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First Trust Active Global Quality Income ETF (AGQI)
Holdings of the Fund as of 7/11/2025

Total Number of Holdings (excluding cash): 32

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
Taiwan Semiconductor Manufacturing Company Ltd. 2330.TT Y84629107 Information Technology 73,523 $2,768,604.15 4.92%
Carlsberg A/S (Class B) CARLB.DC K36628137 Consumer Staples 15,991 $2,271,452.57 4.04%
Microsoft Corporation MSFT 594918104 Information Technology 4,494 $2,261,920.08 4.02%
Chevron Corporation CVX 166764100 Energy 14,208 $2,206,644.48 3.92%
Nordea Bank Abp NDA.FH X5S8VL105 Financials 147,722 $2,185,940.87 3.88%
RELX Plc REL.LN G7493L105 Industrials 40,569 $2,181,953.02 3.88%
The Coca-Cola Company KO 191216100 Consumer Staples 29,619 $2,069,479.53 3.68%
BAE Systems Plc BA/.LN G06940103 Industrials 71,039 $1,821,205.31 3.24%
Unilever Plc UNA.NA G92087165 Consumer Staples 29,785 $1,805,467.36 3.21%
AIA Group Limited 1299.HK Y002A1105 Financials 202,127 $1,793,400.89 3.19%
AstraZeneca Plc AZN.LN G0593M107 Health Care 12,661 $1,785,694.12 3.17%
The Procter & Gamble Company PG 742718109 Consumer Staples 11,290 $1,773,094.50 3.15%
Medtronic Plc MDT G5960L103 Health Care 19,517 $1,754,968.64 3.12%
Publicis Groupe PUB.FP F7607Z165 Communication Services 16,788 $1,747,596.54 3.11%
Compagnie Financiere Richemont S.A. CFR.SW H25662182 Consumer Discretionary 8,979 $1,675,922.45 2.98%
Dai-ichi Life Holdings, Inc. 8750.JP J09748112 Financials 224,020 $1,669,939.39 2.97%
nVent Electric Plc NVT G6700G107 Industrials 22,247 $1,665,632.89 2.96%
The Home Depot, Inc. HD 437076102 Consumer Discretionary 4,507 $1,667,905.49 2.96%
Sony Corporation 6758.JP J76379106 Consumer Discretionary 67,350 $1,645,333.56 2.92%
Oracle Corporation ORCL 68389X105 Information Technology 7,089 $1,634,439.84 2.90%
BNP Paribas S.A. BNP.FP F1058Q238 Financials 18,103 $1,620,835.15 2.88%
British American Tobacco Plc BATS.LN G1510J102 Consumer Staples 30,926 $1,581,089.63 2.81%
Siemens AG SIE.GY D69671218 Industrials 6,036 $1,573,660.28 2.80%
Bank of America Corporation BAC 060505104 Financials 33,099 $1,546,716.27 2.75%
Samsung Electronics Co., Ltd. (Preference Shares) 005935.KS Y74718118 Information Technology 40,228 $1,526,628.46 2.71%
Johnson & Johnson JNJ 478160104 Health Care 9,656 $1,515,026.40 2.69%
Tokyo Electron Limited 8035.JP J86957115 Information Technology 8,100 $1,484,098.20 2.64%
NIKE, Inc. (Class B) NKE 654106103 Consumer Discretionary 18,227 $1,323,827.01 2.35%
Iberdrola S.A. IBE.SM E6165F166 Utilities 71,642 $1,304,233.29 2.32%
Freeport-McMoRan Inc. FCX 35671D857 Materials 23,697 $1,098,592.92 1.95%
CME Group Inc. CME 12572Q105 Financials 3,939 $1,083,540.12 1.93%
Alphabet Inc. (Class C) GOOG 02079K107 Communication Services 5,861 $1,062,657.91 1.89%
US Dollar $USD Other 803,452 $803,452.22 1.43%
New Taiwan Dollar $TWD Other 9,897,481 $338,769.21 0.60%
Pound Sterling $GBP Other 15,113 $20,387.17 0.04%
Canadian Dollar $CAD Other 12 $8.52 0.00%
Euro $EUR Other 24 $28.48 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.


 
The information presented is not intended to constitute an investment recommendation for, or advice to, any specific person. By providing this information, First Trust is not undertaking to give advice in any fiduciary capacity within the meaning of ERISA, the Internal Revenue Code or any other regulatory framework. Financial professionals are responsible for evaluating investment risks independently and for exercising independent judgment in determining whether investments are appropriate for their clients.
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