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First Trust Bloomberg Shareholder Yield ETF (SHRY)
Holdings of the Fund as of 5/19/2026
View Index Holdings

Total Number of Holdings (excluding cash): 50

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
Fox Corporation (Class A) FOXA 35137L105 Communication Services 12,877 $831,210.35 5.44%
MetLife, Inc. MET 59156R108 Financials 9,374 $759,950.18 4.97%
PayPal Holdings, Inc. PYPL 70450Y103 Financials 15,417 $675,727.11 4.42%
QUALCOMM Incorporated QCOM 747525103 Information Technology 3,327 $650,794.47 4.26%
Fiserv, Inc. FISV 337738108 Financials 11,596 $649,723.88 4.25%
Comcast Corporation (Class A) CMCSA 20030N101 Communication Services 25,656 $636,268.80 4.16%
D.R. Horton, Inc. DHI 23331A109 Consumer Discretionary 4,084 $550,196.48 3.60%
Ameriprise Financial, Inc. AMP 03076C106 Financials 1,179 $546,773.04 3.58%
Adobe Incorporated ADBE 00724F101 Information Technology 2,115 $539,303.85 3.53%
The Kroger Co. KR 501044101 Consumer Staples 6,824 $481,774.40 3.15%
Altria Group, Inc. MO 02209S103 Consumer Staples 6,086 $450,364.00 2.95%
SLB Ltd. SLB 806857108 Energy 7,572 $429,862.44 2.81%
Charter Communications, Inc. (Class A) CHTR 16119P108 Communication Services 2,986 $425,505.00 2.79%
Aflac Incorporated AFL 001055102 Financials 3,552 $420,592.32 2.75%
Automatic Data Processing, Inc. ADP 053015103 Industrials 1,646 $362,844.24 2.37%
ConocoPhillips COP 20825C104 Energy 2,757 $344,928.27 2.26%
The Allstate Corporation ALL 020002101 Financials 1,540 $345,853.20 2.26%
Valero Energy Corporation VLO 91913Y100 Energy 1,313 $344,820.06 2.26%
Booking Holdings Inc. BKNG 09857L108 Consumer Discretionary 2,174 $335,969.96 2.20%
HCA Healthcare, Inc. HCA 40412C101 Health Care 824 $333,464.56 2.18%
Colgate-Palmolive Company CL 194162103 Consumer Staples 3,245 $292,114.90 1.91%
United Parcel Service, Inc. (Class B) UPS 911312106 Industrials 2,903 $281,097.49 1.84%
Phillips 66 PSX 718546104 Energy 1,495 $272,658.10 1.78%
Cheniere Energy, Inc. LNG 16411R208 Energy 1,078 $266,018.06 1.74%
Union Pacific Corporation UNP 907818108 Industrials 895 $243,046.20 1.59%
The Procter & Gamble Company PG 742718109 Consumer Staples 1,649 $233,003.70 1.53%
Visa Inc. (Class A) V 92826C839 Financials 709 $233,906.19 1.53%
CME Group Inc. CME 12572Q105 Financials 760 $229,801.20 1.50%
Medtronic Plc MDT G5960L103 Health Care 2,751 $216,173.58 1.41%
McKesson Corporation MCK 58155Q103 Health Care 274 $208,757.86 1.37%
Apple Inc. AAPL 037833100 Information Technology 629 $188,052.13 1.23%
AbbVie Inc. ABBV 00287Y109 Health Care 826 $176,565.76 1.16%
Mastercard Incorporated MA 57636Q104 Financials 354 $176,893.80 1.16%
General Dynamics Corporation GD 369550108 Industrials 511 $173,811.54 1.14%
Lockheed Martin Corporation LMT 539830109 Industrials 312 $164,308.56 1.08%
McDonald's Corporation MCD 580135101 Consumer Discretionary 579 $162,583.20 1.06%
Abbott Laboratories ABT 002824100 Health Care 1,773 $157,477.86 1.03%
Lam Research Corporation LRCX 512807306 Information Technology 550 $150,359.00 0.98%
Blackstone Inc. BX 09260D107 Financials 1,279 $146,138.54 0.96%
Gilead Sciences, Inc. GILD 375558103 Health Care 1,122 $146,421.00 0.96%
Analog Devices, Inc. ADI 032654105 Information Technology 348 $144,179.88 0.94%
Eaton Corporation Plc ETN G29183103 Industrials 366 $136,108.08 0.89%
RTX Corporation RTX 75513E101 Industrials 697 $121,619.53 0.80%
PepsiCo, Inc. PEP 713448108 Consumer Staples 800 $120,296.00 0.79%
Linde Plc LIN G54950103 Materials 221 $111,841.47 0.73%
Applied Materials, Inc. AMAT 038222105 Information Technology 259 $105,389.69 0.69%
Microsoft Corporation MSFT 594918104 Information Technology 222 $92,667.24 0.61%
Caterpillar Inc. CAT 149123101 Industrials 98 $84,294.70 0.55%
US Dollar $USD Other 48,304 $48,303.86 0.32%
Costco Wholesale Corporation COST 22160K105 Consumer Staples 38 $41,584.16 0.27%
Johnson & Johnson JNJ 478160104 Health Care 159 $36,570.00 0.24%
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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