., Inc.
$4,181,566
Semiconductors &
Semiconductor Equipment
— 7.0%
30,297
Allegro MicroSystems, Inc. (a)
967,686
23,629
Credo Technology Group
Holding Ltd. (a)
360,342
174,075
GLOBALFOUNDRIES,
Inc. (a) (b)
10,129,425
407,758
ON Semiconductor Corp. (a)
37,901,106
 
49,358,559
Software — 16.3%
109,546
AppLovin Corp., Class A (a)
4,377,458
34,598
Asana, Inc., Class A (a)
633,489
468,320
Aurora Innovation, Inc. (a)
1,100,552
307,137
Bentley Systems, Inc., Class B
15,405,992
46,712
Braze, Inc., Class A (a)
2,182,852
38,100
Clearwater Analytics Holdings,
Inc., Class A (a)
736,854
47,629
Confluent, Inc., Class A (a)
1,410,295
28,207
Crowdstrike Holdings, Inc.,
Class A (a)
4,721,288
92,465
Freshworks, Inc., Class A (a)
1,841,903
170,541
Gitlab, Inc., Class A (a)
7,711,864
90,713
Informatica, Inc., Class A (a)
1,911,323
22,677
Instructure Holdings, Inc. (a)
575,996
76,332
Intapp, Inc. (a)
2,558,648
67,759
Klaviyo, Inc., Class A (a)
2,337,685
338,881
Palantir Technologies, Inc.,
Class A (a)
5,422,096
179,389
Procore Technologies, Inc. (a)
11,717,689
1,684,937
Samsara, Inc., Class A (a)
42,477,262
42,596
Sprinklr, Inc., Class A (a)
589,529
120,779
Unity Software, Inc. (a)
3,791,253
167,658
Vertex, Inc., Class A (a)
3,872,900
 
115,376,928
Technology Hardware, Storage
& Peripherals — 0.1%
63,813
IonQ, Inc. (a) (b)
949,537
Trading Companies &
Distributors — 0.7%
178,133
Core & Main, Inc., Class A (a)
5,139,137
Total Common Stocks
709,862,682
(Cost $661,090,763)

First Trust US Equity Opportunities ETF (FPX)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 2.3%
$8,249,849
Bank of America Corp., 5.29%
(c), dated 09/29/23, due
10/02/23, with a maturity
value of $8,254,698.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.00%, due 11/15/40 to
02/15/53. The value of the
collateral including accrued
interest is $8,414,848. (d)
$8,249,849
7,926,325
JPMorgan Chase & Co., 5.30%
(c), dated 09/29/23, due
10/02/23, with a maturity
value of $7,930,993.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.25% to
4.38%, due 05/15/24 to
08/15/28. The value of the
collateral including accrued
interest is $8,084,852. (d)
7,926,325
Total Repurchase Agreements
16,176,174
(Cost $16,176,174)
Total Investments — 102.3%
726,038,856
(Cost $677,266,937)
Net Other Assets and
Liabilities — (2.3)%
(16,355,851
)
Net Assets — 100.0%
$709,683,005
(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, including those sold
and pending settlement, is $15,804,336 and the total value of
the collateral held by the Fund is $16,176,174.
(c)
Rate shown reflects yield as of September 30, 2023.
(d)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
ADR
American Depositary Receipt

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of September 30, 2023 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
9/30/2023
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$709,862,682
$709,862,682
$
$
Repurchase
Agreements
16,176,174
16,176,174
Total Investments
$726,038,856
$709,862,682
$16,176,174
$
*
See Portfolio of Investments for industry breakout.

First Trust NYSE® Arca® Biotechnology Index Fund (FBT)
Portfolio of Investments
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 100.0%
Biotechnology — 82.1%
1,469,998
ACADIA Pharmaceuticals,
Inc. (a)
$30,634,758
1,645,200
Agios Pharmaceuticals, Inc. (a)
40,718,700
1,418,416
Alkermes PLC (a)
39,729,832
226,299
Alnylam Pharmaceuticals,
Inc. (a)
40,077,553
192,811
Amgen, Inc.
51,819,884
82,555
Argenx SE, ADR (a)
40,586,515
163,605
Biogen, Inc. (a)
42,048,121
516,140
BioMarin Pharmaceutical,
Inc. (a)
45,668,067
416,944
BioNTech SE, ADR (a)
45,296,796
476,438
Exact Sciences Corp. (a)
32,502,600
2,299,435
Exelixis, Inc. (a)
50,242,655
1,088,625
Genmab A/S, ADR (a) (b)
38,395,804
561,458
Gilead Sciences, Inc.
42,075,663
4,357,641
Grifols S.A., ADR (a)
39,828,839
705,783
Incyte Corp. (a)
40,773,084
1,113,796
Ionis Pharmaceuticals, Inc. (a)
50,521,787
358,110
Moderna, Inc. (a)
36,989,182
458,303
Neurocrine Biosciences, Inc. (a)
51,559,087
61,632
Regeneron Pharmaceuticals,
Inc. (a)
50,720,671
427,657
Sarepta Therapeutics, Inc. (a)
51,840,582
232,603
Seagen, Inc. (a)
49,346,726
1,048,054
Ultragenyx Pharmaceutical,
Inc. (a)
37,363,125
182,389
United Therapeutics Corp. (a)
41,196,203
124,914
Vertex Pharmaceuticals, Inc. (a)
43,437,594
 
1,033,373,828
Life Sciences Tools & Services
— 17.9%
506,327
Bio-Techne Corp.
34,465,679
219,383
Charles River Laboratories
International, Inc. (a)
42,994,680
237,681
Illumina, Inc. (a)
32,628,848
198,353
IQVIA Holdings, Inc. (a)
39,025,953
33,247
Mettler-Toledo International,
Inc. (a)
36,840,003
970,961
QIAGEN N.V. (a)
39,323,921
 
225,279,084
Total Common Stocks
1,258,652,912
(Cost $1,211,853,824)
MONEY MARKET FUNDS — 0.3%
3,932,658
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.19% (c) (d)
3,932,658
(Cost $3,932,658)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.9%
$11,572,798
BNP Paribas S.A., 5.20% (c),
dated 09/29/23, due 10/02/23,
with a maturity value of
$11,577,813. Collateralized by
U.S. Treasury Securities,
interest rates of 4.00% to
5.44%, due 07/31/24 to
02/15/26. The value of the
collateral including accrued
interest is $11,803,007. (d)
$11,572,798
(Cost $11,572,798)
Total Investments — 101.2%
1,274,158,368
(Cost $1,227,359,280)
Net Other Assets and
Liabilities — (1.2)%
(15,485,985
)
Net Assets — 100.0%
$1,258,672,383
(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, including those sold
and pending settlement, is $15,095,560 and the total value of
the collateral held by the Fund is $15,505,456.
(c)
Rate shown reflects yield as of September 30, 2023.
(d)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
ADR
American Depositary Receipt

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of September 30, 2023 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
9/30/2023
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,258,652,912
$1,258,652,912
$
$
Money
Market
Funds
3,932,658
3,932,658
Repurchase
Agreements
11,572,798
11,572,798
Total
Investments
$1,274,158,368
$1,262,585,570
$11,572,798
$
*
See Portfolio of Investments for industry breakout.

First Trust Dow Jones Internet Index Fund (FDN)
Portfolio of Investments
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 100.0%
Broadline Retail — 12.8%
4,047,171
Amazon.com, Inc. (a)
$514,476,378
2,866,715
eBay, Inc.
126,393,464
1,140,164
Etsy, Inc. (a)
73,631,791
 
714,501,633
Communications Equipment
— 11.3%
875,647
Arista Networks, Inc. (a)
161,057,753
1,554,211
Ciena Corp. (a)
73,452,012
5,344,750
Cisco Systems, Inc.
287,333,760
9,033,581
CommScope Holding Co.,
Inc. (a)
30,352,832
2,898,717
Juniper Networks, Inc.
80,555,345
 
632,751,702
Entertainment — 4.3%
636,964
Netflix, Inc. (a)
240,517,606
Financial Services — 3.3%
3,183,540
PayPal Holdings, Inc. (a)
186,109,748
Health Care Technology —
3.2%
2,492,788
Teladoc Health, Inc. (a)
46,340,929
655,407
Veeva Systems, Inc., Class A (a)
133,342,554
 
179,683,483
Hotels, Restaurants & Leisure
— 5.5%
1,331,090
Airbnb, Inc., Class A (a)
182,638,859
1,568,727
DoorDash, Inc., Class A (a)
124,666,735
 
307,305,594
Interactive Media & Services
— 24.0%
2,378,635
Alphabet, Inc., Class A (a)
311,268,176
2,023,373
Alphabet, Inc., Class C (a)
266,781,730
2,131,088
Match Group, Inc. (a)
83,485,372
1,449,127
Meta Platforms, Inc., Class A (a)
435,042,417
3,886,399
Pinterest, Inc., Class A (a)
105,049,365
8,951,976
Snap, Inc., Class A (a)
79,762,106
3,746,620
ZoomInfo Technologies, Inc. (a)
61,444,568
 
1,342,833,734
IT Services — 11.0%
1,026,143
Akamai Technologies, Inc. (a)
109,325,275
1,794,537
Cloudflare, Inc., Class A (a)
113,127,612
2,130,321
Fastly, Inc., Class A (a)
40,838,254
1,219,770
GoDaddy, Inc., Class A (a)
90,848,470
1,139,801
Okta, Inc. (a)
92,905,180
1,116,060
Snowflake, Inc., Class A (a)
170,500,486
 
617,545,277
Real Estate Management &
Development — 2.0%
12,000,402
Opendoor Technologies, Inc. (a)
31,681,061
Shares
Description
Value
 
Real Estate Management &
Development (Continued)
438,038
Zillow Group, Inc., Class A (a)
$19,619,722
1,313,129
Zillow Group, Inc., Class C (a)
60,614,035
 
111,914,818
Software — 21.6%
695,825
Atlassian Corp., Class A (a)
140,215,696
2,194,438
Box, Inc., Class A (a)
53,127,344
2,240,658
Confluent, Inc., Class A (a)
66,345,883
1,424,929
Datadog, Inc., Class A (a)
129,796,783
1,700,484
DocuSign, Inc. (a)
71,420,328
2,717,302
Dropbox, Inc., Class A (a)
73,992,133
2,280,228
Nutanix, Inc., Class A (a)
79,534,353
1,332,586
Salesforce, Inc. (a)
270,221,789
1,643,014
Smartsheet, Inc., Class A (a)
66,476,346
706,258
Workday, Inc., Class A (a)
151,739,531
1,545,857
Zoom Video Communications,
Inc., Class A (a)
108,117,239
 
1,210,987,425
Specialty Retail — 1.0%
1,258,123
Carvana Co. (a) (b)
52,816,004
Total Common Stocks
5,596,967,024
(Cost $6,763,644,012)
MONEY MARKET FUNDS — 0.1%
3,510,305
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.19% (c) (d)
3,510,305
3,630,752
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
5.20% (c)
3,630,752
Total Money Market Funds
7,141,057
(Cost $7,141,057)

First Trust Dow Jones Internet Index Fund (FDN)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.2%
$10,329,920
BNP Paribas S.A., 5.20% (c),
dated 09/29/23, due 10/02/23,
with a maturity value of
$10,334,397. Collateralized by
U.S. Treasury Securities,
interest rates of 4.00% to
5.44%, due 07/31/24 to
02/15/26. The value of the
collateral including accrued
interest is $10,535,406. (d)
$10,329,920
(Cost $10,329,920)
Total Investments — 100.3%
5,614,438,001
(Cost $6,781,114,989)
Net Other Assets and
Liabilities — (0.3)%
(18,123,655
)
Net Assets — 100.0%
$5,596,314,346
(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, including those sold
and pending settlement, is $13,756,846 and the total value of
the collateral held by the Fund is $13,840,225.
(c)
Rate shown reflects yield as of September 30, 2023.
(d)
This security serves as collateral for securities on loan.

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of September 30, 2023 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
9/30/2023
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$5,596,967,024
$5,596,967,024
$
$
Money
Market
Funds
7,141,057
7,141,057
Repurchase
Agreements
10,329,920
10,329,920
Total
Investments
$5,614,438,001
$5,604,108,081
$10,329,920
$
*
See Portfolio of Investments for industry breakout.

First Trust Capital Strength ETF (FTCS)
Portfolio of Investments
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 6.0%
808,684
General Dynamics Corp.
$178,694,904
383,163
Lockheed Martin Corp.
156,698,340
384,293
Northrop Grumman Corp.
169,161,936
 
504,555,180
Beverages — 5.6%
2,790,622
Coca-Cola (The) Co.
156,219,019
2,999,083
Monster Beverage Corp. (a)
158,801,445
916,320
PepsiCo, Inc.
155,261,261
 
470,281,725
Biotechnology — 6.1%
1,212,239
AbbVie, Inc.
180,696,345
2,160,797
Gilead Sciences, Inc.
161,930,127
480,735
Vertex Pharmaceuticals, Inc. (a)
167,170,789
 
509,797,261
Capital Markets — 1.8%
487,021
Moody’s Corp.
153,981,430
Chemicals — 1.9%
575,563
Air Products and Chemicals, Inc.
163,114,554
Commercial Services &
Supplies — 2.0%
3,823,718
Copart, Inc. (a)
164,764,009
Communications Equipment
— 2.1%
3,310,786
Cisco Systems, Inc.
177,987,855
Consumer Staples Distribution
& Retail — 4.2%
312,349
Costco Wholesale Corp.
176,464,691
1,100,253
Walmart, Inc.
175,963,462
 
352,428,153
Electronic Equipment,
Instruments & Components
— 2.1%
2,083,794
Amphenol Corp., Class A
175,017,858
Financial Services — 4.1%
438,364
Mastercard, Inc., Class A
173,552,691
728,303
Visa, Inc., Class A
167,516,973
 
341,069,664
Food Products — 1.9%
2,121,336
Archer-Daniels-Midland Co.
159,991,161
Ground Transportation —
3.9%
5,368,041
CSX Corp.
165,067,261
803,795
Union Pacific Corp.
163,676,776
 
328,744,037
Shares
Description
Value
 
Health Care Equipment &
Supplies — 3.7%
1,524,598
Abbott Laboratories
$147,657,317
589,486
Stryker Corp.
161,088,839
 
308,746,156
Health Care Providers &
Services — 4.0%
904,758
Cencora, Inc.
162,829,297
344,002
UnitedHealth Group, Inc.
173,442,369
 
336,271,666
Household Durables — 4.1%
1,644,303
Garmin Ltd.
172,980,675
27,906
NVR, Inc. (a)
166,411,850
 
339,392,525
Household Products — 3.9%
2,257,378
Colgate-Palmolive Co.
160,522,150
1,139,391
Procter & Gamble (The) Co.
166,191,571
 
326,713,721
Industrial Conglomerates —
3.9%
1,579,320
General Electric Co.
174,593,826
835,313
Honeywell International, Inc.
154,315,724
 
328,909,550
Insurance — 10.5%
2,406,390
Aflac, Inc.
184,690,433
2,117,988
Arch Capital Group Ltd. (a)
168,824,823
2,447,283
Brown & Brown, Inc.
170,918,245
910,235
Marsh & McLennan Cos., Inc.
173,217,721
2,830,058
W.R. Berkley Corp.
179,680,382
 
877,331,604
IT Services — 2.0%
553,516
Accenture PLC, Class A
169,990,299
Machinery — 3.9%
681,800
Illinois Tool Works, Inc.
157,025,358
1,982,107
PACCAR, Inc.
168,518,737
 
325,544,095
Oil, Gas & Consumable Fuels
— 2.2%
1,098,034
Chevron Corp.
185,150,493
Pharmaceuticals — 10.0%
2,693,982
Bristol-Myers Squibb Co.
156,358,715
377,121
Eli Lilly & Co.
202,563,003
1,023,834
Johnson & Johnson
159,462,145
1,578,466
Merck & Co., Inc.
162,503,075
4,659,004
Pfizer, Inc.
154,539,163
 
835,426,101
Professional Services — 4.0%
733,083
Automatic Data Processing, Inc.
176,365,108
1,411,934
Paychex, Inc.
162,838,348
 
339,203,456

First Trust Capital Strength ETF (FTCS)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Specialty Retail — 4.1%
543,722
Home Depot (The), Inc.
$164,291,039
2,036,069
TJX (The) Cos., Inc.
180,965,813
 
345,256,852
Technology Hardware, Storage
& Peripherals — 1.9%
907,816
Apple, Inc.
155,427,177
Total Investments — 99.9%
8,375,096,582
(Cost $8,157,434,783)
Net Other Assets and
Liabilities — 0.1%
8,924,973
Net Assets — 100.0%
$8,384,021,555
(a)
Non-income producing security.

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of September 30, 2023 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
9/30/2023
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$8,375,096,582
$8,375,096,582
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Value Line® Dividend Index Fund (FVD)
Portfolio of Investments
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
Aerospace & Defense — 3.1%
303,655
General Dynamics Corp.
$67,098,645
382,416
L3Harris Technologies, Inc.
66,586,274
161,300
Lockheed Martin Corp.
65,965,248
156,500
Northrop Grumman Corp.
68,889,735
924,375
RTX Corp.
66,527,269
 
335,067,171
Air Freight & Logistics —
1.2%
778,142
C.H. Robinson Worldwide, Inc.
67,021,370
431,604
United Parcel Service, Inc.,
Class B
67,274,116
 
134,295,486
Automobiles — 0.6%
360,322
Toyota Motor Corp., ADR
64,767,880
Banks — 3.0%
774,793
Bank of Montreal
65,369,285
1,658,398
Canadian Imperial Bank of
Commerce
64,030,747
454,771
JPMorgan Chase & Co.
65,950,891
744,232
Royal Bank of Canada
65,075,646
1,087,717
Toronto-Dominion (The) Bank
65,545,826
 
325,972,395
Beverages — 2.4%
1,168,437
Coca-Cola (The) Co.
65,409,103
435,585
Diageo PLC, ADR
64,980,570
2,050,532
Keurig Dr Pepper, Inc.
64,735,295
382,044
PepsiCo, Inc.
64,733,536
 
259,858,504
Biotechnology — 1.8%
430,653
AbbVie, Inc.
64,193,136
249,574
Amgen, Inc.
67,075,508
890,037
Gilead Sciences, Inc.
66,699,373
 
197,968,017
Building Products — 1.2%
1,033,058
A.O. Smith Corp.
68,316,126
1,208,950
Johnson Controls
International PLC
64,328,229
 
132,644,355
Capital Markets — 2.5%
331,601
CME Group, Inc.
66,393,152
202,536
Goldman Sachs Group (The),
Inc.
65,534,573
1,369,273
Nasdaq, Inc.
66,532,975
628,611
T. Rowe Price Group, Inc.
65,922,436
 
264,383,136
Chemicals — 3.7%
229,966
Air Products and Chemicals, Inc.
65,172,364
977,277
International Flavors &
Fragrances, Inc.
66,620,973
Shares
Description
Value
 
Chemicals (Continued)
145,025
NewMarket Corp.
$65,992,176
504,366
PPG Industries, Inc.
65,466,707
1,102,122
Sensient Technologies Corp.
64,452,095
887,186
Stepan Co.
66,512,334
 
394,216,649
Commercial Services &
Supplies — 1.2%
1,184,655
Brady Corp., Class A
65,061,253
423,785
Waste Management, Inc.
64,601,785
 
129,663,038
Communications Equipment
— 1.2%
1,245,344
Cisco Systems, Inc.
66,949,694
2,387,136
Juniper Networks, Inc.
66,338,509
 
133,288,203
Consumer Finance — 0.6%
434,651
American Express Co.
64,845,583
Consumer Staples Distribution
& Retail — 0.6%
1,457,031
Kroger (The) Co.
65,202,137
Containers & Packaging —
2.5%
359,914
Avery Dennison Corp.
65,745,490
441,503
Packaging Corp. of America
67,792,786
1,536,360
Silgan Holdings, Inc.
66,232,480
1,225,415
Sonoco Products Co.
66,601,305
 
266,372,061
Diversified Telecommunication
Services — 0.6%
3,945,568
TELUS Corp.
64,470,581
Electric Utilities — 11.7%
1,196,574
ALLETE, Inc.
63,179,107
1,304,627
Alliant Energy Corp.
63,209,178
846,477
American Electric Power Co.,
Inc.
63,672,000
2,019,440
Avangrid, Inc.
60,926,505
713,759
Duke Energy Corp.
62,996,369
692,606
Entergy Corp.
64,066,055
1,249,782
Evergy, Inc.
63,363,947
1,077,513
Eversource Energy
62,657,381
1,652,637
Exelon Corp.
62,453,152
1,661,705
Fortis, Inc.
63,128,173
682,463
IDACORP, Inc.
63,912,660
906,385
MGE Energy, Inc.
62,096,436
987,126
NextEra Energy, Inc.
56,552,449
1,898,011
OGE Energy Corp.
63,260,707
874,259
Otter Tail Corp.
66,373,743
860,370
Pinnacle West Capital Corp.
63,392,062
1,487,628
PNM Resources, Inc.
66,363,085
1,544,550
Portland General Electric Co.
62,523,384

First Trust Value Line® Dividend Index Fund (FVD)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Electric Utilities (Continued)
961,189
Southern (The) Co.
$62,208,152
1,119,534
Xcel Energy, Inc.
64,059,736
 
1,260,394,281
Electrical Equipment — 0.6%
678,910
Emerson Electric Co.
65,562,339
Electronic Equipment,
Instruments & Components
— 0.6%
541,340
TE Connectivity Ltd.
66,871,730
Food Products — 7.9%
861,594
Archer-Daniels-Midland Co.
64,981,420
2,354,229
Conagra Brands, Inc.
64,552,959
2,933,968
Flowers Foods, Inc.
65,075,410
1,028,113
General Mills, Inc.
65,788,951
323,355
Hershey (The) Co.
64,696,868
1,710,790
Hormel Foods Corp.
65,061,344
676,362
Ingredion, Inc.
66,554,021
404,700
J & J Snack Foods Corp.
66,229,155
526,495
J.M. Smucker (The) Co.
64,711,501
1,119,534
Kellogg Co.
66,623,468
402,035
Lancaster Colony Corp.
66,347,836
881,430
McCormick & Co., Inc.
66,671,365
955,397
Mondelez International, Inc.,
Class A
66,304,552
 
853,598,850
Gas Utilities — 2.9%
602,833
Atmos Energy Corp.
63,858,099
619,605
Chesapeake Utilities Corp.
60,566,389
1,571,890
New Jersey Resources Corp.
63,865,891
911,593
ONE Gas, Inc.
62,243,570
1,137,705
Spire, Inc.
64,371,349
 
314,905,298
Ground Transportation —
1.8%
597,260
Canadian National Railway Co.
64,701,176
328,279
Norfolk Southern Corp.
64,647,984
319,464
Union Pacific Corp.
65,052,454
 
194,401,614
Health Care Equipment &
Supplies — 1.8%
683,305
Abbott Laboratories
66,178,090
1,776,030
Baxter International, Inc.
67,027,372
832,831
Medtronic PLC
65,260,637
 
198,466,099
Health Care Providers &
Services — 1.2%
917,752
CVS Health Corp.
64,077,445
535,806
Quest Diagnostics, Inc.
65,293,319
 
129,370,764
Shares
Description
Value
 
Hotels, Restaurants & Leisure
— 1.8%
246,872
McDonald’s Corp.
$65,035,960
718,155
Starbucks Corp.
65,546,007
532,943
Yum! Brands, Inc.
66,585,898
 
197,167,865
Household Durables — 0.6%
631,887
Garmin Ltd.
66,474,512
Household Products — 3.7%
504,330
Clorox (The) Co.
66,097,490
922,195
Colgate-Palmolive Co.
65,577,286
539,364
Kimberly-Clark Corp.
65,182,139
442,061
Procter & Gamble (The) Co.
64,479,018
2,564,539
Reynolds Consumer Products,
Inc.
65,729,135
331,487
WD-40 Co.
67,371,418
 
394,436,486
Industrial Conglomerates —
1.2%
702,614
3M Co.
65,778,723
347,137
Honeywell International, Inc.
64,130,089
 
129,908,812
Insurance — 5.5%
867,319
Aflac, Inc.
66,566,733
577,935
Allstate (The) Corp.
64,387,738
450,984
Assurant, Inc.
64,752,283
313,822
Chubb Ltd.
65,331,464
225,249
Erie Indemnity Co., Class A
66,175,904
588,817
Hanover Insurance Group (The),
Inc.
65,346,911
1,340,876
Sun Life Financial, Inc.
65,434,749
396,811
Travelers (The) Cos., Inc.
64,803,204
311,363
Willis Towers Watson PLC
65,062,412
 
587,861,398
IT Services — 1.8%
771,379
Amdocs Ltd.
65,173,812
955,123
Cognizant Technology Solutions
Corp., Class A
64,700,032
3,782,008
Infosys Ltd., ADR
64,710,157
 
194,584,001
Machinery — 3.7%
242,831
Caterpillar, Inc.
66,292,863
287,679
Cummins, Inc.
65,723,144
1,106,700
Donaldson Co., Inc.
66,003,588
284,051
Illinois Tool Works, Inc.
65,419,786
259,866
Snap-on, Inc.
66,281,422
819,000
Toro (The) Co.
68,058,900
 
397,779,703
Media — 0.6%
1,484,315
Comcast Corp., Class A
65,814,527

First Trust Value Line® Dividend Index Fund (FVD)
Portfolio of Investments (Continued)
September 30, 2023 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Multi-Utilities — 5.9%
837,223
Ameren Corp.
$62,649,397
1,985,726
Avista Corp.
64,277,951
1,238,627
Black Hills Corp.
62,662,140
1,190,586
CMS Energy Corp.
63,232,022
738,125
Consolidated Edison, Inc.
63,131,831
630,336
DTE Energy Co.
62,579,758
1,321,976
Northwestern Energy Group,
Inc.
63,534,167
1,104,678
Public Service Enterprise Group,
Inc.
62,867,225
929,408
Sempra
63,227,626
786,041
WEC Energy Group, Inc.
63,315,603
 
631,477,720
Personal Care Products —
0.6%
1,338,717
Unilever PLC, ADR
66,132,620
Pharmaceuticals — 4.3%
966,081
AstraZeneca PLC, ADR
65,423,005
1,125,780
Bristol-Myers Squibb Co.
65,340,271
415,581
Johnson & Johnson
64,726,741
629,262
Merck & Co., Inc.
64,782,523
654,175
Novartis AG, ADR
66,634,265
2,019,440
Pfizer, Inc.
66,984,825
1,225,415
Sanofi, ADR
65,731,261
 
459,622,891
Professional Services — 4.3%
277,485
Automatic Data Processing, Inc.
66,757,341
616,165
Booz Allen Hamilton Holding
Corp.
67,328,350
359,837
Broadridge Financial Solutions,
Inc.
64,428,815
1,299,284
CSG Systems International, Inc.
66,419,398
582,431
Paychex, Inc.
67,171,767
901,848
Robert Half, Inc.
66,087,422
529,167
Thomson Reuters Corp.
64,727,707
 
462,920,800
Semiconductors &
Semiconductor Equipment
— 1.9%
379,642
Analog Devices, Inc.
66,471,518
772,277
Taiwan Semiconductor
Manufacturing Co., Ltd., ADR
67,110,871
413,928
Texas Instruments, Inc.
65,818,691
 
199,401,080
Software — 1.2%
1,871,350
Open Text Corp.
65,684,385
504,742
SAP SE, ADR
65,273,235
 
130,957,620
Shares
Description
Value
 
Specialized REITs — 1.9%
401,885
American Tower Corp.
$66,089,988
721,493
Crown Castle, Inc.
66,399,001
252,535
Public Storage
66,548,023
 
199,037,012
Specialty Retail — 1.8%
217,298
Home Depot (The), Inc.
65,658,763
313,419
Lowe’s Cos., Inc.
65,141,005
322,756
Tractor Supply Co.
65,535,606
 
196,335,374
Tobacco — 0.6%
1,582,354
Altria Group, Inc.
66,537,986
Trading Companies &
Distributors — 1.9%
1,215,568
Fastenal Co.
66,418,636
697,396
MSC Industrial Direct Co., Inc.,
Class A
68,449,417
184,995
Watsco, Inc.
69,876,311
 
204,744,364
Water Utilities — 1.2%
824,782
American States Water Co.
64,893,848
979,428
Middlesex Water Co.
64,887,105
 
129,780,953
Wireless Telecommunication
Services — 0.6%
1,655,923
Rogers Communications, Inc.,
Class B
63,570,884
Total Investments — 99.8%
10,761,132,779
(Cost $10,605,394,247)
Net Other Assets and
Liabilities — 0.2%
22,280,115
Net Assets — 100.0%
$10,783,412,894
Abbreviations throughout the Portfolio of Investments:
ADR
American Depositary Receipt

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of September 30, 2023 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
9/30/2023
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$10,761,132,779
$10,761,132,779
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Exchange-Traded Fund
Additional Information
September 30, 2023 (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. S&P® is a registered trademark 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 Fund is not sponsored, endorsed, sold or promoted by IPOX, and IPOX makes no representation regarding the advisability of trading in such Fund. IPOX® is an international trademark of IPOX Schuster LLC. Index of Initial Public Offerings (IPOX) and IPOX Derivatives Patent No. US 7,698,197.
Source ICE Data Indices, LLC (“ICE Data”), is used with permission. “NYSE®” and “NYSE® Arca®” are service/trademarks of ICE Data Indices, LLC or its affiliates. These trademarks have been licensed, along with the NYSE® Arca® Biotechnology Index (the “Index”) for use by First Trust Advisors L.P. in connection with First Trust NYSE® Arca® Biotechnology Index Fund (the “Product”). Neither First Trust Advisors L.P., First Trust Exchange-Traded Fund (the “Trust”) nor the Product, as applicable, is sponsored, endorsed, sold or promoted by ICE Data Indices, LLC, its affiliates or its Third Party Suppliers (“ICE Data and its Suppliers”). ICE Data and its Suppliers make no representations or warranties regarding the advisability of investing in securities generally, in the Product particularly, the Trust or the ability of the Index to track general market performance. Past performance of an Index is not an indicator of or a guarantee of future results.
ICE DATA AND ITS SUPPLIERS DISCLAIM ANY AND ALL WARRANTIES AND REPRESENTATIONS, EXPRESS AND/OR IMPLIED, INCLUDING ANY WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE, INCLUDING THE INDICES, INDEX DATA AND ANY INFORMATION INCLUDED IN, RELATED TO, OR DERIVED THEREFROM (“INDEX DATA”). ICE DATA AND ITS SUPPLIERS SHALL NOT BE SUBJECT TO ANY DAMAGES OR LIABILITY WITH RESPECT TO THE ADEQUACY, ACCURACY, TIMELINESS OR COMPLETENESS OF THE INDICES AND THE INDEX DATA, WHICH ARE PROVIDED ON AN “AS IS” BASIS AND YOUR USE IS AT YOUR OWN RISK.
Nasdaq® and The Capital StrengthTM 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 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.

First Trust Exchange-Traded Fund
Additional Information (Continued)
September 30, 2023 (Unaudited)
Value Line® and Value Line® Dividend Index are trademarks or registered trademarks of Value Line, Inc. (“Value Line”) and have been licensed for use for certain purposes by First Trust. The Fund is 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.