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First Trust US Equity Opportunities ETF (FPX)
Holdings of the Fund as of 2/24/2017
View Index Holdings

Total Number of Holdings: 102

Security Name Identifier Classification Weighting Descending sort
The Kraft Heinz Company KHC Consumer Staples 10.25%
AbbVie Inc. ABBV Health Care 9.13%
Shire Plc (ADR) SHPG Health Care 4.94%
PayPal Holdings, Inc. PYPL Information Technology 4.70%
Facebook, Inc. (Class A) FB Information Technology 3.61%
Hewlett Packard Enterprise Company HPE Information Technology 3.46%
Synchrony Financial SYF Financials 2.72%
Zoetis Inc. ZTS Health Care 2.41%
Restaurant Brands International Inc. QSR Consumer Discretionary 2.31%
Fortive Corporation FTV Industrials 1.81%
Quintiles IMS Holdings, Inc. Q Health Care 1.73%
Hilton Worldwide Holdings Inc. HLT Consumer Discretionary 1.72%
Citizens Financial Group, Inc. CFG Financials 1.70%
Fiat Chrysler Automobiles N.V. FCAU Consumer Discretionary 1.66%
IHS Markit Ltd. INFO Industrials 1.53%
Liberty Broadband Corporation (Class A) LBRDA Consumer Discretionary 1.40%
First Data Corporation (Class A) FDC Information Technology 1.34%
First Republic Bank FRC Financials 1.32%
Coty Inc. (Class A) COTY Consumer Staples 1.26%
Liberty SiriusXM Group (Class A) LSXMA Consumer Discretionary 1.18%
Alaska Air Group, Inc. ALK Industrials 1.08%
Norwegian Cruise Line Holdings Ltd. NCLH Consumer Discretionary 1.03%
Twitter, Inc. TWTR Information Technology 1.03%
Ally Financial Inc. ALLY Financials 0.97%
CDK Global, Inc. CDK Information Technology 0.90%
CDW Corporation CDW Information Technology 0.86%
Aramark ARMK Consumer Discretionary 0.79%
Xylem Inc. XYL Industrials 0.78%
Arista Networks, Inc. ANET Information Technology 0.77%
HD Supply Holdings, Inc. HDS Industrials 0.77%
Envision Healthcare Corporation EVHC Health Care 0.76%
Voya Financial, Inc. VOYA Financials 0.73%
Diamondback Energy, Inc. FANG Energy 0.71%
News Corporation (Class A) NWSA Consumer Discretionary 0.69%
Antero Resources Corporation AR Energy 0.68%
Zayo Group Holdings, Inc. ZAYO Telecommunication Services 0.68%
CommScope Holding Company, Inc. COMM Information Technology 0.65%
Allegion Public Limited Company ALLE Industrials 0.64%
Axalta Coating Systems Ltd. AXTA Materials 0.64%
Pinnacle Foods Inc. PF Consumer Staples 0.61%
Gaming and Leisure Properties, Inc. GLPI Real Estate 0.60%
TransUnion TRU Industrials 0.60%
Keysight Technologies, Inc. KEYS Information Technology 0.58%
Zillow Group, Inc. (Class C) Z Information Technology 0.58%
Alcoa Corp AA Materials 0.57%
Adient Plc ADNT Consumer Discretionary 0.56%
Burlington Stores, Inc. BURL Consumer Discretionary 0.56%
GoDaddy Inc. (Class A) GDDY Information Technology 0.56%
Square, Inc. (Class A) SQ Information Technology 0.56%
The Chemours Company CC Materials 0.56%
US Foods Holding Corp. USFD Consumer Staples 0.56%
Berry Plastics Group, Inc. BERY Materials 0.55%
Parsley Energy, Inc. (Class A) PE Energy 0.55%
Sabre Corporation SABR Information Technology 0.55%
Veeva Systems Inc. (Class A) VEEV Health Care 0.55%
Black Knight Financial Services, Inc. (Class A) BKFS Information Technology 0.53%
Lamb Weston Holdings, Inc. LW Consumer Staples 0.52%
Cheniere Energy Partners LP Holdings, LLC CQH Energy 0.50%
MGM Growth Properties LLC (Class A) MGP Real Estate 0.49%
ServiceMaster Global Holdings, Inc. SERV Consumer Discretionary 0.49%
Park Hotels & Resorts Inc PK Real Estate 0.46%
RSP Permian, Inc. RSPP Energy 0.46%
CSRA Inc. CSRA Information Technology 0.45%
Blue Buffalo Pet Products, Inc. BUFF Consumer Staples 0.44%
Valvoline Inc. VVV Materials 0.42%
Communications Sales & Leasing, Inc. CSAL Real Estate 0.41%
First Hawaiian, Inc. FHB Financials 0.40%
Univar Inc. UNVR Industrials 0.40%
The Madison Square Garden Company (Class A) MSG Consumer Discretionary 0.39%
The Michaels Companies, Inc. MIK Consumer Discretionary 0.39%
Match Group, Inc. (Class A) MTCH Information Technology 0.38%
Nutanix, Inc. (Class A) NTNX Information Technology 0.38%
Bright Horizons Family Solutions Inc. BFAM Consumer Discretionary 0.37%
Science Applications International Corporation SAIC Information Technology 0.35%
STORE Capital Corporation STOR Real Estate 0.35%
Cable One, Inc. CABO Consumer Discretionary 0.33%
PRA Health Sciences, Inc. PRAH Health Care 0.33%
VWR Corporation VWR Health Care 0.33%
Bats Global Markets, Inc. BATS Financials 0.31%
Extended Stay America, Inc. STAY Consumer Discretionary 0.31%
ONE Gas, Inc. OGS Utilities 0.31%
Energizer Holdings, Inc. ENR Consumer Staples 0.30%
Versum Materials Inc VSM Information Technology 0.30%
Wayfair Inc. (Class A) W Consumer Discretionary 0.30%
AMC Entertainment Holdings, Inc. (Class A) AMC Consumer Discretionary 0.29%
Hilton Grand Vacations Inc. HGV Consumer Discretionary 0.27%
INC Research Holdings, Inc. (Class A) INCR Health Care 0.27%
Lumentum Holdings Inc. LITE Information Technology 0.26%
Urban Edge Properties UE Real Estate 0.26%
Colony NorthStar, Inc. (Class A) CLNS Real Estate 0.24%
Murphy USA Inc. MUSA Consumer Discretionary 0.23%
Red Rock Resorts Inc-Class A RRR Consumer Discretionary 0.23%
Box, Inc. (Class A) BOX Information Technology 0.21%
AdvancePierre Foods Holdings, Inc. APFH Consumer Staples 0.20%
Ingevity Corporation NGVT Materials 0.20%
NOW Inc. DNOW Industrials 0.19%
Planet Fitness, Inc. (Class A) PLNT Consumer Discretionary 0.19%
Acacia Communications, Inc. ACIA Information Technology 0.18%
FCB Financial Holdings, Inc. (Class A) FCB Financials 0.18%
Advanced Disposal Services, Inc. ADSW Industrials 0.17%
Party City Holdco Inc. PRTY Consumer Discretionary 0.16%
Medpace Holdings, Inc. MEDP Health Care 0.13%
Holdings are subject to change.

First Trust Portfolios L.P.  Member SIPC and FINRA.
First Trust Advisors L.P.
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