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Market Strength Allocation Select Portfolio, Series 30
Ticker Symbol: FGLNCX

Ticker Company Name Initial
Capital Strength
ABBV AbbVie Inc. 1% $122.31
ABC AmerisourceBergen Corporation 1% 105.09
AAPL Apple Inc. 1% 167.96
AMAT Applied Materials, Inc. 1% 55.33
BIIB Biogen Inc. 1% 358.48
BMY Bristol-Myers Squibb Company 1% 64.43
CELG Celgene Corporation 1% 103.26
CI Cigna Corporation 1% 223.90
COST Costco Wholesale Corporation 1% 198.32
DAL Delta Air Lines, Inc. 1% 55.76
EA Electronic Arts Inc. 1% 117.65
FB Facebook, Inc.  1% 185.98
GD General Dynamics Corporation 1% 225.50
HD The Home Depot, Inc. 1% 204.92
HON Honeywell International Inc. 1% 161.47
IR Ingersoll-Rand Plc 1% 93.87
JNJ Johnson & Johnson 1% 143.68
LRCX Lam Research Corporation 1% 195.97
MA Mastercard Incorporated 1% 168.55
MSFT Microsoft Corporation 1% 93.92
ORCL Oracle Corporation 1% 51.94
PEP PepsiCo, Inc. 1% 119.67
PCLN The Priceline Group Inc. 1% 1,929.23
RTN Raytheon Company 1% 211.22
SPGI S&P Global Inc. 1% 181.04
SWKS Skyworks Solutions, Inc. 1% 97.10
LUV Southwest Airlines Co. 1% 60.36
UNH UnitedHealth Group Incorporated 1% 247.41
VFC V.F. Corporation 1% 82.55
WMT Wal-Mart Stores, Inc. 1% 109.55
Dividend Strength
MO Altria Group, Inc. 1% 69.83
AMP Ameriprise Financial, Inc. 1% 177.45
AMGN Amgen Inc. 1% 198.00
BBY Best Buy Co., Inc. 1% 76.59
BLK BlackRock, Inc. 1% 574.42
GLW Corning Incorporated 1% 34.25
CMI Cummins Inc. 1% 190.81
EMN Eastman Chemical Company 1% 101.23
ETN Eaton Corporation Plc 1% 85.59
GNTX Gentex Corporation 1% 23.45
HAS Hasbro, Inc. 1% 94.20
KLAC KLA-Tencor Corporation 1% 112.13
NEE NextEra Energy, Inc. 1% 155.68
PKG Packaging Corporation of America 1% 125.97
PFG Principal Financial Group, Inc. 1% 74.50
RCL Royal Caribbean Cruises Ltd. 1% 134.77
TXN Texas Instruments Incorporated 1% 112.65
UNP Union Pacific Corporation 1% 136.05
UTX United Technologies Corporation 1% 136.67
WHR Whirlpool Corporation 1% 182.50
Emerging Markets Strength
BABA Alibaba Group Holding Limited 1% 203.01
HDB HDFC Bank Ltd. 1% 108.47
NILSY MMC Norilsk Nickel PJSC 1% 20.63
NTES NetEase, Inc. 1% 326.70
EDU New Oriental Education & Technology Group Inc. 1% 94.40
TLK PT Telekomunikasi Indonesia 1% 29.78
TCEHY Tencent Holdings Limited 1% 59.82
UGP Ultrapar Participacoes S.A. 1% 25.01
WMMVY Wal-Mart de Mexico, S.A.B. de C.V. 1% 24.79
International Capital Strength
ACN Accenture Plc 1% 161.19
AON Aon Plc 1% 142.34
APTV Aptiv Plc 1% 94.89
ASML ASML Holding N.V. 1% 204.02
BAESY BAE Systems Plc 1% 33.70
BAYRY Bayer AG 1% 33.06
BTI British American Tobacco Plc 1% 68.47
CM Canadian Imperial Bank of Commerce 1% 98.59
CNI Canadian National Railway Company 1% 79.48
CHKP Check Point Software Technologies Ltd. 1% 105.33
DEO Diageo Plc 1% 141.85
GIL Gildan Activewear Inc. 1% 33.87
JAZZ Jazz Pharmaceuticals Plc 1% 155.77
LVMUY LVMH Moet Hennessy Louis Vuitton SE 1% 62.61
LYB LyondellBasell Industries N.V. 1% 120.91
MGA Magna International Inc.  1% 58.15
RHHBY Roche Holding AG 1% 30.67
RY Royal Bank of Canada 1% 85.25
RYAAY Ryanair Holdings Plc 1% 123.26
TSM Taiwan Semiconductor Manufacturing Company Ltd. 1% 45.40
UL Unilever Plc 1% 55.95
SMID Capital Strength
ABMD ABIOMED, Inc. 1% 236.65
AMWD American Woodmark Corporation 1% 137.10
BOFI BofI Holding, Inc. 1% 33.37
CRI Carter’s, Inc. 1% 120.71
PLCE The Children’s Place, Inc. 1% 157.25
CRUS Cirrus Logic, Inc. 1% 51.22
COHR Coherent, Inc. 1% 266.61
CPRT Copart, Inc. 1% 44.79
EVR Evercore Inc. 1% 97.80
FIVE Five Below, Inc. 1% 65.94
INGR Ingredion Incorporated 1% 144.30
IPGP IPG Photonics Corporation 1% 255.95
JBLU JetBlue Airways Corporation 1% 20.28
MASI Masimo Corporation 1% 94.08
MKSI MKS Instruments, Inc. 1% 102.50
MSCI MSCI Inc. 1% 138.05
SAFM Sanderson Farms, Inc. 1% 129.58
STLD Steel Dynamics, Inc. 1% 47.32
THO Thor Industries, Inc. 1% 140.97
WCG WellCare Health Plans, Inc. 1% 217.66

* As of the close of business on 1/29/18.
Market values are for reference only and are not indicative of your individual cost basis.

Not FDIC Insured • Not Bank Guaranteed • May Lose Value

Portfolio Summary
Initial Date of Deposit 1/30/2018
Initial Public Offering Price $10.00 per Unit
Portfolio Ending Date 1/30/2020
Estimated Net First Year Distribution per Unit* $0.1191
Estimated Net Subsequent Year Distribution per Unit:* $0.1178
Cash CUSIP 30306Y301
Reinvestment CUSIP 30306Y319
Fee Accounts Cash CUSIP 30306Y327
Fee Accounts Reinvestment CUSIP 30306Y335

*The estimates are based on annualizing the most recent dividends declared by the issuers of the securities included in the portfolio. The estimated net annual distribution for the subsequent year is expected to be less than the amount for the first year because a portion of the securities included in the portfolio will be sold during the first year to pay for organization costs, the deferred sales charge and the creation and development fee. There is no guarantee that the issuers of the securities included in the portfolio will declare dividends in the future or that, if declared, they will remain at current levels or increase over time.

Sales Charges (based on a $10 public offering price)
Standard Accounts
Transactional Sales Charges: Initial: 0.00%
  Deferred: 2.25%
Creation & Development Fee:   0.50%
Maximum Sales Charge:   2.75%

The deferred sales charge will be deducted in three monthly installments commencing 5/18/18.

When the public offering price is less than or equal to $10.00 per unit, there will be no initial sales charge. If the price exceeds $10.00 per unit, you will pay an initial sales charge.

Fee/Wrap Accounts
Maximum Sales Charge: 0.50%

The maximum sales charge for investors in fee accounts consists of the creation and development fee. Investors in fee accounts are not assessed any transactional sales charges. Standard accounts sales charges apply to units purchased as an ineligible asset.

The creation and development fee is a charge of $.050 per unit collected at the end of the initial offering period. If the price you pay exceeds $10 per unit, the creation and development fee will be less than 0.50%; if the price you pay is less than $10 per unit, the creation and development fee will exceed 0.50%.

In addition to the sales charges listed, UITs are subject to annual operating expenses and organization costs.

You should consider the portfolio's investment objective, risks, and charges and expenses carefully before investing. Contact your financial advisor or call First Trust Portfolios, L.P. at 1.800.621.1675 to request a prospectus, which contains this and other information about the portfolio. Read it carefully before you invest.

Risk Considerations:
An investment in this unmanaged unit investment trust should be made with an understanding of the risks involved with owning common stocks, such as an economic recession and the possible deterioration of either the financial condition of the issuers of the equity securities or the general condition of the stock market.

You should be aware that the portfolio is concentrated in stocks in the consumer products sector which involves additional risks, including limited diversification. The companies engaged in the consumer products industry are subject to global competition, changing government regulations and trade policies, currency fluctuations, and the financial and political risks inherent in producing products for foreign markets.

An investment in a portfolio containing equity securities of foreign issuers is subject to additional risks, including currency fluctuations, political risks, withholding, the lack of adequate financial information, and exchange control restrictions impacting foreign issuers. Risks associated with investing in foreign securities may be more pronounced in emerging markets where the securities markets are substantially smaller, less liquid, less regulated and more volatile than the U.S. and developed foreign markets.

An investment in a portfolio containing small-cap and mid-cap companies is subject to additional risks, as the share prices of small-cap companies and certain mid-cap companies are often more volatile than those of larger companies due to several factors, including limited trading volumes, products, financial resources, management inexperience and less publicly available information.

This UIT is a buy and hold strategy and investors should consider their ability to hold the trust until maturity. There may be tax consequences unless units are purchased in an IRA or other qualified plan.

The value of the securities held by the trust may be subject to steep declines or increased volatility due to changes in performance or perception of the issuers.

Fund Cusip Information
30306Y301 (Cash)
30306Y319 (Reinvest)
30306Y327 (Cash-Fee)
30306Y335 (Reinvest-Fee)
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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 and the Internal Revenue Code. First Trust has no knowledge of and has not been provided any information regarding any investor. Financial advisors must determine whether particular investments are appropriate for their clients. First Trust believes the financial advisor is a fiduciary, is capable of evaluating investment risks independently and is responsible for exercising independent judgment with respect to its retirement plan clients.
First Trust Portfolios L.P.  Member SIPC and FINRA.
First Trust Advisors L.P.
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