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Market Strength Allocation Opportunity Portfolio, Series 10
Ticker Symbol: FAQUAX

100 Holdings (As of Day of Deposit)
Ticker Company Name Initial
Capital Strength
ADBE Adobe Incorporated 1% $303.64
GOOG Alphabet Inc.  1% 1,225.14
AMZN Amazon.com, Inc. 1% 1,898.53
AAPL Apple Inc. 1% 208.78
COP ConocoPhillips 1% 59.51
COST Costco Wholesale Corporation 1% 279.50
EOG EOG Resources, Inc. 1% 86.06
EL The Estee Lauder Companies Inc. 1% 188.98
FB Facebook, Inc.  1% 197.04
FTV Fortive Corporation 1% 76.80
HON Honeywell International Inc. 1% 173.91
IR Ingersoll-Rand Plc 1% 126.60
JNJ Johnson & Johnson 1% 132.08
MA Mastercard Incorporated 1% 278.16
MRK Merck & Co., Inc. 1% 83.27
MSFT Microsoft Corporation 1% 140.35
NKE NIKE, Inc.  1% 87.20
NUE Nucor Corporation 1% 56.25
ORCL Oracle Corporation 1% 57.49
PEP PepsiCo, Inc. 1% 130.48
SPGI S&P Global Inc. 1% 241.93
LUV Southwest Airlines Co. 1% 52.55
SYK Stryker Corporation 1% 213.61
TROW T. Rowe Price Group, Inc. 1% 115.36
TJX The TJX Companies, Inc. 1% 54.98
UNH UnitedHealth Group Incorporated 1% 254.93
VRTX Vertex Pharmaceuticals Incorporated 1% 169.54
V Visa Inc.  1% 181.53
DIS The Walt Disney Company 1% 144.93
ZTS Zoetis Inc. 1% 115.79
Dividend Strength
AMP Ameriprise Financial, Inc. 1% 148.53
ABC AmerisourceBergen Corporation 1% 88.72
AMGN Amgen Inc. 1% 176.45
BBY Best Buy Co., Inc. 1% 77.00
CAT Caterpillar Inc. 1% 132.95
CSCO Cisco Systems, Inc. 1% 56.47
CMI Cummins Inc. 1% 165.17
DAL Delta Air Lines, Inc. 1% 62.63
DOV Dover Corporation 1% 97.89
KLAC KLA Corporation 1% 140.00
LRCX Lam Research Corporation 1% 211.32
LMT Lockheed Martin Corporation 1% 365.99
OMC Omnicom Group Inc. 1% 81.08
PKG Packaging Corporation of America 1% 103.04
PSX Phillips 66 1% 103.61
RCL Royal Caribbean Cruises Ltd. 1% 115.99
SWKS Skyworks Solutions, Inc. 1% 87.75
TGT Target Corporation 1% 86.88
UNP Union Pacific Corporation 1% 179.30
WBA Walgreens Boots Alliance, Inc. 1% 55.40
Emerging Markets Strength
BABA Alibaba Group Holding Limited 1% 174.10
HDB HDFC Bank Ltd. 1% 113.90
INFY Infosys Limited 1% 11.42
NILSY MMC Norilsk Nickel PJSC 1% 22.81
MOMO Momo Inc. 1% 34.47
TLK PT Telekomunikasi Indonesia 1% 29.90
TSM Taiwan Semiconductor Manufacturing Company Ltd. 1% 43.11
TCEHY Tencent Holdings Limited 1% 47.17
WMMVY Wal-Mart de Mexico, S.A.B. de C.V. 1% 29.80
International Capital Strength
ACN Accenture Plc 1% 195.65
ADDYY adidas AG 1% 155.54
ALLE Allegion Public Limited Company 1% 104.27
AON Aon Plc 1% 193.17
APTV Aptiv Plc 1% 81.57
CP Canadian Pacific Railway Limited 1% 238.83
DEO Diageo Plc 1% 168.14
JAZZ Jazz Pharmaceuticals Plc 1% 141.48
LVMUY LVMH Moet Hennessy Louis Vuitton SE 1% 83.51
NSRGY Nestle S.A. 1% 106.32
NVS Novartis AG 1% 91.64
NVO Novo Nordisk A/S 1% 48.42
PUK Prudential Plc 1% 41.96
RELX RELX Plc 1% 24.03
RIO Rio Tinto Plc 1% 58.04
RHHBY Roche Holding AG 1% 33.48
RY Royal Bank of Canada 1% 79.24
SNE Sony Corporation 1% 57.10
TEL TE Connectivity Ltd. 1% 93.35
UL Unilever Plc 1% 61.07
SMID Capital Strength
CR Crane Co. 1% 84.89
CSGS CSG Systems International, Inc. 1% 51.69
DECK Deckers Outdoor Corporation 1% 155.60
EME EMCOR Group, Inc. 1% 84.96
EVR Evercore Inc. 1% 87.28
FIVE Five Below, Inc. 1% 115.79
GNTX Gentex Corporation 1% 27.15
GGG Graco Inc. 1% 48.36
HQY HealthEquity, Inc. 1% 81.91
HUBB Hubbell Incorporated 1% 131.62
NSP Insperity, Inc. 1% 106.48
LDOS Leidos Holdings, Inc. 1% 84.38
LPX Louisiana-Pacific Corporation 1% 26.75
MASI Masimo Corporation 1% 158.25
MKSI MKS Instruments, Inc. 1% 89.07
MOH Molina Healthcare, Inc. 1% 137.50
ODFL Old Dominion Freight Line, Inc. 1% 165.27
OSK Oshkosh Corporation 1% 83.75
PRAH PRA Health Sciences, Inc. 1% 103.66
TER Teradyne, Inc. 1% 57.36

* As of the close of business on 7/30/19.
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 7/31/2019
Initial Public Offering Price $10.00 per Unit
Portfolio Ending Date 11/2/2020
Historical 12-Month Distribution Rate of Trust Holdings:* 1.38%
Historical 12-Month Distribution Per Unit:* $0.1380
Cash CUSIP 30311C104
Reinvestment CUSIP 30311C112
Fee Accounts Cash CUSIP 30311C120
Fee Accounts Reinvestment CUSIP 30311C138

*There is no guarantee the issuers of the securities included in the trust will declare dividends or distributions in the future. The historical 12-month distribution per unit and historical 12-month distribution rate of the securities included in the trust are for illustrative purposes only and are not indicative of the trust’s distribution or distribution rate. The historical 12-month distribution per unit is based on the weighted average of the trailing twelve month distributions paid by the securities included in the portfolio. The historical 12-month distribution rate is calculated by dividing the historical 12-month distributions by the trust’s offering price. The historical 12- month distribution and rate are reduced to account for the effects of fees and expenses, which will be incurred when investing in a trust. Certain of the issuers may have reduced their dividends or distributions over the prior twelve months. The distribution per unit and rate paid by the trust may be higher or lower than the amount shown above due to certain factors that may include, but are not limited to, a change in the dividends or distributions paid by issuers, actual expenses incurred, or the sale of securities in the portfolio.

Sales Charges (based on a $10 public offering price)
Standard Accounts
Transactional Sales Charges: Initial: 0.00%
  Deferred: 1.35%
Creation & Development Fee:   0.50%
Maximum Sales Charge:   1.85%

The deferred sales charge will be deducted in three monthly installments commencing 11/20/19.

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 $10.00 per unit, the creation and development fee will be less than 0.50%; if the price you pay is less than $10.00 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.

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.

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.

Although this portfolio terminates in approximately 15 months, the strategy is long-term. Investors should consider their ability to pursue investing in successive portfolios, if available. 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.

As the use of Internet technology has become more prevalent in the course of business, the trust has become more susceptible to potential operational risks through breaches in cyber security.

Fund Cusip Information
30311C104 (Cash)
30311C112 (Reinvest)
30311C120 (Cash-Fee)
30311C138 (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, the Internal Revenue Code or any other regulatory framework. Financial advisors are responsible for evaluating investment risks independently and for exercising independent judgment in determining whether investments are appropriate for their clients.
First Trust Portfolios L.P.  Member SIPC and FINRA.
First Trust Advisors L.P.
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