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First Trust US Equity Opportunities ETF (FPX)
Holdings of the Fund as of 7/23/2026
View Index Holdings

Total Number of Holdings (excluding cash): 100

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
GE Vernova Inc. GEV 36828A101 Industrials 163,712 $168,818,177.28 10.78%
Sandisk Corporation SNDK 80004C200 Information Technology 78,477 $126,373,867.41 8.07%
Seagate Technology Holdings Plc STX G7997R103 Information Technology 111,769 $102,085,333.84 6.52%
Eli Lilly and Company LLY 532457108 Health Care 46,942 $55,667,109.54 3.55%
Warner Bros. Discovery, Inc. WBD 934423104 Communication Services 1,666,307 $43,240,666.65 2.76%
Lumentum Holdings Inc. LITE 55024U109 Information Technology 51,711 $43,108,358.04 2.75%
Medline Inc. (Class A) MDLN 58507V107 Health Care 1,091,385 $41,068,817.55 2.62%
Applovin Corp. (Class A) APP 03831W108 Information Technology 78,146 $31,169,313.56 1.99%
FedEx Corporation FDX 31428X106 Industrials 97,797 $30,866,689.14 1.97%
BrightSpring Health Services, Inc. BTSG 10950A106 Health Care 429,614 $30,004,241.76 1.92%
DT Midstream, Inc. DTM 23345M107 Energy 203,403 $29,735,484.57 1.90%
The Goldman Sachs Group, Inc. GS 38141G104 Financials 27,169 $29,199,067.68 1.86%
UL Solutions Inc. (Class A) ULS 903731107 Industrials 334,906 $29,002,859.60 1.85%
HF Sinclair Corp. DINO 403949100 Energy 299,542 $26,686,196.78 1.70%
Ventas, Inc. VTR 92276F100 Real Estate 269,264 $26,366,330.88 1.68%
DoorDash, Inc. (Class A) DASH 25809K105 Consumer Discretionary 144,794 $24,581,677.38 1.57%
Entergy Corporation ETR 29364G103 Utilities 211,411 $24,481,393.80 1.56%
Space Exploration Technologies Corp. (Class A) SPCX 84615Q103 Communication Services 205,680 $24,319,603.20 1.55%
AST SpaceMobile, Inc. ASTS 00217D100 Communication Services 408,435 $24,171,183.30 1.54%
Royalty Pharma Plc (Class A) RPRX G7709Q104 Health Care 382,715 $22,587,839.30 1.44%
Solstice Advanced Materials Inc. SOLS 83443Q103 Materials 351,820 $21,418,801.60 1.37%
MKS, Inc. MKSI 55306N104 Information Technology 59,852 $20,666,895.60 1.32%
Credo Technology Group Holding Ltd CRDO G25457105 Information Technology 75,975 $17,968,087.50 1.15%
Legence Corp. (Class A) LGN 52476L109 Industrials 239,347 $17,919,909.89 1.14%
The Vita Coco Company, Inc. COCO 92846Q107 Consumer Staples 253,054 $17,554,355.98 1.12%
Nextpower Inc. (Class A) NXT 65290E101 Industrials 166,462 $17,393,614.38 1.11%
ViaSat, Inc. VSAT 92552V100 Information Technology 226,920 $16,853,348.40 1.08%
Maplebear Inc. (Instacart) CART 565394103 Consumer Staples 390,513 $16,608,517.89 1.06%
The J.M. Smucker Company SJM 832696405 Consumer Staples 141,781 $16,405,479.51 1.05%
Nicolet Bankshares, Inc. NIC 65406E102 Financials 94,165 $15,905,410.15 1.02%
DigitalOcean Holdings, Inc. DOCN 25402D102 Information Technology 115,603 $15,161,333.45 0.97%
Ingram Micro Holding Corporation INGM 457152106 Information Technology 510,530 $15,096,372.10 0.96%
Dave Inc. (Class A) DAVE 23834J201 Financials 35,211 $14,386,862.49 0.92%
Reddit, Inc. (Class A) RDDT 75734B100 Communication Services 85,299 $14,396,765.22 0.92%
Crane Company CR 224408104 Industrials 63,965 $13,950,766.50 0.89%
Ligand Pharmaceuticals Inc. (Class B) LGND 53220K504 Health Care 44,400 $13,415,460.00 0.86%
American Healthcare REIT, Inc. AHR 398182303 Real Estate 233,279 $13,152,270.02 0.84%
Rush Street Interactive, Inc. RSI 782011100 Consumer Discretionary 412,505 $12,919,656.60 0.82%
CoreWeave, Inc. (Class A) CRWV 21873S108 Information Technology 151,637 $12,297,760.70 0.79%
Corpay, Inc. CPAY 219948106 Financials 32,580 $11,885,184.00 0.76%
NCR Atleos Corporation NATL 63001N106 Financials 245,244 $11,661,352.20 0.74%
Hamilton Insurance Group, Ltd. (Class B) HG G42706104 Financials 329,839 $11,504,784.32 0.73%
Rivian Automotive, Inc. (Class A) RIVN 76954A103 Consumer Discretionary 698,089 $11,490,544.94 0.73%
Enact Holdings, Inc. ACT 29249E109 Financials 231,956 $10,663,017.32 0.68%
Jazz Pharmaceuticals Plc JAZZ G50871105 Health Care 41,750 $10,640,822.50 0.68%
Exelixis, Inc. EXEL 30161Q104 Health Care 180,981 $10,071,592.65 0.64%
Qnity Electronics, Inc. Q 74743L100 Information Technology 69,570 $9,646,576.20 0.62%
BridgeBio Pharma, Inc. BBIO 10806X102 Health Care 108,482 $8,996,412.26 0.57%
FedEx Freight Holding Company, Inc. FDXF 314352105 Industrials 57,733 $8,936,491.08 0.57%
BorgWarner Inc. BWA 099724106 Consumer Discretionary 136,322 $8,769,594.26 0.56%
Roivant Sciences Ltd. ROIV G76279101 Health Care 239,020 $8,389,602.00 0.54%
Kenvue Inc. KVUE 49177J102 Consumer Staples 425,361 $8,039,322.90 0.51%
Twilio Inc. (Class A) TWLO 90138F102 Information Technology 42,033 $7,778,626.98 0.50%
Liberty Live Holdings, Inc. (Class C) LLYVK 530909308 Consumer Discretionary 71,265 $7,019,602.50 0.45%
CG Oncology, Inc. CGON 156944100 Health Care 97,702 $6,948,566.24 0.44%
Guardian Pharmacy Services, Inc. (Class A) GRDN 40145W101 Health Care 175,352 $6,915,882.88 0.44%
Apogee Therapeutics, Inc. APGE 03770N101 Health Care 50,105 $6,727,097.30 0.43%
Coherent Corp. COHR 19247G107 Information Technology 21,673 $6,788,417.06 0.43%
Sphere Entertainment Co. SPHR 55826T102 Communication Services 47,578 $6,342,623.18 0.41%
VeraDermics, Inc. MANE 922967104 Health Care 55,538 $6,434,632.68 0.41%
DuPont de Nemours Inc. DD 26614N201 Materials 45,408 $6,239,059.28 0.40%
Unity Software Inc. U 91332U101 Information Technology 217,599 $6,297,315.06 0.40%
Minimed Group, Inc. MMED 60365F109 Health Care 373,278 $6,095,629.74 0.39%
Curbline Properties Corp. CURB 23128Q101 Real Estate 187,050 $5,847,183.00 0.37%
Hyatt Hotels Corporation (Class A) H 448579102 Consumer Discretionary 31,288 $5,745,102.56 0.37%
Alignment Healthcare, Inc. ALHC 01625V104 Health Care 274,805 $5,496,100.00 0.35%
Everus Construction Group, Inc. ECG 300426103 Industrials 39,578 $5,460,576.66 0.35%
WaterBridge Infrastructure LLC (Class A) WBI 940923105 Energy 150,431 $5,346,317.74 0.34%
Fox Corporation (Class A) FOXA 35137L105 Communication Services 93,085 $5,128,052.65 0.33%
Jackson Financial Inc. (Class A) JXN 46817M107 Financials 42,487 $4,940,388.36 0.32%
Travel + Leisure Co. TNL 894164102 Consumer Discretionary 69,145 $5,078,700.25 0.32%
MasTec, Inc. MTZ 576323109 Industrials 13,132 $4,712,549.52 0.30%
Revolution Medicines, Inc. RVMD 76155X100 Health Care 23,549 $4,444,873.75 0.28%
Globus Medical, Inc. (Class A) GMED 379577208 Health Care 52,565 $3,964,452.30 0.25%
Knife River Corporation KNF 498894104 Materials 50,292 $3,905,173.80 0.25%
Knight-Swift Transportation Holdings Inc. KNX 499049104 Industrials 53,996 $3,905,530.68 0.25%
Kodiak Gas Services, Inc. KGS 50012A108 Energy 55,882 $3,647,976.96 0.23%
Circle Internet Group, Inc. (Class A) CRCL 172573107 Information Technology 55,072 $3,424,376.96 0.22%
Forgent Power Solutions, Inc. (Class A) FPS 34631F102 Industrials 84,306 $3,284,561.76 0.21%
Sirius XM Holdings Inc. SIRI 829933100 Communication Services 111,864 $3,341,377.68 0.21%
Bruker Corporation BRKR 116794108 Health Care 50,587 $3,143,982.05 0.20%
Galaxy Digital Inc. (Class A) GLXY 36317J209 Financials 129,570 $3,151,142.40 0.20%
Life Time Group Holdings, Inc. LTH 53190C102 Consumer Discretionary 73,974 $3,101,729.82 0.20%
Lineage, Inc. LINE 53566V106 Real Estate 75,659 $3,098,236.05 0.20%
Oscar Health, Inc. (Class A) OSCR 687793109 Financials 100,190 $2,897,494.80 0.19%
StoneX Group Inc. SNEX 861896108 Financials 39,508 $2,957,568.88 0.19%
Ralliant Corporation RAL 750940108 Information Technology 37,199 $2,616,205.67 0.17%
Smithfield Foods, Inc. SFD 832248207 Consumer Staples 95,887 $2,502,650.70 0.16%
Alumis Inc. ALMS 022307102 Health Care 84,731 $2,397,887.30 0.15%
BillionToOne, Inc. (Class A) BLLN 090168105 Health Care 17,834 $2,299,515.96 0.15%
Hinge Health, Inc. (Class A) HNGE 433313103 Health Care 30,005 $2,301,083.45 0.15%
Enova International, Inc. ENVA 29357K103 Financials 9,672 $2,106,561.60 0.13%
Ionis Pharmaceuticals, Inc. IONS 462222100 Health Care 36,611 $2,045,456.57 0.13%
Andersen Group Inc. (Class A) ANDG 033853102 Industrials 43,810 $1,900,039.70 0.12%
NextNav Inc. NN 65345N106 Information Technology 150,710 $1,906,481.50 0.12%
RXO, Inc. RXO 74982T103 Industrials 63,940 $1,775,613.80 0.11%
Hilton Grand Vacations Inc. HGV 43283X105 Consumer Discretionary 30,923 $1,500,383.96 0.10%
Navan, Inc. (Class A) NAVN 639193101 Consumer Discretionary 70,433 $1,565,725.59 0.10%
Pattern Group Inc. (Class A) PTRN 70339W104 Consumer Discretionary 58,775 $1,380,624.75 0.09%
Cardinal Infrastructure Group Inc. (Class A) CDNL 14154A102 Industrials 16,623 $1,184,721.21 0.08%
US Dollar $USD Other 1,266,967 $1,266,966.95 0.08%
Canadian Dollar $CAD Other 0 $0.01 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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