First Trust Expanded Technology ETF (XPND)
Holdings of the Fund as of 9/16/2025

Total Number of Holdings (excluding cash): 50

Security Name Identifier CUSIP Shares / Quantity Market Value Weighting Descending sort
Oracle Corporation ORCL 68389X105 6,431 $1,972,066.15 5.79%
Broadcom Inc. AVGO 11135F101 4,890 $1,760,400.00 5.17%
Alphabet Inc. (Class A) GOOGL 02079K305 6,830 $1,715,422.80 5.03%
Meta Platforms, Inc. (Class A) META 30303M102 1,969 $1,533,851.00 4.50%
Apple Inc. AAPL 037833100 6,265 $1,492,009.75 4.38%
Microsoft Corporation MSFT 594918104 2,870 $1,460,944.80 4.29%
NVIDIA Corporation NVDA 67066G104 8,349 $1,460,073.12 4.28%
Netflix, Inc. NFLX 64110L106 1,203 $1,444,213.53 4.24%
Mastercard Incorporated MA 57636Q104 2,443 $1,432,624.06 4.20%
Cisco Systems, Inc. CSCO 17275R102 21,050 $1,408,876.50 4.13%
Visa Inc. (Class A) V 92826C839 4,135 $1,406,024.05 4.13%
Advanced Micro Devices, Inc. AMD 007903107 8,696 $1,395,360.16 4.09%
T-Mobile US, Inc. TMUS 872590104 5,772 $1,371,542.64 4.02%
International Business Machines Corporation IBM 459200101 4,992 $1,285,539.84 3.77%
The Walt Disney Company DIS 254687106 9,634 $1,110,125.82 3.26%
Applovin Corp. (Class A) APP 03831W108 1,812 $1,094,085.60 3.21%
ServiceNow, Inc. NOW 81762P102 1,111 $1,035,463.11 3.04%
Intuit Inc. INTU 461202103 1,495 $973,693.50 2.86%
Arista Networks, Inc. ANET 040413205 6,734 $957,305.44 2.81%
QUALCOMM Incorporated QCOM 747525103 5,775 $947,908.50 2.78%
Lam Research Corporation LRCX 512807306 6,782 $817,027.54 2.40%
Amphenol Corporation APH 032095101 6,542 $778,759.68 2.29%
Palo Alto Networks, Inc. PANW 697435105 3,584 $721,602.56 2.12%
KLA Corporation KLAC 482480100 707 $700,332.99 2.05%
Cadence Design Systems, Inc. CDNS 127387108 1,460 $509,554.60 1.50%
Motorola Solutions, Inc. MSI 620076307 893 $425,818.12 1.25%
Autodesk, Inc. ADSK 052769106 1,146 $365,012.46 1.07%
PayPal Holdings, Inc. PYPL 70450Y103 5,119 $342,205.15 1.00%
Fortinet, Inc. FTNT 34959E109 4,106 $327,576.68 0.96%
US Dollar $USD 110,506 $110,506.05 0.32%
Corning Incorporated GLW 219350105 1,205 $94,833.50 0.28%
Pure Storage, Inc. (Class A) PSTG 74624M102 1,041 $90,660.69 0.27%
NetApp, Inc. NTAP 64110D104 717 $88,456.29 0.26%
Super Micro Computer, Inc. SMCI 86800U302 1,945 $87,349.95 0.26%
F5 Inc. FFIV 315616102 258 $83,522.34 0.25%
Jabil Inc. JBL 466313103 395 $84,265.35 0.25%
TKO Group Holdings, Inc. (Class A) TKO 87256C101 426 $85,323.54 0.25%
Electronic Arts Inc. EA 285512109 470 $80,877.60 0.24%
Gartner, Inc. IT 366651107 322 $80,783.36 0.24%
Live Nation Entertainment, Inc. LYV 538034109 486 $82,824.12 0.24%
Monolithic Power Systems, Inc. MPWR 609839105 97 $83,130.94 0.24%
Warner Music Group Corp. (Class A) WMG 934550203 2,422 $80,797.92 0.24%
Zebra Technologies Corporation ZBRA 989207105 254 $80,876.14 0.24%
Datadog, Inc. (Class A) DDOG 23804L103 591 $79,542.69 0.23%
Fox Corporation (Class A) FOXA 35137L105 1,353 $77,756.91 0.23%
GoDaddy Inc. (Class A) GDDY 380237107 545 $78,556.30 0.23%
Omnicom Group Inc. OMC 681919106 1,031 $79,283.90 0.23%
PTC Inc. PTC 69370C100 379 $77,676.05 0.23%
Bentley Systems, Inc. (Class B) BSY 08265T208 1,451 $75,771.22 0.22%
Corpay, Inc. CPAY 219948106 248 $75,959.92 0.22%
Gen Digital Inc. GEN 668771108 2,676 $76,533.60 0.22%
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.