First Trust New Constructs Core Earnings Leaders ETF (FTCE)
Holdings of the Fund as of 4/25/2025

Total Number of Holdings (excluding cash): 100

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
Broadcom Inc. AVGO 11135F101 Information Technology 11,121 $2,138,679.51 5.23%
NVIDIA Corporation NVDA 67066G104 Information Technology 17,180 $1,907,151.80 4.66%
Apple Inc. AAPL 037833100 Information Technology 8,383 $1,754,394.24 4.29%
The Walt Disney Company DIS 254687106 Communication Services 18,865 $1,703,132.20 4.16%
General Motors Company GM 37045V100 Consumer Discretionary 31,985 $1,506,813.35 3.68%
Spotify Technology S.A. SPOT L8681T102 Communication Services 2,264 $1,405,310.08 3.44%
Eli Lilly and Company LLY 532457108 Health Care 1,548 $1,369,267.92 3.35%
Yum! Brands, Inc. YUM 988498101 Consumer Discretionary 8,972 $1,321,575.60 3.23%
Mastercard Incorporated MA 57636Q104 Financials 2,438 $1,300,624.24 3.18%
Ford Motor Company F 345370860 Consumer Discretionary 125,364 $1,258,654.56 3.08%
Oracle Corporation ORCL 68389X105 Information Technology 9,087 $1,258,458.63 3.08%
International Business Machines Corporation IBM 459200101 Information Technology 5,057 $1,175,297.37 2.87%
Philip Morris International Inc. PM 718172109 Consumer Staples 5,982 $1,018,375.68 2.49%
The Coca-Cola Company KO 191216100 Consumer Staples 13,506 $971,216.46 2.37%
Take-Two Interactive Software, Inc. TTWO 874054109 Communication Services 3,047 $686,732.86 1.68%
Johnson & Johnson JNJ 478160104 Health Care 4,369 $675,360.02 1.65%
The Boeing Company BA 097023105 Industrials 3,686 $655,923.70 1.60%
Honeywell International Inc. HON 438516106 Industrials 3,209 $639,104.44 1.56%
Newmont Corporation NEM 651639106 Materials 11,213 $604,829.22 1.48%
AbbVie Inc. ABBV 00287Y109 Health Care 3,211 $597,438.66 1.46%
Eaton Corporation Plc ETN G29183103 Industrials 1,946 $562,043.72 1.37%
Schlumberger Limited SLB 806857108 Energy 15,232 $525,808.64 1.29%
CrowdStrike Holdings, Inc. (Class A) CRWD 22788C105 Information Technology 1,224 $520,053.12 1.27%
KLA Corporation KLAC 482480100 Information Technology 738 $512,622.18 1.25%
MicroStrategy Incorporated (Class A) MSTR 594972408 Information Technology 1,269 $467,892.99 1.14%
Phillips 66 PSX 718546104 Energy 4,485 $466,305.45 1.14%
S&P Global Inc. SPGI 78409V104 Financials 950 $456,000.00 1.11%
Intel Corporation INTC 458140100 Information Technology 21,696 $435,004.80 1.06%
Arista Networks, Inc. ANET 040413205 Information Technology 5,453 $424,843.23 1.04%
Motorola Solutions, Inc. MSI 620076307 Information Technology 920 $395,802.40 0.97%
BlackRock, Inc. BLK 09290D101 Financials 425 $385,768.25 0.94%
The Charles Schwab Corporation SCHW 808513105 Financials 4,588 $366,764.72 0.90%
TransDigm Group Incorporated TDG 893641100 Industrials 267 $367,960.71 0.90%
Warner Bros. Discovery, Inc. WBD 934423104 Communication Services 39,947 $343,144.73 0.84%
Marsh & McLennan Companies, Inc. MMC 571748102 Financials 1,468 $321,844.32 0.79%
Fiserv, Inc. FI 337738108 Financials 1,692 $300,380.76 0.73%
Occidental Petroleum Corporation OXY 674599105 Energy 7,314 $295,193.04 0.72%
Marvell Technology, Inc. MRVL 573874104 Information Technology 4,766 $280,812.72 0.69%
Intercontinental Exchange, Inc. ICE 45866F104 Financials 1,707 $278,633.61 0.68%
Boston Scientific Corporation BSX 101137107 Health Care 2,676 $272,684.40 0.67%
NXP Semiconductors N.V. NXPI N6596X109 Information Technology 1,344 $260,131.20 0.64%
American Tower Corporation AMT 03027X100 Real Estate 1,136 $239,491.52 0.59%
Arthur J. Gallagher & Co. AJG 363576109 Financials 754 $243,014.20 0.59%
Gilead Sciences, Inc. GILD 375558103 Health Care 2,265 $233,680.05 0.57%
Pfizer Inc. PFE 717081103 Health Care 10,228 $234,425.76 0.57%
PPG Industries, Inc. PPG 693506107 Materials 2,284 $234,269.88 0.57%
Vertex Pharmaceuticals Incorporated VRTX 92532F100 Health Care 468 $231,117.12 0.57%
FedEx Corporation FDX 31428X106 Industrials 1,090 $230,600.40 0.56%
Stryker Corporation SYK 863667101 Health Care 627 $228,892.62 0.56%
TE Connectivity Plc TEL G87052109 Information Technology 1,471 $212,368.27 0.52%
Aon Plc (Class A) AON G0403H108 Financials 626 $210,242.10 0.51%
Dominion Energy, Inc. D 25746U109 Utilities 3,913 $207,193.35 0.51%
Atlassian Corporation (Class A) TEAM 049468101 Information Technology 884 $202,153.12 0.49%
Capital One Financial Corporation COF 14040H105 Financials 1,100 $201,003.00 0.49%
L3Harris Technologies, Inc. LHX 502431109 Industrials 934 $201,818.72 0.49%
Moody's Corporation MCO 615369105 Financials 458 $200,887.96 0.49%
Equinix, Inc. EQIX 29444U700 Real Estate 235 $196,953.50 0.48%
PayPal Holdings, Inc. PYPL 70450Y103 Financials 2,984 $194,974.56 0.48%
Corning Incorporated GLW 219350105 Information Technology 4,308 $190,327.44 0.47%
International Flavors & Fragrances Inc. IFF 459506101 Materials 2,519 $192,048.56 0.47%
Otis Worldwide Corporation OTIS 68902V107 Industrials 1,971 $183,165.03 0.45%
Aflac Incorporated AFL 001055102 Financials 1,650 $178,101.00 0.44%
Consolidated Edison, Inc. ED 209115104 Utilities 1,612 $178,045.40 0.44%
Bristol-Myers Squibb Company BMY 110122108 Health Care 3,686 $176,559.40 0.43%
Kenvue Inc. KVUE 49177J102 Consumer Staples 7,387 $169,974.87 0.42%
The Travelers Companies, Inc. TRV 89417E109 Financials 670 $173,637.20 0.42%
Entergy Corporation ETR 29364G103 Utilities 1,995 $168,796.95 0.41%
The Cigna Group CI 125523100 Health Care 504 $169,021.44 0.41%
Vertiv Holdings Co VRT 92537N108 Industrials 1,816 $157,901.20 0.39%
American International Group, Inc. AIG 026874784 Financials 1,859 $150,987.98 0.37%
Ingersoll-Rand Inc. IR 45687V106 Industrials 1,987 $148,985.26 0.36%
HP Inc. HPQ 40434L105 Information Technology 5,170 $130,697.60 0.32%
Keysight Technologies, Inc. KEYS 49338L103 Information Technology 848 $122,120.48 0.30%
MSCI Inc. MSCI 55354G100 Financials 227 $121,526.72 0.30%
Realty Income Corporation O 756109104 Real Estate 2,124 $120,834.36 0.30%
PPL Corporation PPL 69351T106 Utilities 3,327 $119,539.11 0.29%
CenterPoint Energy, Inc. CNP 15189T107 Utilities 3,030 $115,715.70 0.28%
DTE Energy Company DTE 233331107 Utilities 848 $114,276.48 0.28%
Zoetis Inc. ZTS 98978V103 Health Care 750 $115,102.50 0.28%
Constellation Brands, Inc. (Class A) STZ 21036P108 Consumer Staples 599 $111,024.65 0.27%
Becton, Dickinson and Company BDX 075887109 Health Care 527 $108,077.16 0.26%
Crown Castle Inc. CCI 22822V101 Real Estate 1,058 $106,001.02 0.26%
Edison International EIX 281020107 Utilities 1,803 $104,501.88 0.26%
Nasdaq, Inc. NDAQ 631103108 Financials 1,399 $105,428.64 0.26%
Church & Dwight Co., Inc. CHD 171340102 Consumer Staples 942 $93,550.02 0.23%
Equifax Inc. EFX 294429105 Industrials 369 $94,641.12 0.23%
CBRE Group, Inc. CBRE 12504L109 Real Estate 731 $88,253.63 0.22%
The Hershey Company HSY 427866108 Consumer Staples 559 $91,273.52 0.22%
Willis Towers Watson Plc WTW G96629103 Financials 300 $90,657.00 0.22%
Broadridge Financial Solutions, Inc. BR 11133T103 Industrials 347 $82,488.84 0.20%
CoStar Group, Inc. CSGP 22160N109 Real Estate 1,012 $83,813.84 0.20%
Extra Space Storage Inc. EXR 30225T102 Real Estate 511 $72,076.55 0.18%
US Dollar $USD Other 74,743 $74,742.97 0.18%
LPL Financial Holdings Inc. LPLA 50212V100 Financials 222 $69,827.88 0.17%
Cboe Global Markets, Inc. CBOE 12503M108 Financials 312 $66,640.08 0.16%
Corpay, Inc. CPAY 219948106 Financials 202 $65,050.06 0.16%
Markel Group Inc MKL 570535104 Financials 37 $66,716.55 0.16%
Iron Mountain Incorporated IRM 46284V101 Real Estate 710 $62,281.20 0.15%
Alnylam Pharmaceuticals, Inc. ALNY 02043Q107 Health Care 234 $58,865.04 0.14%
SBA Communications Corporation SBAC 78410G104 Real Estate 260 $57,743.40 0.14%
Global Payments Inc. GPN 37940X102 Financials 757 $54,867.36 0.13%
Holdings are subject to change.

The holdings information set forth above for the date indicated reflects creation and redemption transactions from the prior business day and may differ from the holdings information currently available from the Fund's custodian and accounting agent. With respect to the market value of the Fund's holdings set forth above, the pricing sources are generally third party vendors. The Fund ultimately relies on pricing information provided by the Fund's accounting agent.