First Trust Emerging Markets Human Flourishing ETF (FTHF)
Holdings of the Fund as of 7/8/2026

Total Number of Holdings (excluding cash): 100

Security Name Identifier CUSIP Shares / Quantity Market Value Weighting Descending sort
SK Hynix Inc. 000660.KS Y8085F100 14,643 $20,255,784.08 16.25%
Samsung Electronics Co., Ltd. 005930.KS Y74718100 70,675 $13,068,340.81 10.48%
Taiwan Semiconductor Manufacturing Company Ltd. 2330.TT Y84629107 141,041 $10,828,020.00 8.69%
Petroleo Brasileiro S.A. (Petrobras) (Preference Shares) PETR4.BZ P78331140 831,129 $6,401,683.24 5.14%
Itau Unibanco Holding S.A. (Preference Shares) ITUB4.BZ P5968U113 465,168 $3,785,321.24 3.04%
MediaTek Inc. 2454.TT Y5945U103 30,498 $3,794,677.67 3.04%
Gold Fields Limited GFI.SJ S31755101 87,131 $2,847,803.72 2.28%
Grupo Financiero Banorte, S.A.B. de C.V. GFNORTEO.MM P49501201 219,636 $2,339,005.16 1.88%
Delta Electronics Inc. 2308.TT Y20263102 39,240 $2,303,706.23 1.85%
Valterra Platinum Limited VAL.SJ S9122P108 35,715 $2,301,802.84 1.85%
FirstRand Limited FSR.SJ S5202Z131 393,737 $2,280,238.26 1.83%
WEG S.A. WEGE3.BZ P9832B129 255,318 $2,249,268.39 1.80%
International Container Terminal Services, Inc. ICT.PM Y41157101 140,430 $2,168,891.24 1.74%
Capitec Bank Holdings Limited CPI.SJ S15445109 6,931 $1,988,353.09 1.59%
Standard Bank Group Limited SBK.SJ S80605140 100,654 $1,949,130.76 1.56%
Walmart de Mexico, S.A.B. de C.V. WALMEX*.MM P98180188 680,882 $1,927,090.42 1.55%
Powszechna Kasa Oszczednosci Bank Polski S.A. PKO.PW X6919X108 66,956 $1,882,957.10 1.51%
Cia. de Saneamento Basico do Estado de Sao Paulo - SABESP SBSP3.BZ P2R268136 302,012 $1,716,060.61 1.38%
KGHM Polska Miedz S.A. KGH.PW X45213109 18,649 $1,472,920.94 1.18%
United Microelectronics Corporation 2303.TT Y92370108 255,944 $1,299,329.56 1.04%
Itausa S.A. (Preference Shares) ITSA4.BZ P5887P427 484,081 $1,253,518.45 1.01%
Impala Platinum Holdings Limited IMP.SJ S37840113 121,162 $1,251,329.48 1.00%
Bid Corporation Limited BID.SJ S11881109 44,693 $1,183,430.27 0.95%
Grupo Cibest S.A. (Preference) PFCIBEST.CB P49500112 57,465 $1,156,654.28 0.93%
National Bank of Greece S.A. ETE.GA X56533189 65,412 $1,137,743.11 0.91%
B3 S.A. - Brasil, Bolsa, Balcao B3SA3.BZ P1909G107 392,676 $1,086,242.81 0.87%
Elite Material Co., Ltd. 2383.TT Y2290G102 6,534 $1,081,606.16 0.87%
Bank Pekao S.A. PEO.PW X0R77T117 16,394 $1,022,110.50 0.82%
Eurobank S.A. EUROB.GA X2379U106 189,925 $929,396.35 0.75%
Piraeus Bank S.A. TPEIR.GA X5S2FJ101 82,813 $858,187.47 0.69%
Compania de Minas Buenaventura S.A.A. (ADR) BVN 204448104 29,809 $845,383.24 0.68%
CTBC Financial Holding Co., Ltd. 2891.TT Y15093100 374,395 $831,392.90 0.67%
Absa Group Limited ABG.SJ S0270C106 63,327 $822,226.77 0.66%
Powszechny Zaklad Ubezpieczen S.A. PZU.PW X6919T107 44,370 $796,935.47 0.64%
Banco de Chile CHILE.CI P0939W108 3,955,181 $786,451.91 0.63%
Accton Technology Corp. 2345.TT Y0002S109 10,277 $772,983.51 0.62%
SK Square Co., Ltd. 402340.KS Y8T6X4107 903 $764,157.92 0.61%
Northam Platinum Holdings Limited NPH.SJ S56431109 53,195 $731,906.06 0.59%
Sanlam Limited SLM.SJ S7302C137 139,565 $740,030.93 0.59%
Erste Bank Polska S.A. EBP.PW X0646L107 4,068 $720,297.97 0.58%
Vodacom Group Limited VOD.SJ S9453B108 80,159 $721,210.82 0.58%
Coca-Cola FEMSA, S.A.B. de C.V. KOFUBL.MM P2861Y177 68,369 $713,292.02 0.57%
Quanta Computer Inc. 2382.TT Y7174J106 57,757 $678,160.81 0.54%
Companhia Energetica de Minas Gerais-CEMIG (Preference) CMIG4.BZ P2577R110 307,413 $644,953.69 0.52%
Fubon Financial Holding Co., Ltd. 2881.TT Y26528102 166,675 $654,075.30 0.52%
Samsung Electro-Mechanics Co., Ltd. 009150.KS Y7470U102 635 $625,797.12 0.50%
Yuanta Financial Holding Co., Ltd. 2885.TT Y2169H108 270,281 $601,877.80 0.48%
Grupo Aeroportuario del Sureste, S.A.B. de C.V. (Class B) ASURB.MM P4950Y100 20,794 $591,822.90 0.47%
Nedbank Group Limited NED.SJ S5518R104 35,938 $586,084.48 0.47%
Alpha Bank S.A. ALPHA.GA X0085P163 123,760 $568,562.86 0.46%
TS Financial Holding Co., Ltd. 2887.TT Y84086100 510,447 $569,936.65 0.46%
Banco de Credito e Inversiones BCI.CI P32133111 7,889 $532,615.64 0.43%
KB Financial Group, Inc. 105560.KS Y46007103 4,263 $485,739.13 0.39%
Asia Vital Components Co., Ltd. 3017.TT Y0392D100 6,075 $439,902.08 0.35%
Chroma ATE Inc. 2360.TT Y1604M102 7,595 $438,791.73 0.35%
BDO Unibank, Inc. BDO.PM Y07775102 204,918 $421,096.27 0.34%
Banco Santander Chile BSAN.CI P1506A107 4,829,152 $399,212.58 0.32%
Shinhan Financial Group Co., Ltd. 055550.KS Y7749X101 5,489 $392,450.24 0.31%
SinoPac Financial Holdings Co., Ltd. 2890.TT Y8009U100 272,416 $355,494.91 0.29%
Mega Financial Holding Co., Ltd. 2886.TT Y59456106 242,005 $352,741.80 0.28%
KGI Financial Holdings Co. Ltd. 2883.TT Y1460P108 347,450 $332,213.63 0.27%
King Slide Works Co., Ltd. 2059.TT Y4771C113 1,341 $338,090.09 0.27%
E.SUN Financial Holding Co., Ltd. 2884.TT Y23469102 303,240 $328,192.09 0.26%
PharmaEssentia Corporation 6446.TT Y6S28C101 6,460 $307,829.84 0.25%
Asustek Computer Inc. 2357.TT Y04327105 14,045 $300,514.38 0.24%
Lite-On Technology Corporation 2301.TT Y5313K109 45,104 $300,618.43 0.24%
Kia Corporation 000270.KS Y47601102 2,724 $284,606.50 0.23%
ASPEED Technology Inc. 5274.TT Y04044106 631 $274,642.61 0.22%
First Financial Holding Co., Ltd. 2892.TT Y2518F100 245,088 $260,293.45 0.21%
Hana Financial Group Inc. 086790.KS Y29975102 3,208 $261,428.22 0.21%
Hua Nan Financial Holdings Co., Ltd. 2880.TT Y3813L107 215,666 $266,660.70 0.21%
Realtek Semiconductor Corp. 2379.TT Y7220N101 9,793 $249,186.56 0.20%
Phison Electronics Corporation 8299.TT Y7136T101 3,569 $237,874.04 0.19%
Global Unichip Corporation 3443.TT Y2724H114 1,652 $226,385.94 0.18%
Gold Circuit Electronics Ltd. 2368.TT Y27431108 6,378 $228,438.39 0.18%
King Yuan Electronics Co., Ltd. 2449.TT Y4801V107 23,397 $222,616.90 0.18%
NAVER Corporation 035420.KS Y62579100 1,711 $219,696.61 0.18%
Celltrion, Inc. 068270.KS Y1242A106 1,843 $217,119.70 0.17%
Hyundai Mobis Co., Ltd. 012330.KS Y3849A109 666 $216,785.61 0.17%
Largan Precision Co. Ltd. 3008.TT Y52144105 1,717 $211,229.30 0.17%
Novatek Microelectronics Corporation 3034.TT Y64153102 12,149 $205,838.29 0.17%
Samsung Life Insurance Co., Ltd. 032830.KS Y74860100 912 $210,262.88 0.17%
Alchip Technologies Limited 3661.TT G02242108 1,619 $204,971.79 0.16%
Samsung Fire & Marine Insurance Co., Ltd. 000810.KS Y7473H108 402 $179,738.14 0.14%
Taiwan Cooperative Financial Holding Co., Ltd. 5880.TT Y8374C107 224,831 $175,758.67 0.14%
Woori Financial Group Inc. 316140.KS Y972JZ105 8,324 $170,279.39 0.14%
Jentech Precision Industrial Company Ltd. 3653.TT Y4432G115 1,669 $166,338.61 0.13%
Brazilian Real $BRL 771,172 $149,634.69 0.12%
HD Hyundai Electric Co., Ltd. 267260.KS Y3R1DD103 268 $145,361.98 0.12%
Chang Hwa Commercial Bank 2801.TT Y1293J105 172,137 $128,132.36 0.10%
HD Korea Shipbuilding & Offshore Engineering Co., Ltd. 009540.KS Y3R40X107 548 $124,151.25 0.10%
New Taiwan Dollar $TWD 4,139,227 $129,173.22 0.10%
HD Hyundai Heavy Industries Co., Ltd. 329180.KS Y3838M122 341 $117,472.61 0.09%
Hyosung Heavy Industries Corporation 298040.KS Y3R1E4102 58 $103,922.70 0.08%
Hyundai Rotem Company Ltd. 064350.KS Y3R36Z108 845 $95,212.03 0.08%
LS Electric Co., Ltd. 010120.KS Y5355Q105 833 $101,852.74 0.08%
Samsung Biologics Co., Ltd. 207940.KS Y7T7DY103 115 $104,444.46 0.08%
Alteogen Inc. 196170.KS Y0R93X109 401 $83,767.12 0.07%
Kakao Corp. 035720.KS Y4519H119 3,664 $84,596.09 0.07%
Hanmi Semiconductor Co., Ltd. 042700.KS Y3R62P107 534 $70,879.76 0.06%
Korea Aerospace Industries Ltd. 047810.KS Y4838Q105 830 $78,534.06 0.06%
US Dollar $USD 74,246 $74,246.16 0.06%
Krafton, Inc. 259960.KS Y0929C104 404 $65,953.72 0.05%
Euro $EUR 1 $0.81 0.00%
Zloty $PLN 5,328 $1,411.60 0.00%
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.