First Trust SSI Strategic Convertible Securities ETF (FCVT)
Holdings of the Fund as of 3/31/2025

Total Number of Holdings (excluding cash): 128

Security Name Identifier CUSIP Shares / Quantity Market Value Weighting Descending sort
MICROSTRATEGY INC Convertible, 0%, due 12/01/2029 594972AR2 3,200,000 $2,595,200.00 3.30%
The Boeing Company, Convertible, 6.00%, Due 10/15/2027 BA.A 097023204 37,075 $2,218,197.25 2.82%
ALIBABA GROUP HOLDING Convertible, 0.50%, due 06/01/2031 01609WBF8 1,390,000 $1,986,657.50 2.53%
NEXTERA ENERGY CAPITAL Convertible, 3%, due 03/01/2027 65339KCY4 1,522,000 $1,760,193.00 2.24%
PG&E CORP Convertible, 4.25%, due 12/01/2027 69331CAL2 1,547,000 $1,638,273.00 2.09%
Bank of America Corporation, Series L, 7.25% BAC.L 060505682 1,255 $1,549,385.35 1.97%
Wells Fargo & Company, Series L, 7.500% WFC.L 949746804 1,256 $1,508,204.80 1.92%
MORGAN STANLEY FIN LLC Convertible, 0.125%, due 02/07/2028 61774TYE6 757,000 $1,456,233.33 1.85%
SNOWFLAKE INC Convertible, 0%, due 10/01/2027 833445AA7 1,108,000 $1,285,280.00 1.64%
LIVE NATION ENTERTAINMENT Convertible, 2.875%, due 01/15/2030 538034BB4 1,175,000 $1,219,062.50 1.55%
Apollo Global Management, Inc., 6.75%, Due 07/31/2026 APO.A 03769M304 16,350 $1,195,021.50 1.52%
ON SEMICONDUCTOR CORP Convertible, 0.50%, due 03/01/2029 682189AU9 1,265,000 $1,094,288.25 1.39%
WELLTOWER OP LLC Convertible, 2.75%, due 05/15/2028 95041AAB4 665,000 $1,085,612.50 1.38%
SHIFT4 PAYMENTS INC Convertible, 0.50%, due 08/01/2027 82452JAD1 1,035,000 $1,050,007.50 1.34%
NCL CORPORATION LTD Convertible, 1.125%, due 02/15/2027 62886HBD2 1,065,000 $1,036,245.00 1.32%
US Dollar $USD 982,292 $982,292.01 1.25%
DIGITAL REALTY TRUST LP Convertible, 1.875%, due 11/15/2029 25389JAX4 960,000 $953,088.00 1.21%
SEAGATE HDD CAYMAN Convertible, 3.50%, due 06/01/2028 81180WBL4 770,000 $928,523.75 1.18%
PALO ALTO NETWORKS Convertible, 0.375%, due 06/01/2025 697435AF2 256,000 $878,464.00 1.12%
UBER TECHNOLOGIES INC Convertible, 0.875%, due 12/01/2028 90353TAM2 711,000 $868,842.00 1.11%
CLOUDFLARE INC Convertible, 0%, due 08/15/2026 18915MAC1 862,000 $866,956.50 1.10%
MICROSTRATEGY INC Convertible, 0%, due 03/01/2030 594972AT8 907,000 $866,693.22 1.10%
RIVIAN AUTO INC Convertible, 3.625%, due 10/15/2030 76954AAD5 985,000 $856,088.14 1.09%
SOUTHERN CO Convertible, 3.875%, due 12/15/2025 842587DP9 755,000 $841,258.75 1.07%
MKS INSTRUMENTS INC Convertible, 1.25%, due 06/01/2030 55306NAA2 920,000 $829,840.00 1.06%
GUIDEWIRE SOFTWARE INC Convertible, 1.25%, due 11/01/2029 40171VAB6 790,000 $824,760.00 1.05%
ASCENDIS PHARMA A/S Convertible, 2.25%, due 04/01/2028 04351PAD3 690,000 $820,344.66 1.04%
KKR & Co. Inc., Series D, 6.25%, Due 03/01/2028 KKR.D 48251W500 15,730 $777,062.00 0.99%
OSI SYSTEMS INC Convertible, 2.25%, due 08/01/2029 671044AE5 624,000 $761,065.86 0.97%
SPOTIFY USA INC Convertible, 0%, due 03/15/2026 84921RAB6 623,000 $744,298.10 0.95%
GRANITE CONSTRUCTION INC Convertible, 3.25%, due 06/15/2030 387328AE7 611,000 $730,481.05 0.93%
WESTERN DIGITAL CORP Convertible, 3%, due 11/15/2028 958102AT2 565,000 $728,002.50 0.93%
Hewlett Packard Enterprise Company, Convertible, 7.625%, Due 09/01/2027 HPE.C 42824C208 14,990 $715,622.60 0.91%
INTEGER HOLDINGS CORP Convertible, 1.875%, due 03/15/2030 45826HAC3 685,000 $693,905.00 0.88%
STRIDE INC Convertible, 1.125%, due 09/01/2027 86333MAA6 280,000 $683,340.00 0.87%
BILL HOLDINGS INC Convertible, 0%, due 04/01/2030 090043AE0 823,000 $672,391.00 0.86%
CARNIVAL CORP Convertible, 5.75%, due 12/01/2027 143658BV3 400,000 $668,400.00 0.85%
DATADOG INC Convertible, 0%, due 12/01/2029 23804LAC7 765,000 $668,227.50 0.85%
Ares Management Corporation, Convertible, Series B, 6.75%, Due 10/01/2027 ARES.B 03990B309 13,600 $655,656.00 0.83%
JD.COM INC Convertible, 0.25%, due 06/01/2029 47215PAH9 565,000 $653,583.43 0.83%
LIBERTY MEDIA CORP Convertible, 2.25%, due 08/15/2027 531229AQ5 535,000 $651,362.50 0.83%
MIRUM PHARMACEUTICALS Convertible, 4%, due 05/01/2029 604749AB7 400,000 $650,700.00 0.83%
JAZZ INVESTMENTS I LTD 3.125%, due 09/15/2030 472145AG6 566,000 $630,241.00 0.80%
HALOZYME THERAPEUTICS INC Convertible, 1%, due 08/15/2028 40637HAF6 484,000 $620,162.93 0.79%
INSMED INC Convertible, 0.75%, due 06/01/2028 457669AB5 262,000 $621,726.00 0.79%
ALNYLAM PHARMACEUTICALS Convertible, 1%, due 09/15/2027 02043QAB3 530,000 $611,620.00 0.78%
BOOKING HOLDINGS INC Convertible, 0.75%, due 05/01/2025 09857LAN8 248,000 $610,514.00 0.78%
LIBERTY MEDIA CORP Convertible, 2.375%, due 09/30/2053 531229AR3 440,000 $604,560.00 0.77%
AFFIRM HOLDINGS INC Convertible, 0%, due 11/15/2026 00827BAB2 645,000 $596,263.40 0.76%
ZSCALER INC Convertible, 0.125%, due 07/01/2025 98980GAB8 448,000 $594,944.00 0.76%
PARSONS CORP Convertible, 2.625%, due 03/01/2029 70202LAD4 574,000 $574,861.00 0.73%
GLOBAL PAYMENTS INC Convertible, 1.50%, due 03/01/2031 37940XAU6 591,000 $559,677.00 0.71%
BLOOM ENERGY CORP Convertible, 3%, due 06/01/2028 093712AK3 422,000 $552,398.00 0.70%
NUTANIX INC Convertible, 0.25%, due 10/01/2027 67059NAH1 405,000 $540,877.50 0.69%
TRIP.COM GROUP LTD Convertible, 0.75%, due 06/15/2029 89677QAA5 456,000 $540,360.00 0.69%
NUTANIX INC Convertible, 0.50%, due 12/15/2029 67059NAJ7 508,000 $537,986.70 0.68%
DRAFTKINGS HOLDINGS INC Convertible, 0%, due 03/15/2028 26142RAB0 601,000 $526,175.50 0.67%
INSULET CORPORATION Convertible, 0.375%, due 09/01/2026 45784PAK7 416,000 $528,355.72 0.67%
Albemarle Corp, Convertible, 7.25%, Due 03/01/2027 ALB.A 012653200 14,500 $516,925.00 0.66%
GALAXY DIGITAL HOLDINGS LP Convertible, 2.50%, due 12/01/2029 36317GAB2 618,000 $520,665.00 0.66%
WORKIVA INC Convertible, 1.25%, due 08/15/2028 98139AAD7 560,000 $522,340.00 0.66%
DUKE ENERGY CORP Convertible, 4.125%, due 04/15/2026 26441CBY0 470,000 $509,973.50 0.65%
M/A-COM TECH SOLUTIONS Convertible, 0%, due 12/15/2029 55405YAC4 560,000 $511,840.00 0.65%
CORE SCIENTIFIC INC Convertible, 0%, due 06/15/2031 21874AAE6 585,000 $493,228.13 0.63%
LANTHEUS HOLDINGS INC Convertible, 2.625%, due 12/15/2027 516544AB9 349,000 $493,398.75 0.63%
PTC THERAPEUTICS INC Convertible, 1.50%, due 09/15/2026 69366JAD3 420,000 $491,527.25 0.63%
LUMENTUM HOLDINGS INC Convertible, 1.50%, due 12/15/2029 55024UAH2 415,000 $488,662.50 0.62%
MERIT MEDICAL SYSTEMS INC Convertible, 3%, due 02/01/2029 589889AA2 358,000 $487,775.00 0.62%
BOX INC Convertible, 1.50%, due 09/15/2029 10316TAC8 481,000 $464,646.00 0.59%
SOFI TECHNOLOGIES INC Convertible, 1.25%, due 03/15/2029 83406FAC6 325,000 $466,537.50 0.59%
COINBASE GLOBAL INC Convertible, 0.25%, due 04/01/2030 19260QAE7 492,000 $457,314.00 0.58%
UBER TECHNOLOGIES INC Convertible, 0%, due 12/15/2025 90353TAJ9 430,000 $456,875.00 0.58%
VARONIS SYSTEM INC Convertible, 1%, due 09/15/2029 922280AC6 494,000 $455,344.50 0.58%
VENTAS REALTY LP Convertible, 3.75%, due 06/01/2026 92277GAZ0 354,000 $456,306.00 0.58%
ADVANCED ENERGY INDUSTRIES Convertible, 2.50%, due 09/15/2028 007973AE0 435,000 $446,830.86 0.57%
BRIDGEBIO PHARMA INC Convertible, 1.75%, due 03/01/2031 10806XAH5 432,000 $446,256.00 0.57%
WEC ENERGY GROUP INC Convertible, 4.375%, due 06/01/2027 92939UAN6 382,000 $447,545.79 0.57%
NRG ENERGY INC Convertible, 2.75%, due 06/01/2048 629377CG5 190,000 $442,770.42 0.56%
AXON ENTERPRISE INC Convertible, 0.50%, due 12/15/2027 05464CAB7 183,000 $429,546.75 0.55%
EXACT SCIENCES CORP Convertible, 2%, due 03/01/2030 30063PAD7 457,000 $429,580.00 0.55%
BrightSpring Health Services, Inc., Convertible, 6.75%, Due 02/01/2027 BTSGU 10950A205 6,370 $414,050.00 0.53%
LUMENTUM HOLDINGS INC Convertible, 0.50%, due 12/15/2026 55024UAD1 400,000 $416,400.00 0.53%
UPSTART HOLDINGS INC Convertible, 1%, due 11/15/2030 91680MAE7 473,000 $416,240.00 0.53%
MP MATERIALS CORP Convertible, 3%, due 03/01/2030 553368AC5 294,000 $406,465.30 0.52%
THE CHEESECAKE FACTORY Convertible, 2%, due 03/15/2030 163072AB7 425,000 $407,468.75 0.52%
MORGAN STANLEY FIN LLC 1%, due 11/23/2027 61774H2L1 246,000 $388,982.58 0.50%
WAYFAIR INC Convertible, 3.25%, due 09/15/2027 94419LAP6 400,000 $392,000.00 0.50%
TYLER TECHNOLOGIES INC Convertible, 0.25%, due 03/15/2026 902252AB1 317,000 $387,832.35 0.49%
INTERDIGITAL INC Convertible, 3.50%, due 06/01/2027 45867GAD3 139,000 $373,632.00 0.48%
LI AUTO INC Convertible, 0.25%, due 05/01/2028 50202MAB8 320,000 $377,360.00 0.48%
NORTHERN OIL & GAS INC Convertible, 3.625%, due 04/15/2029 665531AJ8 355,000 $375,430.25 0.48%
Chart Industries, Inc., Series B, 6.75%, Due 12/15/2025 GTLS.B 16115Q407 6,700 $366,959.00 0.47%
CORE SCIENTIFIC INC Convertible, 3%, due 09/01/2029 21874AAC0 336,000 $353,220.00 0.45%
LYFT INC Convertible, 0.625%, due 03/01/2029 55087PAD6 368,000 $356,960.00 0.45%
PAR TECHNOLOGY CORP Convertible, 1.50%, due 10/15/2027 698884AE3 323,000 $346,094.50 0.44%
QIFU TECHNOLOGY Convertible, 0.50%, due 04/01/2030 88557WAA9 339,000 $344,254.50 0.44%
PAGAYA TECHNOLOGIES LTD Convertible, 6.125%, due 10/01/2029 69549FAA7 304,000 $337,440.00 0.43%
PPL CAPITAL FUNDING INC Convertible, 2.875%, due 03/15/2028 69352PAS2 303,000 $339,814.50 0.43%
UNITY SOFTWARE INC Convertible, 0%, due 03/15/2030 91332UAG6 372,000 $337,032.00 0.43%
IMAX CORP Convertible, 0.50%, due 04/01/2026 45245EAJ8 296,000 $328,043.06 0.42%
UNITED STATES STEEL CORP Convertible, 5%, due 11/01/2026 912909AT5 101,000 $319,867.00 0.41%
THE CHEFS' WAREHOUSE Convertible, 2.375%, due 12/15/2028 163086AE1 225,000 $313,196.24 0.40%
CNX RESOURCES CORP Convertible, 2.25%, due 05/01/2026 12653CAG3 123,000 $303,010.50 0.39%
CYTOKINETICS INC Convertible, 3.50%, due 07/01/2027 23282WAC4 270,000 $309,825.00 0.39%
HUBSPOT INC Convertible, 0.375%, due 06/01/2025 443573AD2 152,000 $306,280.00 0.39%
TRAVERE THERAPEUTICS INC Convertible, 2.25%, due 03/01/2029 89422GAA5 308,000 $307,692.00 0.39%
BURLINGTON STORES INC Convertible, 1.25%, due 12/15/2027 122017AD8 225,000 $297,675.00 0.38%
PELOTON INTERACTIVE INC Convertible, 5.50%, due 12/01/2029 70614WAC4 170,000 $287,810.00 0.37%
ROCKET LAB USA Convertible, 4.25%, due 02/01/2029 773122AA4 81,000 $293,068.13 0.37%
AFFIRM HOLDINGS INC Convertible, 0.75%, due 12/15/2029 00827BAC0 316,000 $279,976.00 0.36%
IRHYTHM TECHNOLOGIES INC Convertible, 1.50%, due 09/01/2029 450056AB2 271,000 $282,788.50 0.36%
PROGRESS SOFTWARE CORP Convertible, 3.50%, due 03/01/2030 743312AD2 267,000 $281,685.00 0.36%
Q2 HOLDINGS INC Convertible, 0.75%, due 06/01/2026 74736LAD1 258,000 $282,923.76 0.36%
SEA LTD Convertible, 2.375%, due 12/01/2025 81141RAF7 190,000 $280,155.00 0.36%
FEDERAL REALTY OP LP Convertible, 3.25%, due 01/15/2029 313747BD8 274,000 $273,589.00 0.35%
UGI CORP Convertible, 5%, due 06/01/2028 902681AA3 215,000 $278,159.37 0.35%
ALLIANT ENERGY CORP Convertible, 3.875%, due 03/15/2026 018802AC2 251,000 $268,946.50 0.34%
AST SPACEMOBILE INC Convertible, 4.25%, due 03/01/2032 00217DAA8 225,000 $264,543.75 0.34%
TWO HARBORS INV CORP Convertible, 6.25%, due 01/15/2026 90187BAB7 271,000 $268,967.50 0.34%
EQUINOX GOLD CORP Convertible, 4.75%, due 10/15/2028 29446YAC0 198,000 $262,468.80 0.33%
Nextera Energy, Inc., Convertible, 7.299%, Due 06/01/2027 NEE.S 65339F663 5,500 $262,955.00 0.33%
SNOWFLAKE INC Convertible, 0%, due 10/01/2029 833445AC3 214,000 $250,674.25 0.32%
SYNAPTICS INC Convertible, 0.75%, due 12/01/2031 87157DAH2 270,000 $255,150.00 0.32%
DATADOG INC Convertible, 0.125%, due 06/15/2025 23804LAB9 210,000 $235,935.00 0.30%
SOUTHWEST AIRLINES CO Convertible, 1.25%, due 05/01/2025 844741BG2 236,000 $236,000.00 0.30%
Microchip Technology Incorporated, 7.50%, Due 03/15/2028 MCHPP 595017302 4,650 $226,650.30 0.29%
RIOT PLATFORMS INC Convertible, 0.75%, due 01/15/2030 767292AA3 280,000 $217,243.14 0.28%
CINEMARK HOLDINGS INC Convertible, 4.50%, due 08/15/2025 17243VAB8 108,000 $188,703.00 0.24%
JETBLUE AIRWAYS CORP Convertible, 2.50%, due 09/01/2029 477143AQ4 116,000 $119,422.00 0.15%
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.