Home Logon FTA Investment Managers Blog Subscribe About Us Contact Us

Search by Ticker, Keyword or CUSIP       
 
 
First Trust S&P 500 Diversified Dividend Aristocrats ETF (KNGZ)
Holdings of the Fund as of 7/16/2024
View Index Holdings

Total Number of Holdings (excluding cash): 96

Security Name Identifier CUSIP Classification Shares / Quantity Market Value Weighting Descending sort
HP Inc. HPQ 40434L105 Information Technology 47,719 $1,813,322.00 4.98%
Corning Incorporated GLW 219350105 Information Technology 39,009 $1,802,215.80 4.95%
Hewlett Packard Enterprise Company HPE 42824C109 Information Technology 63,076 $1,351,718.68 3.72%
Texas Instruments Incorporated TXN 882508104 Information Technology 6,529 $1,349,021.98 3.71%
International Business Machines Corporation IBM 459200101 Information Technology 6,908 $1,283,575.48 3.53%
Verizon Communications Inc. VZ 92343V104 Communication Services 30,128 $1,248,805.60 3.43%
QUALCOMM Incorporated QCOM 747525103 Information Technology 4,240 $888,873.60 2.44%
Analog Devices, Inc. ADI 032654105 Information Technology 3,546 $862,848.18 2.37%
Microchip Technology Incorporated MCHP 595017104 Information Technology 8,426 $798,869.06 2.20%
Best Buy Co., Inc. BBY 086516101 Consumer Discretionary 8,805 $768,236.25 2.11%
Hasbro, Inc. HAS 418056107 Consumer Discretionary 12,283 $763,019.96 2.10%
The Interpublic Group of Companies, Inc. IPG 460690100 Communication Services 24,629 $754,878.85 2.07%
TE Connectivity Ltd. TEL H84989104 Information Technology 4,524 $722,301.84 1.99%
Prudential Financial, Inc. PRU 744320102 Financials 4,549 $575,539.48 1.58%
Accenture Plc ACN G1151C101 Information Technology 1,701 $552,825.00 1.52%
Omnicom Group Inc. OMC 681919106 Communication Services 5,795 $552,553.25 1.52%
Comcast Corporation (Class A) CMCSA 20030N101 Communication Services 13,372 $529,664.92 1.46%
Bristol-Myers Squibb Company BMY 110122108 Health Care 12,610 $519,532.00 1.43%
T. Rowe Price Group, Inc. TROW 74144T108 Financials 4,183 $505,097.25 1.39%
Franklin Resources, Inc. BEN 354613101 Financials 20,042 $480,406.74 1.32%
AbbVie Inc. ABBV 00287Y109 Health Care 2,803 $474,267.60 1.30%
M&T Bank Corporation MTB 55261F104 Financials 2,802 $457,062.24 1.26%
Johnson & Johnson JNJ 478160104 Health Care 2,809 $424,187.09 1.17%
Medtronic Plc MDT G5960L103 Health Care 5,438 $424,707.80 1.17%
Northern Trust Corporation NTRS 665859104 Financials 4,612 $418,585.12 1.15%
CVS Health Corporation CVS 126650100 Health Care 6,796 $408,167.76 1.12%
KLA Corporation KLAC 482480100 Information Technology 464 $402,371.52 1.11%
Philip Morris International Inc. PM 718172109 Consumer Staples 3,714 $394,055.40 1.08%
Principal Financial Group, Inc. PFG 74251V102 Financials 4,515 $392,218.05 1.08%
ONEOK, Inc. OKE 682680103 Energy 4,541 $386,257.46 1.06%
The Home Depot, Inc. HD 437076102 Consumer Discretionary 998 $368,381.76 1.01%
Garmin Ltd. GRMN H2906T109 Consumer Discretionary 2,038 $354,082.12 0.97%
Amphenol Corporation APH 032095101 Information Technology 4,833 $340,291.53 0.94%
Quest Diagnostics Incorporated DGX 74834L100 Health Care 2,301 $341,928.60 0.94%
MetLife, Inc. MET 59156R108 Financials 4,473 $338,427.18 0.93%
Genuine Parts Company GPC 372460105 Consumer Discretionary 2,278 $322,838.16 0.89%
Merck & Co., Inc. MRK 58933Y105 Health Care 2,568 $322,129.92 0.89%
McDonald's Corporation MCD 580135101 Consumer Discretionary 1,234 $317,471.18 0.87%
BlackRock, Inc. BLK 09247X101 Financials 367 $309,725.98 0.85%
Cincinnati Financial Corporation CINF 172062101 Financials 2,485 $310,948.05 0.85%
Aflac Incorporated AFL 001055102 Financials 3,201 $299,453.55 0.82%
Chevron Corporation CVX 166764100 Energy 1,875 $295,818.75 0.81%
United Parcel Service, Inc. (Class B) UPS 911312106 Industrials 1,989 $293,039.37 0.81%
Microsoft Corporation MSFT 594918104 Information Technology 633 $284,546.16 0.78%
Conagra Brands, Inc. CAG 205887102 Consumer Staples 9,653 $279,840.47 0.77%
Amcor Plc AMCR G0250X107 Materials 27,041 $272,302.87 0.75%
C.H. Robinson Worldwide, Inc. CHRW 12541W209 Industrials 3,075 $269,800.50 0.74%
Abbott Laboratories ABT 002824100 Health Care 2,511 $257,929.92 0.71%
Lowe's Companies, Inc. LOW 548661107 Consumer Discretionary 1,066 $256,874.02 0.71%
Kimberly-Clark Corporation KMB 494368103 Consumer Staples 1,772 $252,439.12 0.69%
Kellanova K 487836108 Consumer Staples 4,298 $245,200.90 0.67%
UnitedHealth Group Incorporated UNH 91324P102 Health Care 436 $239,307.32 0.66%
Exxon Mobil Corporation XOM 30231G102 Energy 1,995 $231,499.80 0.64%
Cardinal Health, Inc. CAH 14149Y108 Health Care 2,417 $230,605.97 0.63%
CME Group Inc. CME 12572Q105 Financials 1,134 $223,817.58 0.62%
Kenvue Inc. KVUE 49177J102 Consumer Staples 12,299 $224,456.75 0.62%
Stanley Black & Decker, Inc. SWK 854502101 Industrials 2,462 $221,678.48 0.61%
Coterra Energy Inc. CTRA 127097103 Energy 7,912 $216,551.44 0.60%
Everest Group, Ltd. EG G3223R108 Financials 550 $217,030.00 0.60%
Becton, Dickinson and Company BDX 075887109 Health Care 915 $211,090.50 0.58%
The Cigna Group CI 125523100 Health Care 610 $207,223.10 0.57%
Tyson Foods, Inc. (Class A) TSN 902494103 Consumer Staples 3,497 $206,567.79 0.57%
EOG Resources, Inc. EOG 26875P101 Energy 1,560 $205,171.20 0.56%
The Travelers Companies, Inc. TRV 89417E109 Financials 933 $203,198.07 0.56%
Paychex, Inc. PAYX 704326107 Industrials 1,609 $199,966.52 0.55%
General Mills, Inc. GIS 370334104 Consumer Staples 3,044 $191,467.60 0.53%
Lockheed Martin Corporation LMT 539830109 Industrials 406 $190,243.48 0.52%
Hormel Foods Corporation HRL 440452100 Consumer Staples 5,890 $184,710.40 0.51%
Lennar Corporation LEN 526057104 Consumer Discretionary 1,077 $182,680.74 0.50%
Realty Income Corporation O 756109104 Real Estate 3,243 $182,807.91 0.50%
NIKE, Inc. (Class B) NKE 654106103 Consumer Discretionary 2,415 $175,836.15 0.48%
Snap-on Incorporated SNA 833034101 Industrials 625 $174,300.00 0.48%
FMC Corporation FMC 302491303 Materials 2,868 $169,900.32 0.47%
L3Harris Technologies Inc. LHX 502431109 Industrials 708 $170,217.36 0.47%
Air Products and Chemicals, Inc. APD 009158106 Materials 578 $154,632.34 0.43%
Cummins Inc. CMI 231021106 Industrials 526 $157,500.18 0.43%
Eastman Chemical Company EMN 277432100 Materials 1,542 $154,477.56 0.42%
Mid-America Apartment Communities, Inc. MAA 59522J103 Real Estate 1,065 $151,900.95 0.42%
Automatic Data Processing, Inc. ADP 053015103 Industrials 613 $150,687.66 0.41%
Union Pacific Corporation UNP 907818108 Industrials 604 $146,808.24 0.40%
Illinois Tool Works Inc. ITW 452308109 Industrials 562 $142,461.38 0.39%
Pinnacle West Capital Corporation PNW 723484101 Utilities 1,749 $140,881.95 0.39%
Pool Corporation POOL 73278L105 Consumer Discretionary 419 $141,161.10 0.39%
Essex Property Trust, Inc. ESS 297178105 Real Estate 502 $139,932.50 0.38%
Evergy, Inc. EVRG 30034W106 Utilities 2,549 $139,608.73 0.38%
Fastenal Company FAST 311900104 Industrials 2,022 $139,578.66 0.38%
Federal Realty Investment Trust FRT 313745101 Real Estate 1,261 $137,070.70 0.38%
Norfolk Southern Corporation NSC 655844108 Industrials 584 $137,117.36 0.38%
Emerson Electric Co. EMR 291011104 Industrials 1,139 $135,392.93 0.37%
Eversource Energy ES 30040W108 Utilities 2,193 $130,965.96 0.36%
Edison International EIX 281020107 Utilities 1,722 $127,290.24 0.35%
American Electric Power Company, Inc. AEP 025537101 Utilities 1,322 $121,425.70 0.33%
AvalonBay Communities, Inc. AVB 053484101 Real Estate 590 $121,250.90 0.33%
Digital Realty Trust, Inc. DLR 253868103 Real Estate 743 $120,611.19 0.33%
Entergy Corporation ETR 29364G103 Utilities 1,104 $119,750.88 0.33%
CF Industries Holdings, Inc. CF 125269100 Materials 1,413 $103,431.60 0.28%
US Dollar $USD Other 66,834 $66,833.71 0.18%
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.
Follow First Trust:  
First Trust Portfolios L.P.  Member SIPC and FINRA. (Form CRS)   •  First Trust Advisors L.P. (Form CRS)
Home |  Important Legal Information |  Privacy Policy |  California Privacy Policy |  Business Continuity Plan |  FINRA BrokerCheck
Copyright © 2024 All rights reserved.