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First Trust Emerging Markets Local Currency Bond ETF (FEMB)
Holdings of the Fund as of 9/29/2023

Total Number of Holdings (excluding cash): 51

Security Name Identifier CUSIP Shares / Quantity Market Value Weighting Descending sort
MEX BONOS DESARR FIX RT N/C, 7.50%, due 06/03/2027 P4R086AF1 137,270,000 $7,196,931.54 5.55%
MALAYSIA GOVERNMENT N/C, 3.885%, due 08/15/2029 BDVLNF8 33,185,000 $7,052,140.77 5.44%
REPUBLIC OF SOUTH AFRICA N/C, 10.50%, due 12/21/2026 S69124FF7 113,610,000 $6,182,838.69 4.77%
INDONESIA GOVERNMENT N/C, 8.375%, due 09/15/2026 Y20721AS8 88,841,000,000 $6,084,880.01 4.70%
INDONESIA GOVERNMENT N/C, 9%, due 03/15/2029 BDZCRY4 80,322,000,000 $5,799,565.67 4.48%
NOTA DO TESOURO NACIONAL N/C, 10%, due 01/01/2031 BK6FNL0 31,000 $5,731,010.37 4.42%
ROMANIA GOVERNMENT BOND N/C, 6.70%, due 02/25/2032 BMCN431 26,360,000 $5,523,003.81 4.26%
TITULOS DE TESORERIA N/C, 7%, due 06/30/2032 BD446H7 29,090,000,000 $5,378,907.37 4.15%
REPUBLIC OF SOUTH AFRICA N/C, 8.25%, due 03/31/2032 BP4JP79 108,880,000 $4,694,794.80 3.62%
INDONESIA GOVERNMENT N/C, 7%, due 09/15/2030 BK5HHR1 65,740,000,000 $4,328,052.07 3.34%
NOTA DO TESOURO NACIONAL N/C, 10%, due 01/01/2029 BF4LY56 22,200 $4,196,856.77 3.24%
MALAYSIA GOVERNMENT N/C, 3.90%, due 11/30/2026 BD6RZ22 19,310,000 $4,145,546.73 3.20%
REPUBLIC OF PHILIPPINES N/C, 6.25%, due 01/14/2036 718286BM8 226,000,000 $3,834,215.60 2.96%
INDONESIA GOVERNMENT N/C, 8.375%, due 03/15/2034 Y39814JF9 51,250,000,000 $3,716,875.49 2.87%
THAILAND GOVERNMENT BOND N/C, 3.65%, due 06/20/2031 Y6065ANG0 122,075,000 $3,483,760.20 2.69%
POLAND GOVERNMENT BOND N/C, 2.75%, due 04/25/2028 X8T024JZ9 15,760,000 $3,260,969.96 2.52%
ASIAN DEVELOPMENT BANK N/C, 6.20%, due 10/06/2026 BYVQYB3 277,020,000 $3,231,795.55 2.49%
POLAND GOVERNMENT BOND N/C, 1.75%, due 04/25/2032 BMD24S2 18,080,000 $3,022,904.76 2.33%
MALAYSIA GOVERNMENT N/C, 3.733%, due 06/15/2028 BBM4RP0 12,520,000 $2,660,850.00 2.05%
CZECH REPUBLIC N/C, 2%, due 10/13/2033 BFYN3F5 71,920,000 $2,452,310.30 1.89%
NOTA DO TESOURO NACIONAL N/C, 10%, due 01/01/2033 BNT8674 13,500 $2,447,824.05 1.89%
MALAYSIA GOVERNMENT N/C, 2.632%, due 04/15/2031 BMD9C89 12,365,000 $2,403,607.62 1.85%
REPUBLIC OF SOUTH AFRICA N/C, 8.875%, due 02/28/2035 BYY9RY3 56,220,000 $2,344,868.47 1.81%
CZECH REPUBLIC N/C, 2.40%, due 09/17/2025 BMMV220 55,840,000 $2,298,040.10 1.77%
BONOS DE TESORERIA N/C, 6.90%, due 08/12/2037 P87324BF8 8,150,000 $2,049,488.83 1.58%
THAILAND GOVERNMENT BOND N/C, 3.35%, due 06/17/2033 BLFGTJ1 72,500,000 $2,013,930.11 1.55%
NOTA DO TESOURO NACIONAL N/C, 10%, due 01/01/2027 BYYCKC1 10,250 $1,990,533.86 1.54%
TITULOS DE TESORERIA N/C, 7.25%, due 10/18/2034 BHPGGV4 10,500,000,000 $1,873,434.96 1.45%
HUNGARY GOVERNMENT BOND N/C, 6.75%, due 10/22/2028 X9379QRH5 650,000,000 $1,709,284.25 1.32%
HUNGARY GOVERNMENT BOND N/C, 5.50%, due 06/24/2025 BJYRQ12 603,000,000 $1,561,852.70 1.21%
EUROPEAN BK RECON & DEV N/C, 6.30%, due 10/26/2027 BP4DN55 120,000,000 $1,393,953.04 1.08%
INTL FINANCE CORP N/C, 6.30%, due 11/25/2024 45950VEM4 116,000,000 $1,380,109.54 1.07%
TITULOS DE TESORERIA N/C, 7.75%, due 09/18/2030 BVFPYD7 6,365,000,000 $1,303,229.78 1.01%
BONOS DE TESORERIA N/C, 6.95%, due 08/12/2031 P87324BH4 4,870,000 $1,273,457.56 0.98%
THAILAND GOVERNMENT BOND N/C, 3.39%, due 06/17/2037 BPVGVM0 46,700,000 $1,274,177.97 0.98%
ROMANIA GOVERNMENT BOND N/C, 4.75%, due 02/24/2025 BP85164 5,775,000 $1,202,776.90 0.93%
US Dollar $USD 1,052,905 $1,052,905.20 0.81%
BONOS TESORERIA PESOS N/C, 4.50%, due 03/01/2026 BWWC438 905,000,000 $969,764.07 0.75%
INTL FINANCE CORP 0%, due 02/22/2038 BDRTCZ9 62,500,000 $929,930.83 0.72%
REPUBLIC OF SOUTH AFRICA N/C, 8.75%, due 01/31/2044 BPXR8C0 20,000,000 $738,578.94 0.57%
ISRAEL FIXED BOND 6.25%, due 10/30/2026 M8489CJQ6 2,400,000 $663,080.41 0.51%
INDONESIA GOVERNMENT N/C, 8.25%, due 05/15/2036 BYPGH98 8,786,000,000 $636,137.15 0.49%
POLAND GOVERNMENT BOND N/C, 7.50%, due 07/25/2028 BP4X3Y4 2,500,000 $626,208.51 0.48%
THAILAND GOVERNMENT BOND N/C, 2.65%, due 06/17/2028 BPLFNC1 22,580,000 $615,482.67 0.47%
AFRICAN DEVELOPMENT BANK N/C, 0%, due 04/05/2046 BK8T4L7 100,000,000 $556,871.83 0.43%
INDIA GOVERNMENT BOND N/C, 6.10%, due 07/12/2031 BNLYQW5 40,000,000 $449,889.12 0.35%
HUNGARY GOVERNMENT BOND N/C, 3%, due 08/21/2030 BJH5419 194,500,000 $408,794.32 0.32%
MEX BONOS DESARR FIX RT 7.75%, due 05/29/2031 P9767HEK1 79,000 $399,524.68 0.31%
BONOS DE TESORERIA N/C, 8.20%, due 08/12/2026 P87324BD3 1,195,000 $331,610.75 0.26%
TURKEY GOVERNMENT BOND N/C, 10.60%, due 02/11/2026 BDGP106 11,800,000 $306,852.23 0.24%
BONOS TESORERIA PESOS N/C, 4.70%, due 09/01/2030 BG7P9X5 270,000,000 $277,359.14 0.21%
POLAND GOVERNMENT BOND N/C, 4%, due 10/25/2023 B9275T5 545,000 $124,653.13 0.10%
Currency Forward Positions
Trading Currency Ascending sort Notional Exposure (Local Currency) Notional Exposure (USD) Gain/Loss
USD->BRL 10-20-2023 11,100,000.00 BRL ($2,278,091.33) $75,436.05
USD->CLP 10-20-2023 825,000,000.00 CLP ($928,583.49) $1,284.24
USD->CNH 10-20-2023 23,000,000.00 CNH ($3,162,547.52) $8,914.40
USD->COP 10-20-2023 14,250,000,000.00 COP ($3,604,857.07) $129,515.43
USD->CZK 10-20-2023 -23,700,000.00 CZK $1,024,236.42 $2,204.16
USD->HUF 10-20-2023 545,000,000.00 HUF ($1,525,804.01) $50,963.74
USD->IDR 10-20-2023 -81,500,000,000.00 IDR $5,282,455.86 ($9,230.64)
USD->ILS 10-20-2023 -8,720,000.00 ILS $2,281,877.86 $6,138.65
USD->INR 10-20-2023 40,000,000.00 INR ($481,359.36) $74.22
USD->KRW 10-20-2023 1,450,000,000.00 KRW ($1,094,837.88) $19,281.23
USD->MXN 10-20-2023 75,250,000.00 MXN ($4,366,233.33) $60,937.53
USD->PEN 10-20-2023 7,800,000.00 PEN ($2,099,878.85) $42,593.35
USD->PHP 10-20-2023 16,700,000.00 PHP ($293,652.19) ($1,621.28)
USD->PLN 10-20-2023 -3,050,000.00 PLN $700,915.61 ($3,084.61)
USD->THB 10-20-2023 -72,000,000.00 THB $2,013,422.82 ($33,188.12)
USD->ZAR 10-20-2023 16,030,000.00 ZAR ($834,612.82) ($10,753.23)
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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