First Trust WCM International Equity ETF (WCMI)
Holdings of the Fund as of 10/11/2024

Total Number of Holdings (excluding cash): 37

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
US Dollar $USD Other 3,620,311 $3,620,311.33 5.20%
United Overseas Bank Limited UOB.SP Y9T10P105 Financials 124,313 $3,032,068.99 4.36%
Canadian National Railway Company CNR.CN 136375102 Industrials 24,060 $2,787,304.22 4.00%
AstraZeneca Plc (ADR) AZN 046353108 Health Care 35,630 $2,755,980.50 3.96%
Iberdrola S.A. IBE.SM E6165F166 Utilities 179,950 $2,679,712.30 3.85%
London Stock Exchange Group Plc LSEG.LN G5689U103 Financials 20,080 $2,655,051.27 3.81%
Compass Group Plc CPG.LN G23296208 Consumer Discretionary 77,970 $2,476,516.30 3.56%
Haleon Plc HLN.LN G4232K100 Consumer Staples 486,260 $2,418,054.15 3.47%
GMO Payment Gateway, Inc. 3769.JP J18229104 Financials 37,635 $2,361,522.56 3.39%
Baker Hughes Company (Class A) BKR 05722G100 Energy 61,390 $2,314,403.00 3.32%
Adyen NV ADYEN.NA N3501V104 Financials 1,530 $2,277,719.19 3.27%
Mastercard Incorporated MA 57636Q104 Financials 4,360 $2,189,853.60 3.15%
Siemens Healthineers AG SHL.GY D6T479107 Health Care 37,420 $2,156,123.37 3.10%
AIA Group Limited 1299.HK Y002A1105 Financials 243,880 $2,105,862.47 3.03%
HDFC Bank Ltd. (ADR) HDB 40415F101 Financials 34,510 $2,089,235.40 3.00%
Aon Plc (Class A) AON G0403H108 Financials 5,630 $1,999,494.50 2.87%
Credicorp Ltd. BAP G2519Y108 Financials 9,870 $1,843,025.10 2.65%
Nippon Paint Holdings Co., Ltd. 4612.JP J55053128 Materials 244,000 $1,770,437.65 2.54%
GSK Plc GSK.LN G3910J179 Health Care 88,410 $1,709,589.34 2.46%
Exxon Mobil Corporation XOM 30231G102 Energy 13,110 $1,620,527.10 2.33%
Accenture Plc ACN G1151C101 Information Technology 4,200 $1,515,108.00 2.18%
Epiroc AB (Class A) EPIA.SS W25918124 Industrials 73,250 $1,513,409.26 2.17%
Shenzhou International Group Holdings Limited 2313.HK G8087W101 Consumer Discretionary 171,200 $1,452,947.30 2.09%
Wise Plc (Class A) WISE.LN G97229101 Financials 167,700 $1,452,697.82 2.09%
Hensoldt AG HAG.GY D3R14P109 Industrials 46,680 $1,447,425.72 2.08%
Grupo Aeroportuario del Pacifico, S.A.B. de C.V. (Class B) GAPB.MM P4959P100 Industrials 82,130 $1,420,974.55 2.04%
NIKE, Inc. (Class B) NKE 654106103 Consumer Discretionary 16,360 $1,343,974.00 1.93%
Spirax Group Plc SPX.LN G83561129 Industrials 14,430 $1,292,416.47 1.86%
Persimmon Plc PSN.LN G70202109 Consumer Discretionary 62,220 $1,290,136.39 1.85%
Megacable Holdings, S.A.B. de C.V. (Unit) MEGACPO.MM P652AE117 Communication Services 596,550 $1,273,954.42 1.83%
MercadoLibre, Inc. MELI 58733R102 Consumer Discretionary 590 $1,233,784.40 1.77%
Alcon Inc. ALC H01301128 Health Care 12,500 $1,208,625.00 1.74%
Sartorius Stedim Biotech DIM.FP F8005V210 Health Care 5,750 $1,183,168.71 1.70%
Taiwan Semiconductor Manufacturing Company Ltd. 2330.TT Y84629107 Information Technology 35,500 $1,152,396.74 1.66%
Novo Nordisk A/S (Class B) NOVOB.DC K72807140 Health Care 8,830 $1,061,807.66 1.53%
Ivanhoe Mines Ltd. (Class A) IVN.CN 46579R104 Materials 73,430 $1,030,325.64 1.48%
Keyence Corporation 6861.JP J32491102 Information Technology 2,200 $1,009,266.41 1.45%
Intact Financial Corporation IFC.CN 45823T106 Financials 4,780 $916,960.28 1.32%
New Taiwan Dollar $TWD Other 115,344 $3,585.56 0.01%
Pound Sterling $GBP Other -40,117 ($52,409.33) -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.