First Trust Merger Arbitrage ETF (MARB)
Holdings of the Fund as of 7/16/2024

Total Number of Holdings (excluding cash): 42

Security Name Identifier CUSIP Shares / Quantity Market Value Weighting Descending sort
US Dollar $USD 11,383,127 $11,383,126.68 37.00%
Heartland Financial USA, Inc. HTLF 42234Q102 36,071 $1,879,299.10 6.11%
Hashicorp, Inc. (Class A) HCP 418100103 50,595 $1,692,908.70 5.50%
AssetMark Financial Holdings, Inc. AMK 04546L106 44,762 $1,545,631.86 5.02%
Albertsons Companies, Inc. (Class A) ACI 013091103 76,431 $1,510,276.56 4.91%
Amedisys, Inc. AMED 023436108 15,361 $1,501,384.14 4.88%
Endeavor Group Holdings, Inc. (Class A) EDR 29260Y109 51,921 $1,421,077.77 4.62%
Axonics, Inc. AXNX 05465P101 18,223 $1,238,617.31 4.03%
Nuvei Corporation NVEI 67079A102 37,650 $1,227,013.50 3.99%
Discover Financial Services DFS 254709108 8,003 $1,134,985.46 3.69%
ANSYS, Inc. ANSS 03662Q105 3,404 $1,124,579.48 3.65%
United States Steel Corporation X 912909108 29,063 $1,110,206.60 3.61%
Juniper Networks, Inc. JNPR 48203R104 28,974 $1,080,150.72 3.51%
Hess Corporation HES 42809H107 6,652 $1,001,325.56 3.25%
Catalent, Inc. CTLT 148806102 16,355 $946,136.75 3.08%
Cerevel Therapeutics Holdings, Inc. CERE 15678U128 22,182 $941,625.90 3.06%
ChampionX Corporation CHX 15872M104 26,841 $926,551.32 3.01%
Vizio Holding Corp. (Class A) VZIO 92858V101 83,405 $918,289.05 2.98%
Equitrans Midstream Corporation ETRN 294600101 68,398 $859,078.88 2.79%
McGrath RentCorp MGRC 580589109 6,992 $790,935.04 2.57%
Perficient, Inc. PRFT 71375U101 10,370 $779,305.50 2.53%
Stericycle, Inc. SRCL 858912108 13,204 $767,548.52 2.49%
Surmodics, Inc. SRDX 868873100 18,163 $764,843.93 2.49%
Diamond Offshore Drilling, Inc. DO 25271C201 41,151 $676,110.93 2.20%
Marathon Oil Corporation MRO 565849106 21,838 $632,646.86 2.06%
PowerSchool Holdings, Inc. (Class A) PWSC 73939C106 27,194 $611,321.12 1.99%
Silk Road Medical, Inc. SILK 82710M100 22,555 $610,563.85 1.98%
Independent Bank Group, Inc. IBTX 45384B106 10,386 $564,582.96 1.83%
Capri Holdings Limited CPRI G1890L107 12,664 $448,305.60 1.46%
Bristol-Myers Squibb Co. - CVR 2367655D 39,856 $0.00 0.00%
Chinook Therapeutics, Inc. KDNY 16961L106 43,869 $0.00 0.00%
Icosavax, Inc. ICVX 45114M109 100,745 $0.00 0.00%
Johnson & Johnson - CVR .JNJ-CVR 003CVR016 7,137 $0.00 0.00%
WillScot Mobile Mini Holdings Corp. WSC 971378104 -8,091 ($327,200.04) -1.06%
Noble Corp Plc NE G65431127 -9,533 ($460,062.58) -1.50%
South State Corporation SSB 840441109 -6,235 ($562,085.25) -1.83%
ConocoPhillips COP 20825C104 -5,571 ($641,723.49) -2.09%
Synopsys, Inc. SNPS 871607107 -1,212 ($742,968.12) -2.41%
EQT Corporation EQT 26884L109 -24,556 ($881,069.28) -2.86%
Chevron Corporation CVX 166764100 -6,990 ($1,102,812.30) -3.58%
Capital One Financial Corporation COF 14040H105 -8,359 ($1,250,172.04) -4.06%
Schlumberger Limited SLB 806857108 -28,574 ($1,392,125.28) -4.52%
UMB Financial Corporation UMBF 902788108 -20,188 ($1,959,851.04) -6.37%
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.