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First Trust International Developed Capital Strength® ETF (FICS)
Holdings of the Fund as of 1/27/2026
View Index Holdings

Total Number of Holdings (excluding cash): 51

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
Rio Tinto Plc RIO.LN G75754104 Basic Materials 63,774 $5,937,306.51 2.59%
Roche Holding AG ROG.SW H69293217 Health Care 12,048 $5,531,315.72 2.41%
BHP Group Limited BHP.AU Q1498M100 Basic Materials 152,527 $5,319,727.99 2.32%
Alfa Laval AB ALFA.SS W04008152 Industrials 90,998 $5,308,971.53 2.31%
Prudential Plc PRU.LN G72899100 Financials 324,851 $5,308,770.33 2.31%
Imperial Oil Ltd. IMO.CN 453038408 Energy 50,867 $5,245,700.96 2.29%
The Toronto-Dominion Bank TD.CN 891160509 Financials 54,573 $5,240,905.33 2.28%
GSK Plc GSK.LN G3910J179 Health Care 198,188 $5,107,795.28 2.23%
Industria de Diseno Textil, S.A. (Inditex) ITX.SM E6282J125 Consumer Discretionary 76,581 $5,015,206.92 2.19%
Itochu Corporation 8001.JP J2501P104 Industrials 388,500 $5,030,608.41 2.19%
Novartis AG NOVN.SW H5820Q150 Health Care 32,798 $5,012,949.01 2.19%
Royal Bank of Canada RY.CN 780087102 Financials 29,671 $5,007,398.32 2.18%
Great-West Lifeco Inc. GWO.CN 39138C106 Financials 104,894 $4,951,000.46 2.16%
AstraZeneca Plc AZN.LN G0593M107 Health Care 25,645 $4,925,519.07 2.15%
Poste Italiane SpA PST.IM T7S697106 Financials 185,431 $4,933,786.69 2.15%
Coca-Cola HBC AG CCH.LN H1512E100 Consumer Staples 90,567 $4,902,624.84 2.14%
Kone OYJ (Class B) KNEBV.FH X4551T105 Industrials 66,033 $4,907,695.41 2.14%
Aena SME, S.A. AENA.SM E526LK101 Industrials 155,580 $4,845,374.21 2.11%
SGS S.A. SGSN.SW H63838116 Industrials 39,057 $4,838,383.70 2.11%
Singapore Telecommunications Limited ST.SP Y79985209 Telecommunications 1,327,600 $4,834,338.89 2.11%
Ferrovial SE FER.SM N3168P101 Industrials 69,165 $4,797,551.42 2.09%
Allianz SE ALV.GY D03080112 Financials 10,628 $4,672,082.46 2.04%
Loblaw Companies Limited L.CN 539481101 Consumer Staples 102,414 $4,647,675.39 2.03%
Singapore Exchange Limited SGX.SP Y79946102 Financials 333,700 $4,667,299.61 2.03%
Safran S.A. SAF.FP F4035A557 Industrials 12,451 $4,634,399.18 2.02%
Next Plc NXT.LN G6500M106 Consumer Discretionary 24,359 $4,568,975.28 1.99%
Schindler Holding AG (Participation Certificate) SCHP.SW H7258G209 Industrials 11,463 $4,568,056.93 1.99%
Reckitt Benckiser Group Plc RKT.LN G74079107 Consumer Staples 54,493 $4,495,650.28 1.96%
Bureau Veritas SA BVI.FP F96888114 Industrials 135,307 $4,464,748.54 1.95%
Sonova Holding AG (Registered) SOON.SW H8024W106 Health Care 15,724 $4,397,397.04 1.92%
CGI Inc. (Class A) GIB/A.CN 12532H104 Technology 49,667 $4,386,846.81 1.91%
Zurich Insurance Group AG ZURN.SW H9870Y105 Financials 6,157 $4,380,606.83 1.91%
Unilever Plc ULVR.LN G92087348 Consumer Staples 64,706 $4,355,546.01 1.90%
L'Oreal S.A. OR.FP F58149133 Consumer Discretionary 9,463 $4,327,346.99 1.89%
Sampo Oyj (Class A) SAMPO.FH X75653232 Financials 384,020 $4,338,466.12 1.89%
Hannover Rueck SE HNR1.GY D3015J135 Financials 14,774 $4,210,067.69 1.84%
Pan Pacific International Holdings Corporation 7532.JP J6352W100 Consumer Discretionary 692,900 $4,220,537.26 1.84%
Muenchener Rueckversicherungs-Gesellschaft AG MUV2.GY D55535104 Financials 6,818 $4,192,636.20 1.83%
Euronext NV ENX.FP N3113K397 Financials 29,549 $4,185,318.73 1.82%
Deutsche Boerse AG DB1.GY D1882G119 Financials 16,629 $4,144,341.31 1.81%
Aristocrat Leisure Limited ALL.AU Q0521T108 Consumer Discretionary 102,754 $4,078,666.68 1.78%
OBIC Co., Ltd. 4684.JP J5946V107 Technology 133,500 $4,053,118.51 1.77%
Universal Music Group NV UMG.NA N90313102 Consumer Discretionary 156,634 $3,926,310.07 1.71%
THE SAGE GROUP PLC SGE.LN G7771K142 Technology 285,005 $3,902,761.35 1.70%
Nestle S.A. (Registered) NESN.SW H57312649 Consumer Staples 40,295 $3,850,580.11 1.68%
Compass Group Plc CPG.LN G23296208 Consumer Discretionary 126,944 $3,831,136.98 1.67%
Sika AG (Registered) SIKA.SW H7631K273 Industrials 19,533 $3,777,975.81 1.65%
Swiss Re AG SREN.SW H8431B109 Financials 23,550 $3,774,918.36 1.65%
Amadeus IT Group S.A. (Class A) AMS.SM E04648114 Technology 55,057 $3,742,109.74 1.63%
3i Group Plc III.LN G88473148 Financials 75,388 $3,270,390.39 1.43%
US Dollar $USD Other 215,957 $215,956.98 0.09%
Canadian Dollar $CAD Other 90,743 $66,835.50 0.03%
Pound Sterling $GBP Other 40,695 $56,350.64 0.02%
Constellation Software Inc. (Warrant) 2299955D.CT 21037X134 Other 753 $0.00 0.00%
Danish Krone $DKK Other 82 $13.18 0.00%
Euro $EUR Other 45 $54.24 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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