First Trust International Equity Opportunities ETF (FPXI)
Holdings of the Fund as of 11/20/2024

Total Number of Holdings (excluding cash): 50

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
Arm Holdings Plc ARM 042068205 Information Technology 68,684 $9,183,050.80 6.60%
Spotify Technology S.A. SPOT L8681T102 Communication Services 19,395 $9,115,843.95 6.56%
monday.com Ltd. MNDY M7S64H106 Information Technology 24,110 $6,272,216.50 4.51%
Sandoz Group AG SDZ.SW H7140B103 Health Care 133,802 $6,030,280.76 4.34%
Aristocrat Leisure Limited ALL.AU Q0521T108 Consumer Discretionary 130,475 $5,732,281.66 4.12%
InPost SA INPST.NA L5125Z108 Industrials 310,444 $5,597,976.05 4.03%
Nu Holdings Ltd. (Class A) NU G6683N103 Financials 410,987 $5,474,346.84 3.94%
Gen Digital Inc. GEN 668771108 Information Technology 169,853 $5,000,472.32 3.60%
Nordnet AB (publ) SAVE.SS W6S819112 Financials 242,937 $4,893,557.44 3.52%
UCB S.A. UCB.BB B93562120 Health Care 26,836 $4,805,171.79 3.46%
TDK Corporation 6762.JP J82141136 Information Technology 368,500 $4,545,799.42 3.27%
Krafton, Inc. 259960.KS Y0929C104 Communication Services 16,520 $3,658,387.04 2.63%
Swedish Orphan Biovitrum AB SOBI.SS W95637117 Health Care 134,454 $3,532,312.19 2.54%
SharkNinja Inc. SN G8068L108 Consumer Discretionary 36,202 $3,447,154.44 2.48%
CRH Plc CRH G25508105 Materials 32,888 $3,295,377.60 2.37%
Constellation Software Inc. CSU.CT 21037X100 Information Technology 949 $3,056,477.77 2.20%
PT Amman Mineral Internasional Tbk AMMN.IJ Y009E4100 Materials 5,002,833 $3,049,351.79 2.19%
Novo Nordisk A/S (ADR) NVO 670100205 Health Care 28,819 $3,033,776.13 2.18%
On Holding AG (Class A) ONON H5919C104 Consumer Discretionary 55,209 $2,966,931.66 2.13%
Fairfax Financial Holdings Limited FFH.CN 303901102 Financials 2,016 $2,812,292.87 2.02%
Pegatron Corporation 4938.TT Y6784J100 Information Technology 918,904 $2,715,603.91 1.95%
RB Global Inc. RBA 74935Q107 Industrials 25,230 $2,365,060.20 1.70%
Trip.com Group Ltd. (ADR) TCOM 89677Q107 Consumer Discretionary 33,431 $2,165,994.49 1.56%
Celestica Inc. CLS.CN 15101Q207 Information Technology 24,504 $2,130,988.83 1.53%
Coupang, Inc. CPNG 22266T109 Consumer Discretionary 86,619 $2,076,257.43 1.49%
Caixa Seguridade Participacoes SA CXSE3.BZ P1S73N102 Financials 827,846 $2,045,195.38 1.47%
Siemens Energy AG ENR.GY D6T47E106 Industrials 41,355 $1,988,296.11 1.43%
Sompo Holdings Inc. 8630.JP J7621A101 Financials 68,300 $1,743,940.10 1.25%
Brookfield Asset Management Ltd. BAM 113004105 Financials 30,619 $1,684,045.00 1.21%
SoftBank Corp. 9434.JP J75963132 Communication Services 1,313,870 $1,636,413.26 1.18%
ADNOC Drilling Company PJSC ADNOCDRI.UH Energy 1,103,796 $1,598,746.12 1.15%
DSV A/S DSV.DC K31864117 Industrials 7,381 $1,589,197.18 1.14%
Universal Music Group NV UMG.NA N90313102 Communication Services 63,098 $1,497,551.40 1.08%
Haleon Plc HLN.LN G4232K100 Consumer Staples 314,569 $1,466,367.99 1.05%
Dr. Ing. h.c. F. Porsche AG P911.GY D2R3HA114 Consumer Discretionary 23,569 $1,449,123.29 1.04%
Sega Sammy Holdings Inc. 6460.JP J7028D104 Consumer Discretionary 83,100 $1,435,218.44 1.03%
Teva Pharmaceutical Industries Ltd. (ADR) TEVA 881624209 Health Care 78,163 $1,331,115.89 0.96%
Smoore International Holdings Limited 6969.HK G8245V102 Consumer Staples 850,163 $1,260,443.13 0.91%
Tele2 AB (Class B) TEL2B.SS W95878166 Communication Services 117,847 $1,205,076.45 0.87%
Pop Mart International Group Limited 9992.HK G7170M103 Consumer Discretionary 115,901 $1,142,083.33 0.82%
Var Energi ASA VAR.NO R9796N109 Energy 344,440 $1,137,945.20 0.82%
Emaar Development PJSC EMAARDEV.UH M4100K102 Real Estate 344,935 $1,028,325.10 0.74%
Midea Group Co., Ltd. (Class H) 300.HK Y6S40V111 Consumer Discretionary 113,035 $1,006,378.66 0.72%
Salik Company P.J.S.C. SALIK.UH Industrials 646,754 $940,284.84 0.68%
Amer Sports, Inc. AS G0260P102 Consumer Discretionary 43,571 $913,248.16 0.66%
Orkla ASA ORK.NO R67787102 Consumer Staples 86,358 $762,636.39 0.55%
Tokyo Metro Co., Ltd. 9023.JP J8T324105 Industrials 68,300 $753,614.00 0.54%
Akeso, Inc. 9926.HK G0146B103 Health Care 75,049 $678,303.81 0.49%
Japanese Yen $JPY Other 83,567,439 $537,618.62 0.39%
US Dollar $USD Other 443,429 $443,429.38 0.32%
Vista Energy, S.A.B. de C.V. VIST 92837L109 Energy 8,235 $420,314.40 0.30%
SAL Saudi Logistics Services SAL.AB M8232P103 Industrials 5,518 $383,612.58 0.28%
Brazilian Real $BRL Other 19 $3.21 0.00%
Euro $EUR Other 33 $35.00 0.00%
Mexican Peso $MXN Other 0 $0.00 0.00%
New Taiwan Dollar $TWD Other 0 $0.00 0.00%
Pound Sterling $GBP Other 48 $60.10 0.00%
Saudi Riyal $SAR Other 4 $1.10 0.00%
South Korean Won $KRW Other 0 $0.00 0.00%
Swiss Franc $CHF Other 0 $0.54 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.