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Multi-Asset Diversified Income Index Fund (MDIV)
Holdings of the Fund as of 9/12/2025
View Index Holdings

Total Number of Holdings (excluding cash): 123

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
First Trust Tactical High Yield ETF HYLS 33738D408 High Yield Corporate Bond ETFs 2,017,285 $85,129,427.00 19.83%
MFA Financial, Inc. MFA 55272X607 REITS 717,368 $7,252,590.48 1.69%
Rayonier Inc. RYN 754907103 REITS 265,716 $6,988,330.80 1.63%
Mach Natural Resources LP MNR 55445L100 MLPs 500,868 $6,811,804.80 1.59%
Icahn Enterprises, L.P. IEP 451100101 MLPs 803,799 $6,550,961.85 1.53%
Kimbell Royalty Partners LP KRP 49435R102 Other 406,741 $5,503,205.73 1.28%
Rithm Capital Corp. RITM 64828T201 REITS 422,093 $5,225,511.34 1.22%
The Buckle, Inc. BKE 118440106 Dividend Paying Equities 87,614 $5,211,280.72 1.21%
Ladder Capital Corp (Class A) LADR 505743104 REITS 440,748 $5,121,491.76 1.19%
TXO Partners, L.P. TXO 87313P103 MLPs 367,283 $5,090,542.38 1.19%
Apple Hospitality REIT, Inc. APLE 03784Y200 REITS 389,568 $4,896,869.76 1.14%
Delek Logistics Partners LP DKL 24664T103 MLPs 101,028 $4,549,290.84 1.06%
Western Midstream Partners LP WES 958669103 MLPs 116,872 $4,482,041.20 1.04%
Chimera Investment Corp, Series B, 8.00% Variable Rate CIM.B 16934Q406 Preferred Securities 182,638 $4,436,277.02 1.03%
AGNC Investment Corp., Series C, 7.000%, Variable Rate AGNCN 00123Q500 Preferred Securities 164,653 $4,254,633.52 0.99%
Annaly Capital Management, Inc., Series F, 6.950%, Variable Rate NLY.F 035710870 Preferred Securities 161,205 $4,154,252.85 0.97%
Citigroup Capital XIII, Variable Rate, due 10/30/2040 C.N 173080201 Preferred Securities 137,013 $4,162,454.94 0.97%
Omega Healthcare Investors, Inc. OHI 681936100 REITS 97,598 $4,145,963.04 0.97%
Annaly Capital Management, Inc., Series G, 6.500% Variable Rate NLY.G 035710862 Preferred Securities 160,986 $4,035,919.02 0.94%
American Assets Trust, Inc. AAT 024013104 REITS 190,191 $3,948,365.16 0.92%
Dorchester Minerals, L.P. DMLP 25820R105 MLPs 155,059 $3,929,195.06 0.92%
Plains All American Pipeline, L.P. PAA 726503105 MLPs 224,587 $3,921,289.02 0.91%
EPR Properties EPR 26884U109 REITS 65,866 $3,851,185.02 0.90%
Host Hotels & Resorts, Inc. HST 44107P104 REITS 216,506 $3,810,505.60 0.89%
USA Compression Partners LP USAC 90290N109 MLPs 158,787 $3,831,530.31 0.89%
Annaly Capital Management, Inc., Series I, 6.750% Variable Rate NLY.I 035710847 Preferred Securities 148,264 $3,789,672.34 0.88%
Black Stone Minerals, L.P. BSM 09225M101 MLPs 299,504 $3,752,785.12 0.87%
Plains GP Holdings, L.P. (Class A) PAGP 72651A207 MLPs 197,701 $3,697,008.70 0.86%
Alliance Resource Partners, L.P. ARLP 01877R108 MLPs 156,516 $3,562,304.16 0.83%
Fifth Third Bancorp, Series I, 6.625%, Variable Rate FITBI 316773605 Preferred Securities 139,419 $3,576,097.35 0.83%
Synchrony Financial, Series B Variable Rate SYF.B 87165B400 Preferred Securities 130,652 $3,457,051.92 0.81%
Algonquin Power & Utilities Corp., Series 19-A, 6.200%, Variable Rate, Due 07/01/2079 AQNB 015857808 Preferred Securities 133,445 $3,449,553.25 0.80%
Gaming and Leisure Properties, Inc. GLPI 36467J108 REITS 71,566 $3,438,746.30 0.80%
LTC Properties, Inc. LTC 502175102 REITS 94,505 $3,422,971.10 0.80%
AGNC Investment Corp., Series E, 6.500% Variable Rate AGNCO 00123Q807 Preferred Securities 132,019 $3,377,046.02 0.79%
Lincoln National Corporation, Series D, 9.000% LNC.D 534187885 Preferred Securities 126,475 $3,404,707.00 0.79%
The Allstate Corporation, 5.100%, Variable Rate, Due 01/15/2053 ALL.B 020002309 Preferred Securities 129,250 $3,392,812.50 0.79%
Athene Holding Ltd., 7.25% Variable Rate, Due 03/30/2064 ATHS 04686J838 Preferred Securities 128,743 $3,339,593.42 0.78%
F&G Annuities & Life, Inc., 7.950%, Due 12/15/2053 FGN 30190A203 Preferred Securities 124,390 $3,334,895.90 0.78%
Synovus Financial Corp., Series E, 5.875%, Variable Rate SNV.E 87161C709 Preferred Securities 120,049 $3,259,330.35 0.76%
TPG Operating Group II, L.P., 6.950%, Due 03/15/2064 TPGXL 872652102 Preferred Securities 125,803 $3,239,427.25 0.75%
CrossAmerica Partners LP CAPL 22758A105 MLPs 153,516 $3,117,909.96 0.73%
Simon Property Group, Inc. SPG 828806109 REITS 16,914 $3,086,297.58 0.72%
CHS Inc., Series 1, 7.875% CHSCO 12542R308 Preferred Securities 112,591 $3,053,467.92 0.71%
Hess Midstream LP (Class A) HESM 428103105 Dividend Paying Equities 77,325 $3,038,099.25 0.71%
Main Street Capital Corporation MAIN 56035L104 Dividend Paying Equities 45,543 $3,050,470.14 0.71%
NNN REIT Inc. NNN 637417106 REITS 71,107 $3,059,023.14 0.71%
Apollo Global Management, Inc., 7.625%, Variable Rate, Due 09/15/2053 APOS 03769M205 Preferred Securities 113,417 $2,991,940.46 0.70%
CHS Inc., Series 4, 7.500% CHSCL 12542R803 Preferred Securities 116,831 $3,025,922.90 0.70%
Energy Transfer LP ET 29273V100 MLPs 172,381 $3,008,048.45 0.70%
VICI Properties Inc. VICI 925652109 REITS 88,747 $2,942,850.52 0.69%
Morgan Stanley, Series E, 7.125%, Variable Rate MS.E 61762V200 Preferred Securities 114,341 $2,919,125.73 0.68%
Rithm Capital Corp., Series B Variable Rate RITM.B 64828T409 Preferred Securities 115,919 $2,938,546.65 0.68%
Reinsurance Group of America, Incorporated, 7.125%, Variable Rate, Due 10/15/2052 RZC 759351885 Preferred Securities 110,048 $2,855,745.60 0.67%
The Western Union Company WU 959802109 Dividend Paying Equities 340,089 $2,856,747.60 0.67%
Alexander & Baldwin, Inc. ALEX 014491104 REITS 153,046 $2,819,107.32 0.66%
Morgan Stanley, Series F, 6.875%, Variable Rate MS.F 61763E207 Preferred Securities 111,959 $2,853,834.91 0.66%
Morgan Stanley, Series I, 6.375%, Variable Rate MS.I 61761J406 Preferred Securities 109,611 $2,776,446.63 0.65%
Ryman Hospitality Properties, Inc. RHP 78377T107 REITS 27,725 $2,777,213.25 0.65%
Enterprise Products Partners L.P. EPD 293792107 MLPs 86,529 $2,749,891.62 0.64%
Kimco Realty Corporation KIM 49446R109 REITS 122,633 $2,745,752.87 0.64%
MPLX LP MPLX 55336V100 MLPs 53,856 $2,750,964.48 0.64%
Viper Energy, Inc. (Class A) VNOM 64361Q101 Dividend Paying Equities 71,746 $2,767,243.22 0.64%
National Health Investors, Inc. NHI 63633D104 REITS 34,524 $2,702,883.96 0.63%
COPT Defense Properties CDP 22002T108 REITS 87,360 $2,678,457.60 0.62%
Global Partners LP GLP 37946R109 MLPs 50,664 $2,648,713.92 0.62%
Brixmor Property Group Inc. BRX 11120U105 REITS 93,100 $2,605,869.00 0.61%
CareTrust REIT, Inc. CTRE 14174T107 REITS 75,319 $2,575,909.80 0.60%
CubeSmart CUBE 229663109 REITS 62,324 $2,567,125.56 0.60%
Franklin Resources, Inc. BEN 354613101 Dividend Paying Equities 103,268 $2,544,523.52 0.59%
Four Corners Property Trust, Inc. FCPT 35086T109 REITS 95,456 $2,429,355.20 0.57%
Pfizer Inc. PFE 717081103 Dividend Paying Equities 98,649 $2,354,751.63 0.55%
Urban Edge Properties UE 91704F104 REITS 112,238 $2,376,078.46 0.55%
Cheniere Energy Partners, L.P. CQP 16411Q101 MLPs 44,945 $2,339,387.25 0.54%
Sunoco LP SUN 86765K109 MLPs 43,376 $2,173,571.36 0.51%
Virtus Investment Partners, Inc. VRTS 92828Q109 Dividend Paying Equities 10,973 $2,173,202.65 0.51%
T. Rowe Price Group, Inc. TROW 74144T108 Dividend Paying Equities 20,033 $2,116,085.79 0.49%
Regions Financial Corporation RF 7591EP100 Dividend Paying Equities 76,040 $2,065,246.40 0.48%
Truist Financial Corporation TFC 89832Q109 Dividend Paying Equities 45,700 $2,065,640.00 0.48%
Edison International EIX 281020107 Dividend Paying Equities 35,921 $2,018,760.20 0.47%
Verizon Communications Inc. VZ 92343V104 Dividend Paying Equities 46,343 $2,037,701.71 0.47%
Natural Resource Partners L.P. NRP 63900P608 MLPs 19,560 $1,991,990.40 0.46%
Public Storage PSA 74460D109 REITS 6,813 $1,991,576.16 0.46%
US Dollar $USD Other 1,893,045 $1,893,045.25 0.44%
U.S. Bancorp USB 902973304 Dividend Paying Equities 37,655 $1,849,990.15 0.43%
Archer-Daniels-Midland Company ADM 039483102 Dividend Paying Equities 29,160 $1,795,381.20 0.42%
The Kraft Heinz Company KHC 500754106 Dividend Paying Equities 68,442 $1,788,389.46 0.42%
First Busey Corporation BUSE 319383204 Dividend Paying Equities 70,903 $1,744,922.83 0.41%
Prudential Financial, Inc. PRU 744320102 Dividend Paying Equities 16,528 $1,766,843.20 0.41%
Sonoco Products Company SON 835495102 Dividend Paying Equities 37,246 $1,779,986.34 0.41%
Eversource Energy ES 30040W108 Dividend Paying Equities 25,331 $1,664,246.70 0.39%
Fifth Third Bancorp FITB 316773100 Dividend Paying Equities 35,391 $1,612,413.96 0.38%
First Hawaiian, Inc. FHB 32051X108 Dividend Paying Equities 63,386 $1,620,780.02 0.38%
Huntington Bancshares Incorporated HBAN 446150104 Dividend Paying Equities 90,839 $1,614,209.03 0.38%
Simmons First National Corporation SFNC 828730200 Dividend Paying Equities 80,079 $1,640,017.92 0.38%
Conagra Brands, Inc. CAG 205887102 Dividend Paying Equities 82,360 $1,578,841.20 0.37%
Portland General Electric Company POR 736508847 Dividend Paying Equities 37,264 $1,586,328.48 0.37%
Premier, Inc. (Class A) PINC 74051N102 Dividend Paying Equities 59,764 $1,589,722.40 0.37%
Universal Corporation UVV 913456109 Dividend Paying Equities 28,296 $1,569,013.20 0.37%
Bristol-Myers Squibb Company BMY 110122108 Dividend Paying Equities 33,499 $1,547,653.80 0.36%
CVB Financial Corp. CVBF 126600105 Dividend Paying Equities 76,575 $1,539,157.50 0.36%
Northwest Natural Holding Company NWN 66765N105 Dividend Paying Equities 36,882 $1,559,002.14 0.36%
NorthWestern Energy Group, Inc. NWE 668074305 Dividend Paying Equities 26,953 $1,540,094.42 0.36%
The PNC Financial Services Group, Inc. PNC 693475105 Dividend Paying Equities 7,627 $1,540,501.46 0.36%
First Financial Bancorp. FFBC 320209109 Dividend Paying Equities 57,108 $1,482,523.68 0.35%
Flowers Foods, Inc. FLO 343498101 Dividend Paying Equities 108,292 $1,489,015.00 0.35%
Greif, Inc. GEF 397624107 Dividend Paying Equities 24,403 $1,505,421.07 0.35%
United Bankshares, Inc. UBSI 909907107 Dividend Paying Equities 39,737 $1,487,355.91 0.35%
Avista Corporation AVA 05379B107 Dividend Paying Equities 40,209 $1,463,205.51 0.34%
Bank of Hawaii Corporation BOH 062540109 Dividend Paying Equities 21,188 $1,441,207.76 0.34%
Black Hills Corporation BKH 092113109 Dividend Paying Equities 24,779 $1,471,624.81 0.34%
PepsiCo, Inc. PEP 713448108 Dividend Paying Equities 10,248 $1,470,895.44 0.34%
UGI Corporation UGI 902681105 Dividend Paying Equities 42,207 $1,467,115.32 0.34%
AT&T Inc. T 00206R102 Dividend Paying Equities 47,965 $1,418,325.05 0.33%
First Merchants Corporation FRME 320817109 Dividend Paying Equities 34,915 $1,397,647.45 0.33%
Evergy, Inc. EVRG 30034W106 Dividend Paying Equities 19,179 $1,390,861.08 0.32%
FirstEnergy Corp. FE 337932107 Dividend Paying Equities 31,823 $1,393,847.40 0.32%
Reynolds Consumer Products Inc. REYN 76171L106 Dividend Paying Equities 60,275 $1,388,133.25 0.32%
Spire Inc. SR 84857L101 Dividend Paying Equities 17,779 $1,353,693.06 0.32%
The Campbell's Company CPB 134429109 Dividend Paying Equities 40,749 $1,354,089.27 0.32%
Kennametal Inc. KMT 489170100 Dividend Paying Equities 63,465 $1,317,533.40 0.31%
General Mills, Inc. GIS 370334104 Dividend Paying Equities 25,937 $1,294,775.04 0.30%
Eastman Chemical Company EMN 277432100 Dividend Paying Equities 18,086 $1,214,655.76 0.28%
Navios Maritime Partners LP NMM Y62267409 MLPs 6,920 $332,852.00 0.08%
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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