First Trust Consumer Discretionary AlphaDEX® Fund (FXD) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Airlines — 1.8% | ||||||
171,792 | Alaska Air Group, Inc. | $ | 6,509,199 | |||
555,403 | JetBlue Airways Corp. (a) | 6,648,174 | ||||
80,407 | Southwest Airlines Co. | 3,178,489 | ||||
86,770 | United Airlines Holdings, Inc. (a) | 2,938,032 | ||||
19,273,894 | ||||||
Auto Components — 3.9% | ||||||
137,275 | Aptiv PLC | 13,245,665 | ||||
324,869 | BorgWarner, Inc. | 11,363,918 | ||||
366,568 | Gentex Corp. | 10,142,936 | ||||
57,705 | Lear Corp. | 6,971,341 | ||||
41,723,860 | ||||||
Automobiles — 4.8% | ||||||
1,417,280 | Ford Motor Co. | 10,955,574 | ||||
425,329 | General Motors Co. | 14,686,610 | ||||
122,873 | Harley-Davidson, Inc. | 4,040,064 | ||||
36,670 | Tesla, Inc. (a) | 14,229,427 | ||||
99,087 | Thor Industries, Inc. | 8,380,779 | ||||
52,292,454 | ||||||
Building Products — 0.3% | ||||||
34,851 | Fortune Brands Home & Security, Inc. | 2,818,400 | ||||
Commercial Services & Supplies — 3.7% | ||||||
119,679 | Copart, Inc. (a) | 13,207,774 | ||||
241,702 | IAA, Inc. (a) | 13,677,916 | ||||
232,248 | Rollins, Inc. | 13,435,547 | ||||
40,321,237 | ||||||
Distributors — 2.9% | ||||||
453,858 | LKQ Corp. (a) | 14,518,917 | ||||
47,025 | Pool Corp. | 16,450,756 | ||||
30,969,673 | ||||||
Diversified Consumer Services — 5.8% | ||||||
41,388 | Bright Horizons Family Solutions, Inc. (a) | 6,541,374 | ||||
176,168 | Chegg, Inc. (a) | 12,937,778 | ||||
77,493 | frontdoor, Inc. (a) | 3,070,273 | ||||
38,930 | Graham Holdings Co., Class B | 14,806,636 | ||||
157,436 | Grand Canyon Education, Inc. (a) | 12,338,259 | ||||
386,293 | H&R Block, Inc. | 6,667,417 | ||||
149,187 | Service Corp. International | 6,908,850 | ||||
63,270,587 | ||||||
Electronic Equipment, Instruments & Components — 0.7% | ||||||
94,941 | Dolby Laboratories, Inc., Class A | 7,128,170 | ||||
Entertainment — 6.1% | ||||||
37,248 | Activision Blizzard, Inc. | 2,820,791 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Entertainment (Continued) | ||||||
72,380 | Electronic Arts, Inc. (a) | $ | 8,673,295 | |||
55,962 | Live Nation Entertainment, Inc. (a) | 2,730,946 | ||||
229,694 | Madison Square Garden Entertainment Corp. (a) | 14,930,110 | ||||
18,877 | Netflix, Inc. (a) | 8,980,544 | ||||
38,913 | Spotify Technology S.A. (a) | 9,334,840 | ||||
76,174 | Take-Two Interactive Software, Inc. (a) | 11,800,876 | ||||
689,992 | Zynga, Inc., Class A (a) | 6,203,028 | ||||
65,474,430 | ||||||
Food & Staples Retailing — 1.7% | ||||||
35,452 | Costco Wholesale Corp. | 12,678,344 | ||||
44,977 | Walmart, Inc. | 6,240,559 | ||||
18,918,903 | ||||||
Hotels, Restaurants & Leisure — 8.0% | ||||||
10,119 | Chipotle Mexican Grill, Inc. (a) | 12,157,776 | ||||
22,196 | Domino’s Pizza, Inc. | 8,397,191 | ||||
76,825 | Dunkin’ Brands Group, Inc. | 7,660,221 | ||||
789,881 | Extended Stay America, Inc. | 8,965,149 | ||||
235,816 | Hyatt Hotels Corp., Class A | 13,002,894 | ||||
13,737 | McDonald’s Corp. | 2,925,981 | ||||
723,303 | MGM Resorts International | 14,878,343 | ||||
35,093 | Starbucks Corp. | 3,051,687 | ||||
14,092 | Vail Resorts, Inc. | 3,269,908 | ||||
282,250 | Wendy’s (The) Co. | 6,167,162 | ||||
56,946 | Yum China Holdings, Inc. | 3,031,236 | ||||
33,025 | Yum! Brands, Inc. | 3,082,223 | ||||
86,589,771 | ||||||
Household Durables — 11.1% | ||||||
208,010 | D.R. Horton, Inc. | 13,897,148 | ||||
99,505 | Garmin Ltd. | 10,350,510 | ||||
152,847 | Leggett & Platt, Inc. | 6,378,305 | ||||
192,603 | Lennar Corp., Class A | 13,526,509 | ||||
161,204 | Mohawk Industries, Inc. (a) | 16,634,641 | ||||
2,311 | NVR, Inc. (a) | 9,135,591 | ||||
339,853 | PulteGroup, Inc. | 13,852,408 | ||||
176,385 | Tempur Sealy International, Inc. (a) | 15,698,265 | ||||
258,640 | Toll Brothers, Inc. | 10,935,299 | ||||
51,330 | Whirlpool Corp. | 9,493,997 | ||||
119,902,673 | ||||||
Internet & Direct Marketing Retail — 5.4% | ||||||
4,996 | Amazon.com, Inc. (a) | 15,168,606 | ||||
181,172 | eBay, Inc. | 8,629,222 | ||||
129,341 | Etsy, Inc. (a) | 15,726,572 | ||||
32,886 | Expedia Group, Inc. | 3,096,217 | ||||
419,952 | Qurate Retail, Inc., Series A | 2,843,075 |
First Trust Consumer Discretionary AlphaDEX® Fund (FXD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Internet & Direct Marketing Retail (Continued) | ||||||
54,059 | Wayfair, Inc., Class A (a) | $ | 13,408,254 | |||
58,871,946 | ||||||
Leisure Products — 3.8% | ||||||
36,452 | Hasbro, Inc. | 3,015,309 | ||||
806,759 | Mattel, Inc. (a) | 11,109,071 | ||||
158,523 | Peloton Interactive, Inc., Class A (a) | 17,470,820 | ||||
100,053 | Polaris, Inc. | 9,090,816 | ||||
40,686,016 | ||||||
Media — 6.8% | ||||||
722,638 | Discovery, Inc., Class A (a) | 14,626,193 | ||||
339,169 | Fox Corp., Class A | 8,994,762 | ||||
377,487 | Interpublic Group of (The) Cos., Inc. | 6,828,740 | ||||
190,228 | Liberty Media Corp.-Liberty SiriusXM, Class C (a) | 6,581,889 | ||||
70,467 | New York Times (The) Co., Class A | 2,794,721 | ||||
139,947 | Nexstar Media Group, Inc., Class A | 11,531,633 | ||||
127,125 | Omnicom Group, Inc. | 6,000,300 | ||||
562,549 | Sirius XM Holdings, Inc. | 3,223,405 | ||||
449,321 | ViacomCBS, Inc., Class B | 12,837,101 | ||||
73,418,744 | ||||||
Multiline Retail — 4.8% | ||||||
75,049 | Dollar General Corp. | 15,663,477 | ||||
68,893 | Dollar Tree, Inc. (a) | 6,222,416 | ||||
679,194 | Kohl’s Corp. | 14,460,040 | ||||
108,062 | Ollie’s Bargain Outlet Holdings, Inc. (a) | 9,411,120 | ||||
39,975 | Target Corp. | 6,084,994 | ||||
51,842,047 | ||||||
Personal Products — 0.6% | ||||||
28,833 | Estee Lauder (The) Cos., Inc., Class A | 6,333,457 | ||||
Road & Rail — 1.9% | ||||||
35,355 | AMERCO | 12,273,842 | ||||
258,748 | Uber Technologies, Inc. (a) | 8,644,771 | ||||
20,918,613 | ||||||
Software — 2.8% | ||||||
371,692 | 2U, Inc. (a) | 13,696,850 | ||||
30,325 | Trade Desk (The), Inc., Class A (a) | 17,177,597 | ||||
30,874,447 | ||||||
Specialty Retail — 18.5% | ||||||
40,995 | Advance Auto Parts, Inc. | 6,037,744 | ||||
237,777 | AutoNation, Inc. (a) | 13,489,089 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Specialty Retail (Continued) | ||||||
5,344 | AutoZone, Inc. (a) | $ | 6,033,269 | |||
141,358 | Best Buy Co., Inc. | 15,768,485 | ||||
14,630 | Burlington Stores, Inc. (a) | 2,832,075 | ||||
102,699 | CarMax, Inc. (a) | 8,877,302 | ||||
70,527 | Carvana Co. (a) | 13,072,179 | ||||
108,720 | Dick’s Sporting Goods, Inc. | 6,158,988 | ||||
74,325 | Five Below, Inc. (a) | 9,910,495 | ||||
210,318 | Floor & Decor Holdings, Inc., Class A (a) | 15,353,214 | ||||
381,030 | Foot Locker, Inc. | 14,052,386 | ||||
45,318 | Home Depot (The), Inc. | 12,086,764 | ||||
94,849 | Lowe’s Cos., Inc. | 14,995,627 | ||||
27,296 | O’Reilly Automotive, Inc. (a) | 11,917,434 | ||||
198,050 | Penske Automotive Group, Inc. | 10,132,238 | ||||
26,027 | Tiffany & Co. | 3,405,373 | ||||
54,183 | TJX (The) Cos., Inc. | 2,752,496 | ||||
109,751 | Tractor Supply Co. | 14,619,931 | ||||
13,462 | Ulta Beauty, Inc. (a) | 2,783,538 | ||||
173,949 | Williams-Sonoma, Inc. | 15,865,888 | ||||
200,144,515 | ||||||
Textiles, Apparel & Luxury Goods — 4.5% | ||||||
34,826 | Carter’s, Inc. | 2,836,578 | ||||
34,666 | Columbia Sportswear Co. | 2,585,737 | ||||
599,306 | Hanesbrands, Inc. | 9,630,847 | ||||
28,658 | Lululemon Athletica, Inc. (a) | 9,150,213 | ||||
75,188 | NIKE, Inc., Class B | 9,028,575 | ||||
92,581 | Ralph Lauren Corp. | 6,189,040 | ||||
208,232 | Skechers U.S.A., Inc., Class A (a) | 6,603,037 | ||||
42,922 | VF Corp. | 2,884,358 | ||||
48,908,385 | ||||||
Total Common Stocks — 99.9% | 1,080,682,222 | |||||
(Cost $1,004,316,854) | ||||||
Money Market Funds — 0.1% | ||||||
1,049,806 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b) | 1,049,806 | ||||
(Cost $1,049,806) | ||||||
Total Investments — 100.0% | 1,081,732,028 | |||||
(Cost $1,005,366,660) (c) | ||||||
Net Other Assets and Liabilities — (0.0)% | (538,159 | ) | ||||
Net Assets — 100.0% | $ | 1,081,193,869 |
(a) | Non-income producing security. |
(b) | Rate shown reflects yield as of October 31, 2020. |
First Trust Consumer Discretionary AlphaDEX® Fund (FXD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
(c) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $97,407,411 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $21,042,043. The net unrealized appreciation was $76,365,368. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 1,080,682,222 | $ | — | $ | — | ||||||
Money Market Funds | 1,049,806 | — | — | |||||||||
Total Investments | $ | 1,081,732,028 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Consumer Staples AlphaDEX® Fund (FXG) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Beverages — 15.0% | ||||||
11,683 | Boston Beer (The) Co., Inc., Class A (a) | $ | 12,140,740 | |||
54,806 | Brown-Forman Corp., Class B | 3,820,526 | ||||
74,783 | Keurig Dr Pepper, Inc. | 2,011,663 | ||||
246,007 | Molson Coors Beverage Co., Class B | 8,674,207 | ||||
102,943 | Monster Beverage Corp. (a) | 7,882,345 | ||||
14,892 | PepsiCo, Inc. | 1,984,955 | ||||
36,514,436 | ||||||
Chemicals — 2.9% | ||||||
214,925 | Corteva, Inc. | 7,088,227 | ||||
Food & Staples Retailing — 22.3% | ||||||
745,126 | Albertsons Cos., Inc., Class A (b) | 10,945,901 | ||||
34,855 | Casey’s General Stores, Inc. | 5,875,507 | ||||
157,477 | Grocery Outlet Holding Corp. (a) | 6,932,138 | ||||
304,335 | Kroger (The) Co. | 9,802,630 | ||||
493,072 | Sprouts Farmers Market, Inc. (a) | 9,393,022 | ||||
66,345 | Sysco Corp. | 3,669,542 | ||||
92,889 | US Foods Holding Corp. (a) | 1,941,380 | ||||
172,383 | Walgreens Boots Alliance, Inc. | 5,867,917 | ||||
54,428,037 | ||||||
Food Products — 34.4% | ||||||
177,586 | Archer-Daniels-Midland Co. | 8,211,577 | ||||
49,717 | Beyond Meat, Inc. (a) | 7,081,192 | ||||
42,671 | Campbell Soup Co. | 1,991,456 | ||||
173,397 | Conagra Brands, Inc. | 6,084,501 | ||||
100,389 | General Mills, Inc. | 5,934,998 | ||||
84,434 | Hormel Foods Corp. | 4,111,091 | ||||
136,363 | Ingredion, Inc. | 9,666,773 | ||||
71,468 | J.M. Smucker (The) Co. | 8,018,710 | ||||
31,955 | Kellogg Co. | 2,009,650 | ||||
31,901 | McCormick & Co., Inc. | 5,758,449 | ||||
71,854 | Mondelez International, Inc., Class A | 3,816,884 | ||||
689,609 | Pilgrim’s Pride Corp. (a) | 11,544,055 | ||||
173,504 | Tyson Foods, Inc., Class A | 9,929,634 | ||||
84,158,970 | ||||||
Health Care Providers & Services — 7.4% | ||||||
42,592 | AmerisourceBergen Corp. | 4,091,813 | ||||
176,712 | CVS Health Corp. | 9,911,776 | ||||
27,718 | McKesson Corp. | 4,088,128 | ||||
18,091,717 | ||||||
Household Products — 10.5% | ||||||
88,102 | Church & Dwight Co., Inc. | 7,787,336 | ||||
9,821 | Clorox (The) Co. | 2,035,402 | ||||
105,467 | Energizer Holdings, Inc. | 4,150,127 | ||||
13,978 | Kimberly-Clark Corp. | 1,853,343 | ||||
44,550 | Procter & Gamble (The) Co. | 6,107,805 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Household Products (Continued) | ||||||
134,814 | Reynolds Consumer Products, Inc. | $ | 3,807,147 | |||
25,741,160 | ||||||
Personal Products — 6.6% | ||||||
176,977 | Herbalife Nutrition Ltd. (a) | 7,988,742 | ||||
164,823 | Nu Skin Enterprises, Inc., Class A | 8,134,015 | ||||
16,122,757 | ||||||
Tobacco — 0.8% | ||||||
27,524 | Philip Morris International, Inc. | 1,954,754 | ||||
Total Common Stocks — 99.9% | 244,100,058 | |||||
(Cost $241,751,766) | ||||||
Money Market Funds — 0.7% | ||||||
1,540,567 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 1,540,567 | ||||
216,436 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 216,436 | ||||
Total Money Market Funds — 0.7% | 1,757,003 | |||||
(Cost $1,757,003) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 3.6% | |||||||
$ | 8,838,603 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $8,838,640. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $9,010,245. (d) | 8,838,603 | ||||
(Cost $8,838,603) | |||||||
Total Investments — 104.2% | 254,695,664 | ||||||
(Cost $252,347,372) (e) | |||||||
Net Other Assets and Liabilities — (4.2)% | (10,265,134 | ) | |||||
Net Assets — 100.0% | $ | 244,430,530 |
First Trust Consumer Staples AlphaDEX® Fund (FXG) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $9,851,305 and the total value of the collateral held by the Fund is $10,379,170. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $22,412,536 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $20,064,244. The net unrealized appreciation was $2,348,292. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 244,100,058 | $ | — | $ | — | ||||||
Money Market Funds | 1,757,003 | — | — | |||||||||
Repurchase Agreements | — | 8,838,603 | — | |||||||||
Total Investments | $ | 245,857,061 | $ | 8,838,603 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Energy AlphaDEX® Fund (FXN) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.6% | ||||||
Energy Equipment & Services — 7.9% | ||||||
113,293 | Baker Hughes Co. | $ | 1,673,338 | |||
71,397 | Halliburton Co. | 861,048 | ||||
154,164 | Helmerich & Payne, Inc. | 2,292,419 | ||||
166,184 | National Oilwell Varco, Inc. | 1,395,945 | ||||
55,297 | Schlumberger N.V. | 826,137 | ||||
7,048,887 | ||||||
Oil, Gas & Consumable Fuels — 77.5% | ||||||
280,378 | Antero Midstream Corp. | 1,606,566 | ||||
90,849 | Apache Corp. | 754,047 | ||||
173,457 | Cabot Oil & Gas Corp. | 3,085,800 | ||||
48,810 | Cheniere Energy, Inc. (a) | 2,336,535 | ||||
31,372 | Chevron Corp. | 2,180,354 | ||||
35,360 | Cimarex Energy Co. | 897,083 | ||||
19,502 | Concho Resources, Inc. | 809,528 | ||||
130,988 | ConocoPhillips | 3,748,877 | ||||
245,213 | Continental Resources, Inc. (b) | 2,949,912 | ||||
159,157 | Devon Energy Corp. | 1,421,272 | ||||
49,984 | Diamondback Energy, Inc. | 1,297,585 | ||||
119,697 | EOG Resources, Inc. | 4,098,425 | ||||
116,445 | EQT Corp. | 1,762,977 | ||||
266,954 | Equitrans Midstream Corp. | 1,938,086 | ||||
125,305 | Exxon Mobil Corp. | 4,087,449 | ||||
21,019 | Hess Corp. | 782,327 | ||||
152,778 | HollyFrontier Corp. | 2,827,921 | ||||
183,169 | Kinder Morgan, Inc. | 2,179,711 | ||||
736,251 | Marathon Oil Corp. | 2,915,554 | ||||
51,315 | Marathon Petroleum Corp. | 1,513,793 | ||||
337,589 | Murphy Oil Corp. | 2,606,187 | ||||
300,826 | Occidental Petroleum Corp. | 2,746,541 | ||||
115,912 | ONEOK, Inc. | 3,361,448 | ||||
91,921 | Parsley Energy, Inc., Class A | 920,129 | ||||
43,560 | Phillips 66 | 2,032,510 | ||||
50,024 | Pioneer Natural Resources Co. | 3,979,909 | ||||
107,321 | Targa Resources Corp. | 1,722,502 | ||||
99,307 | Valero Energy Corp. | 3,834,243 | ||||
114,938 | Williams (The) Cos., Inc. | 2,205,660 | ||||
614,550 | WPX Energy, Inc. (a) | 2,833,076 | ||||
69,436,007 | ||||||
Semiconductors & Semiconductor Equipment — 14.2% | ||||||
52,090 | Enphase Energy, Inc. (a) | 5,109,508 | ||||
34,115 | First Solar, Inc. (a) | 2,969,540 | ||||
18,043 | SolarEdge Technologies, Inc. (a) | 4,649,501 | ||||
12,728,549 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Total Common Stocks — 99.6% | $ | 89,213,443 | ||||
(Cost $122,817,212) | ||||||
Money Market Funds — 0.7% | ||||||
421,020 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 421,020 | ||||
210,543 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 210,543 | ||||
Total Money Market Funds — 0.7% | 631,563 | |||||
(Cost $631,563) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 2.7% | |||||||
$ | 2,415,492 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $2,415,502. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $2,462,400. (d) | 2,415,492 | ||||
(Cost $2,415,492) | |||||||
Total Investments — 103.0% | 92,260,498 | ||||||
(Cost $125,864,267) (e) | |||||||
Net Other Assets and Liabilities — (3.0)% | (2,708,555 | ) | |||||
Net Assets — 100.0% | $ | 89,551,943 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $2,692,771 and the total value of the collateral held by the Fund is $2,836,512. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $4,869,272 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $38,473,041. The net unrealized depreciation was $33,603,769. |
First Trust Energy AlphaDEX® Fund (FXN) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 89,213,443 | $ | — | $ | — | ||||||
Money Market Funds | 631,563 | — | — | |||||||||
Repurchase Agreements | — | 2,415,492 | — | |||||||||
Total Investments | $ | 89,845,006 | $ | 2,415,492 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Financials AlphaDEX® Fund (FXO) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Banks — 41.1% | ||||||
577,174 | Associated Banc-Corp. | $ | 7,901,512 | |||
120,945 | Bank of America Corp. | 2,866,397 | ||||
28,832 | Bank of Hawaii Corp. | 1,748,373 | ||||
273,316 | Bank OZK | 6,772,771 | ||||
113,127 | BOK Financial Corp. | 6,645,080 | ||||
168,957 | Citigroup, Inc. | 6,998,199 | ||||
172,872 | Citizens Financial Group, Inc. | 4,710,762 | ||||
152,341 | Comerica, Inc. | 6,933,039 | ||||
45,558 | Cullen/Frost Bankers, Inc. | 3,201,361 | ||||
177,977 | East West Bancorp, Inc. | 6,492,601 | ||||
1,074,314 | F.N.B. Corp. | 8,121,814 | ||||
204,990 | Fifth Third Bancorp | 4,759,868 | ||||
22,851 | First Citizens BancShares, Inc., Class A | 10,573,158 | ||||
302,030 | First Hawaiian, Inc. | 5,213,038 | ||||
463,452 | First Horizon National Corp. | 4,824,535 | ||||
476,584 | Huntington Bancshares, Inc. | 4,975,537 | ||||
30,260 | JPMorgan Chase & Co. | 2,966,690 | ||||
366,330 | KeyCorp | 4,754,963 | ||||
63,274 | M&T Bank Corp. | 6,553,921 | ||||
565,193 | People’s United Financial, Inc. | 6,030,609 | ||||
163,732 | Pinnacle Financial Partners, Inc. | 7,497,288 | ||||
26,511 | PNC Financial Services Group (The), Inc. | 2,966,051 | ||||
200,821 | Popular, Inc. | 8,474,646 | ||||
84,319 | Prosperity Bancshares, Inc. | 4,646,820 | ||||
126,347 | Regions Financial Corp. | 1,680,415 | ||||
52,666 | Signature Bank | 4,252,253 | ||||
692,379 | Sterling Bancorp | 9,264,031 | ||||
6,051 | SVB Financial Group (a) | 1,759,026 | ||||
275,257 | Synovus Financial Corp. | 7,156,682 | ||||
249,449 | TCF Financial Corp. | 6,787,507 | ||||
76,566 | Truist Financial Corp. | 3,224,960 | ||||
81,271 | U.S. Bancorp | 3,165,505 | ||||
220,641 | Webster Financial Corp. | 7,106,847 | ||||
123,932 | Wells Fargo & Co. | 2,658,341 | ||||
184,286 | Western Alliance Bancorp | 7,592,583 | ||||
109,127 | Wintrust Financial Corp. | 5,372,322 | ||||
199,420 | Zions Bancorp N.A. | 6,435,283 | ||||
203,084,788 | ||||||
Capital Markets — 19.7% | ||||||
42,605 | Affiliated Managers Group, Inc. | 3,211,139 | ||||
9,454 | Ameriprise Financial, Inc. | 1,520,487 | ||||
72,083 | Ares Management Corp., Class A | 3,049,111 | ||||
212,110 | Bank of New York Mellon (The) Corp. | 7,288,100 | ||||
33,203 | Cboe Global Markets, Inc. | 2,699,072 | ||||
38,191 | Eaton Vance Corp. | 2,283,440 | ||||
89,017 | Evercore, Inc., Class A | 7,080,412 | ||||
357,927 | Franklin Resources, Inc. | 6,711,131 | ||||
14,498 | Goldman Sachs Group (The), Inc. | 2,740,702 | ||||
14,563 | Intercontinental Exchange, Inc. | 1,374,747 | ||||
638,382 | Invesco Ltd. | 8,369,188 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Capital Markets (Continued) | ||||||
44,075 | Lazard Ltd., Class A | $ | 1,484,005 | |||
57,007 | LPL Financial Holdings, Inc. | 4,556,570 | ||||
3,029 | MarketAxess Holdings, Inc. | 1,632,177 | ||||
5,025 | Moody’s Corp. | 1,321,072 | ||||
120,518 | Morgan Stanley | 5,802,942 | ||||
27,213 | Morningstar, Inc. | 5,180,811 | ||||
4,087 | MSCI, Inc. | 1,429,796 | ||||
37,370 | Northern Trust Corp. | 2,924,950 | ||||
40,039 | Raymond James Financial, Inc. | 3,060,581 | ||||
8,084 | S&P Global, Inc. | 2,608,949 | ||||
86,166 | SEI Investments Co. | 4,235,059 | ||||
98,219 | State Street Corp. | 5,785,099 | ||||
34,087 | T. Rowe Price Group, Inc. | 4,317,459 | ||||
25,121 | Tradeweb Markets, Inc., Class A | 1,368,592 | ||||
253,237 | Virtu Financial, Inc., Class A | 5,414,207 | ||||
97,449,798 | ||||||
Consumer Finance — 5.8% | ||||||
232,434 | Ally Financial, Inc. | 6,201,339 | ||||
4,300 | Credit Acceptance Corp. (a) (b) | 1,281,916 | ||||
9,497 | LendingTree, Inc. (a) | 3,073,134 | ||||
233,083 | OneMain Holdings, Inc. | 8,132,266 | ||||
240,256 | Santander Consumer USA Holdings, Inc. | 4,886,807 | ||||
540,217 | SLM Corp. | 4,964,594 | ||||
28,540,056 | ||||||
Diversified Financial Services — 2.1% | ||||||
6,840 | Berkshire Hathaway, Inc., Class B (a) | 1,380,996 | ||||
323,731 | Jefferies Financial Group, Inc. | 6,315,992 | ||||
60,787 | Voya Financial, Inc. | 2,913,521 | ||||
10,610,509 | ||||||
Insurance — 27.9% | ||||||
160,303 | Aflac, Inc. | 5,442,287 | ||||
77,370 | Allstate (The) Corp. | 6,866,588 | ||||
21,750 | American Financial Group, Inc. | 1,629,945 | ||||
199,221 | Arch Capital Group Ltd. (a) | 6,018,466 | ||||
339,097 | Assured Guaranty Ltd. | 8,657,146 | ||||
85,493 | Athene Holding Ltd., Class A (a) | 2,742,615 | ||||
270,672 | Brighthouse Financial, Inc. (a) | 8,959,243 | ||||
64,357 | Brown & Brown, Inc. | 2,800,173 | ||||
18,679 | Cincinnati Financial Corp. | 1,321,352 | ||||
6,929 | Erie Indemnity Co., Class A | 1,613,556 | ||||
14,746 | Everest Re Group Ltd. | 2,906,142 | ||||
232,633 | Fidelity National Financial, Inc. | 7,279,087 | ||||
143,076 | First American Financial Corp. | 6,379,759 | ||||
54,699 | Globe Life, Inc. | 4,435,542 | ||||
46,897 | Hanover Insurance Group (The), Inc. | 4,486,167 | ||||
197,608 | Hartford Financial Services Group (The), Inc. | 7,611,860 | ||||
108,992 | Kemper Corp. | 6,720,447 | ||||
First Trust Financials AlphaDEX® Fund (FXO) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
25,404 | Marsh & McLennan Cos., Inc. | $ | 2,628,298 | |||
140,855 | Mercury General Corp. | 5,734,207 | ||||
195,965 | MetLife, Inc. | 7,417,275 | ||||
98,832 | Old Republic International Corp. | 1,608,985 | ||||
12,871 | Primerica, Inc. | 1,418,899 | ||||
108,523 | Principal Financial Group, Inc. | 4,256,272 | ||||
76,934 | Progressive (The) Corp. | 7,070,235 | ||||
45,910 | Reinsurance Group of America, Inc. | 4,637,828 | ||||
8,579 | RenaissanceRe Holdings Ltd. | 1,387,396 | ||||
40,390 | Travelers (The) Cos., Inc. | 4,875,477 | ||||
432,786 | Unum Group | 7,643,001 | ||||
3,744 | White Mountains Insurance Group Ltd. | 3,400,788 | ||||
137,949,036 | ||||||
IT Services — 0.3% | ||||||
11,042 | Broadridge Financial Solutions, Inc. | 1,519,379 | ||||
Mortgage Real Estate Investment Trusts — 0.3% | ||||||
96,535 | Starwood Property Trust, Inc. | 1,348,594 | ||||
Thrifts & Mortgage Finance — 2.6% | ||||||
822,108 | MGIC Investment Corp. | 8,270,407 | ||||
528,453 | New York Community Bancorp, Inc. | 4,391,444 | ||||
12,661,851 | ||||||
Total Common Stocks — 99.8% | 493,164,011 | |||||
(Cost $532,788,978) | ||||||
Money Market Funds — 0.2% | ||||||
186,825 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 186,825 | ||||
794,668 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 794,668 | ||||
Total Money Market Funds — 0.2% | 981,493 | |||||
(Cost $981,493) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 0.2% | |||||||
$ | 1,071,857 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $1,071,862. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $1,092,672. (d) | $ | 1,071,857 | |||
(Cost $1,071,857) | |||||||
Total Investments — 100.2% | 495,217,361 | ||||||
(Cost $534,842,328) (e) | |||||||
Net Other Assets and Liabilities — (0.2)% | (1,007,096 | ) | |||||
Net Assets — 100.0% | $ | 494,210,265 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $1,153,724 and the total value of the collateral held by the Fund is $1,258,682. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $20,751,742 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $60,376,709. The net unrealized depreciation was $39,624,967. |
First Trust Financials AlphaDEX® Fund (FXO) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 493,164,011 | $ | — | $ | — | ||||||
Money Market Funds | 981,493 | — | — | |||||||||
Repurchase Agreements | — | 1,071,857 | — | |||||||||
Total Investments | $ | 494,145,504 | $ | 1,071,857 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Health Care AlphaDEX® Fund (FXH) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Biotechnology — 14.6% | ||||||
55,761 | AbbVie, Inc. | $ | 4,745,261 | |||
130,208 | Acceleron Pharma, Inc. (a) | 13,617,153 | ||||
90,385 | Alexion Pharmaceuticals, Inc. (a) | 10,406,929 | ||||
71,036 | Alnylam Pharmaceuticals, Inc. (a) | 8,735,297 | ||||
19,217 | Amgen, Inc. | 4,168,936 | ||||
91,148 | Biogen, Inc. (a) | 22,975,676 | ||||
202,899 | Exact Sciences Corp. (a) | 25,124,983 | ||||
423,017 | Exelixis, Inc. (a) | 8,663,388 | ||||
207,099 | Moderna, Inc. (a) | 13,972,970 | ||||
8,725 | Regeneron Pharmaceuticals, Inc. (a) | 4,742,561 | ||||
169,221 | Sage Therapeutics, Inc. (a) | 12,417,437 | ||||
34,780 | Sarepta Therapeutics, Inc. (a) | 4,726,950 | ||||
105,706 | Seagen, Inc. (a) | 17,631,761 | ||||
256,009 | United Therapeutics Corp. (a) | 34,364,088 | ||||
17,948 | Vertex Pharmaceuticals, Inc. (a) | 3,739,645 | ||||
190,033,035 | ||||||
Health Care Equipment & Supplies — 26.3% | ||||||
134,634 | Abbott Laboratories | 14,151,380 | ||||
52,885 | ABIOMED, Inc. (a) | 13,320,674 | ||||
44,759 | Align Technology, Inc. (a) | 19,070,915 | ||||
541,365 | Boston Scientific Corp. (a) | 18,552,579 | ||||
14,487 | Cooper (The) Cos., Inc. | 4,622,077 | ||||
35,544 | DexCom, Inc. (a) | 11,359,152 | ||||
129,576 | Edwards Lifesciences Corp. (a) | 9,289,303 | ||||
98,629 | Globus Medical, Inc., Class A (a) | 5,140,543 | ||||
55,978 | Haemonetics Corp. (a) | 5,658,816 | ||||
123,851 | Hill-Rom Holdings, Inc. | 11,279,111 | ||||
220,434 | Hologic, Inc. (a) | 15,170,268 | ||||
26,724 | ICU Medical, Inc. (a) | 4,751,260 | ||||
52,620 | IDEXX Laboratories, Inc. (a) | 22,354,028 | ||||
87,432 | Insulet Corp. (a) | 19,431,762 | ||||
20,650 | Intuitive Surgical, Inc. (a) | 13,775,202 | ||||
43,814 | Masimo Corp. (a) | 9,806,449 | ||||
99,527 | Medtronic PLC | 10,009,430 | ||||
232,296 | Novocure Ltd. (a) | 28,363,342 | ||||
25,127 | Penumbra, Inc. (a) | 6,558,901 | ||||
66,789 | Quidel Corp. (a) | 17,918,821 | ||||
58,702 | STERIS PLC | 10,401,407 | ||||
23,440 | Stryker Corp. | 4,735,114 | ||||
182,252 | Tandem Diabetes Care, Inc. (a) | 19,865,468 | ||||
14,347 | Teleflex, Inc. | 4,565,646 | ||||
120,265 | Varian Medical Systems, Inc. (a) | 20,781,792 | ||||
75,248 | West Pharmaceutical Services, Inc. | 20,472,723 | ||||
341,406,163 | ||||||
Health Care Providers & Services — 24.3% | ||||||
497,024 | Acadia Healthcare Co., Inc. (a) | 17,718,906 | ||||
87,491 | Amedisys, Inc. (a) | 22,660,169 | ||||
77,015 | Anthem, Inc. | 21,009,692 | ||||
104,027 | Cardinal Health, Inc. | 4,763,396 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Providers & Services (Continued) | ||||||
251,196 | Centene Corp. (a) | $ | 14,845,684 | |||
10,168 | Chemed Corp. | 4,863,558 | ||||
152,629 | Cigna Corp. | 25,484,464 | ||||
171,072 | DaVita, Inc. (a) | 14,754,960 | ||||
159,169 | Encompass Health Corp. | 9,758,651 | ||||
231,320 | Guardant Health, Inc. (a) | 24,672,591 | ||||
165,909 | HCA Healthcare, Inc. | 20,562,762 | ||||
351,914 | Henry Schein, Inc. (a) | 22,374,692 | ||||
62,473 | Humana, Inc. | 24,944,219 | ||||
77,826 | Laboratory Corp. of America Holdings (a) | 15,547,300 | ||||
80,050 | Molina Healthcare, Inc. (a) | 14,926,924 | ||||
148,769 | Premier, Inc., Class A | 4,869,209 | ||||
90,338 | Quest Diagnostics, Inc. | 11,033,883 | ||||
46,997 | UnitedHealth Group, Inc. | 14,340,665 | ||||
241,608 | Universal Health Services, Inc., Class B | 26,468,156 | ||||
315,599,881 | ||||||
Health Care Technology — 5.1% | ||||||
184,626 | Livongo Health, Inc. (a) (b) | 23,563,816 | ||||
94,351 | Teladoc Health, Inc. (a) (c) | 18,536,198 | ||||
91,955 | Veeva Systems, Inc., Class A (a) | 24,832,448 | ||||
66,932,462 | ||||||
Life Sciences Tools & Services — 17.8% | ||||||
207,386 | 10X Genomics, Inc., Class A (a) | 28,391,143 | ||||
301,300 | Adaptive Biotechnologies Corp. (a) | 13,883,904 | ||||
102,464 | Agilent Technologies, Inc. | 10,460,550 | ||||
1,149,707 | Avantor, Inc. (a) | 26,753,682 | ||||
50,163 | Bio-Rad Laboratories, Inc., Class A (a) | 29,416,586 | ||||
19,715 | Bio-Techne Corp. | 4,976,263 | ||||
114,184 | Charles River Laboratories International, Inc. (a) | 25,999,697 | ||||
65,614 | IQVIA Holdings, Inc. (a) | 10,103,900 | ||||
164,812 | PerkinElmer, Inc. | 21,351,394 | ||||
48,147 | PRA Health Sciences, Inc. (a) | 4,691,444 | ||||
140,203 | Repligen Corp. (a) | 23,353,614 | ||||
194,559 | Syneos Health, Inc. (a) | 10,327,192 | ||||
46,851 | Thermo Fisher Scientific, Inc. | 22,166,145 | ||||
231,875,514 | ||||||
Pharmaceuticals — 11.9% | ||||||
171,550 | Bristol-Myers Squibb Co. | 10,027,097 | ||||
332,864 | Horizon Therapeutics PLC (a) | 24,941,500 | ||||
34,253 | Jazz Pharmaceuticals PLC (a) | 4,935,857 | ||||
69,470 | Johnson & Johnson | 9,525,032 | ||||
124,687 | Merck & Co., Inc. | 9,377,709 | ||||
1,743,555 | Mylan N.V. (a) | 25,351,290 | ||||
319,152 | Perrigo Co. PLC | 14,001,198 | ||||
563,639 | Pfizer, Inc. | 19,997,912 |
First Trust Health Care AlphaDEX® Fund (FXH) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Pharmaceuticals (Continued) | ||||||
614,617 | Royalty Pharma PLC, Class A | $ | 22,556,444 | |||
88,603 | Zoetis, Inc. | 14,048,006 | ||||
154,762,045 | ||||||
Total Common Stocks — 100.0% | 1,300,609,100 | |||||
(Cost $1,189,894,478) | ||||||
Money Market Funds — 0.2% | ||||||
976,453 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (d) (e) | 976,453 | ||||
827,280 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (d) | 827,280 | ||||
Total Money Market Funds — 0.2% | 1,803,733 | |||||
(Cost $1,803,733) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 0.4% | |||||||
$ | 5,602,147 | JPMorgan Chase & Co., 0.05% (d), dated 10/30/20, due 11/02/20, with a maturity value of $5,602,170. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $5,710,939. (e) | 5,602,147 | ||||
(Cost $5,602,147) | |||||||
Total Investments — 100.6% | 1,308,014,980 | ||||||
(Cost $1,197,300,358) (f) | |||||||
Net Other Assets and Liabilities — (0.6)% | (7,605,463 | ) | |||||
Net Assets — 100.0% | $ | 1,300,409,517 |
(a) | Non-income producing security. |
(b) | This security is fair valued by the Advisor’s Pricing Committee in accordance with procedures adopted by the Trust’s Board of Trustees, and in accordance with provisions of the Investment Company Act of 1940, as amended. At October 31, 2020, securities noted as such are valued at $23,563,816 or 1.8% of net assets. |
(c) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $5,815,216 and the total value of the collateral held by the Fund is $6,578,600. |
(d) | Rate shown reflects yield as of October 31, 2020. |
(e) | This security serves as collateral for securities on loan. |
(f) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $141,863,280 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $31,148,658. The net unrealized appreciation was $110,714,622. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 1,277,045,284 | $ | 23,563,816 | $ | — | ||||||
Money Market Funds | 1,803,733 | — | — | |||||||||
Repurchase Agreements | — | 5,602,147 | — | |||||||||
Total Investments | $ | 1,278,849,017 | $ | 29,165,963 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Industrials/Producer Durables AlphaDEX® Fund (FXR) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100% | ||||||
Aerospace & Defense — 8.4% | ||||||
6,820 | Axon Enterprise, Inc. (a) | $ | 674,498 | |||
21,970 | BWX Technologies, Inc. | 1,208,570 | ||||
33,164 | Curtiss-Wright Corp. | 2,797,715 | ||||
17,874 | General Dynamics Corp. | 2,347,392 | ||||
147,991 | Howmet Aerospace, Inc. | 2,552,845 | ||||
21,974 | Huntington Ingalls Industries, Inc. | 3,240,725 | ||||
1,613 | Lockheed Martin Corp. | 564,760 | ||||
1,960 | Northrop Grumman Corp. | 568,047 | ||||
3,988 | Teledyne Technologies, Inc. (a) | 1,232,890 | ||||
68,562 | Textron, Inc. | 2,454,520 | ||||
3,907 | TransDigm Group, Inc. | 1,865,241 | ||||
19,507,203 | ||||||
Air Freight & Logistics — 5.1% | ||||||
30,267 | C.H. Robinson Worldwide, Inc. | 2,676,511 | ||||
34,168 | Expeditors International of Washington, Inc. | 3,019,426 | ||||
2,460 | FedEx Corp. | 638,296 | ||||
18,561 | United Parcel Service, Inc., Class B | 2,916,119 | ||||
29,228 | XPO Logistics, Inc. (a) | 2,630,520 | ||||
11,880,872 | ||||||
Building Products — 2.7% | ||||||
11,717 | A.O. Smith Corp. | 605,652 | ||||
60,766 | Carrier Global Corp. | 2,028,977 | ||||
15,143 | Johnson Controls International PLC | 639,186 | ||||
5,102 | Trane Technologies PLC | 677,290 | ||||
34,559 | Trex Co., Inc. (a) | 2,403,233 | ||||
6,354,338 | ||||||
Chemicals — 2.1% | ||||||
5,067 | PPG Industries, Inc. | 657,291 | ||||
22,402 | RPM International, Inc. | 1,896,778 | ||||
3,551 | Sherwin-Williams (The) Co. | 2,443,017 | ||||
4,997,086 | ||||||
Commercial Services & Supplies — 2.5% | ||||||
151,431 | ADT, Inc. | 997,930 | ||||
9,293 | Cintas Corp. | 2,923,113 | ||||
13,831 | MSA Safety, Inc. | 1,824,586 | ||||
5,745,629 | ||||||
Construction & Engineering — 2.8% | ||||||
58,513 | Quanta Services, Inc. | 3,652,966 | ||||
19,925 | Valmont Industries, Inc. | 2,828,354 | ||||
6,481,320 | ||||||
Construction Materials — 2.0% | ||||||
14,333 | Eagle Materials, Inc. | 1,221,888 | ||||
7,885 | Martin Marietta Materials, Inc. | 2,100,170 | ||||
9,128 | Vulcan Materials Co. | 1,322,100 | ||||
4,644,158 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Consumer Finance — 1.3% | ||||||
118,189 | Synchrony Financial | $ | 2,957,089 | |||
Containers & Packaging — 9.4% | ||||||
111,964 | Amcor PLC | 1,167,785 | ||||
5,464 | AptarGroup, Inc. | 623,388 | ||||
22,328 | Ball Corp. | 1,987,192 | ||||
64,010 | Berry Global Group, Inc. (a) | 2,984,786 | ||||
32,194 | Crown Holdings, Inc. (a) | 2,762,245 | ||||
131,711 | Graphic Packaging Holding Co. | 1,750,439 | ||||
22,691 | Packaging Corp. of America | 2,597,893 | ||||
15,939 | Sealed Air Corp. | 631,025 | ||||
50,471 | Silgan Holdings, Inc. | 1,738,726 | ||||
48,451 | Sonoco Products Co. | 2,368,769 | ||||
89,033 | WestRock Co. | 3,343,189 | ||||
21,955,437 | ||||||
Electrical Equipment — 7.8% | ||||||
30,219 | Acuity Brands, Inc. | 2,693,722 | ||||
12,446 | AMETEK, Inc. | 1,222,197 | ||||
12,125 | Eaton Corp. PLC | 1,258,454 | ||||
28,302 | Emerson Electric Co. | 1,833,686 | ||||
15,972 | Generac Holdings, Inc. (a) | 3,356,516 | ||||
13,562 | Hubbell, Inc. | 1,973,407 | ||||
139,876 | nVent Electric PLC | 2,524,762 | ||||
19,770 | Regal Beloit Corp. | 1,950,310 | ||||
5,607 | Rockwell Automation, Inc. | 1,329,532 | ||||
18,142,586 | ||||||
Electronic Equipment, Instruments & Components — 1.6% | ||||||
34,510 | FLIR Systems, Inc. | 1,197,152 | ||||
6,262 | Keysight Technologies, Inc. (a) | 656,696 | ||||
25,405 | Trimble, Inc. (a) | 1,222,743 | ||||
2,451 | Zebra Technologies Corp., Class A (a) | 695,201 | ||||
3,771,792 | ||||||
Industrial Conglomerates — 3.7% | ||||||
11,587 | 3M Co. | 1,853,457 | ||||
20,221 | Carlisle Cos., Inc. | 2,504,775 | ||||
397,174 | General Electric Co. | 2,947,031 | ||||
7,517 | Honeywell International, Inc. | 1,239,929 | ||||
8,545,192 | ||||||
IT Services — 9.1% | ||||||
8,212 | Accenture PLC, Class A | 1,781,265 | ||||
58,943 | Alliance Data Systems Corp. | 3,037,922 | ||||
29,819 | Booz Allen Hamilton Holding Corp. | 2,340,791 | ||||
6,003 | Fiserv, Inc. (a) | 573,106 | ||||
47,646 | Genpact Ltd. | 1,637,593 | ||||
3,805 | Jack Henry & Associates, Inc. | 564,091 | ||||
3,658 | Mastercard, Inc., Class A | 1,055,845 | ||||
7,756 | Paychex, Inc. | 637,931 | ||||
15,698 | PayPal Holdings, Inc. (a) | 2,921,869 | ||||
19,027 | Square, Inc., Class A (a) | 2,946,902 |
First Trust Industrials/Producer Durables AlphaDEX® Fund (FXR) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
IT Services (Continued) | ||||||
58,481 | StoneCo., Ltd., Class A (a) | $ | 3,072,592 | |||
28,865 | Western Union (The) Co. | 561,136 | ||||
21,131,043 | ||||||
Life Sciences Tools & Services — 0.8% | ||||||
1,922 | Mettler-Toledo International, Inc. (a) | 1,917,983 | ||||
Machinery — 17.4% | ||||||
70,415 | Allison Transmission Holdings, Inc. | 2,545,502 | ||||
8,294 | Caterpillar, Inc. | 1,302,573 | ||||
39,451 | Colfax Corp. (a) | 1,072,673 | ||||
8,789 | Cummins, Inc. | 1,932,613 | ||||
2,792 | Deere & Co. | 630,741 | ||||
39,979 | Donaldson Co., Inc. | 1,899,003 | ||||
11,419 | Dover Corp. | 1,264,197 | ||||
45,335 | Flowserve Corp. | 1,320,155 | ||||
20,165 | Graco, Inc. | 1,248,214 | ||||
3,201 | Illinois Tool Works, Inc. | 627,012 | ||||
41,904 | ITT, Inc. | 2,535,611 | ||||
6,720 | Lincoln Electric Holdings, Inc. | 684,230 | ||||
20,686 | Middleby (The) Corp. (a) | 2,059,084 | ||||
3,226 | Nordson Corp. | 624,005 | ||||
42,081 | Oshkosh Corp. | 2,834,576 | ||||
29,015 | PACCAR, Inc. | 2,477,301 | ||||
6,114 | Parker-Hannifin Corp. | 1,273,913 | ||||
27,030 | Pentair PLC | 1,345,013 | ||||
21,022 | Snap-on, Inc. | 3,311,596 | ||||
3,814 | Stanley Black & Decker, Inc. | 633,887 | ||||
36,843 | Toro (The) Co. | 3,024,810 | ||||
95,168 | Trinity Industries, Inc. | 1,792,965 | ||||
29,989 | Westinghouse Air Brake Technologies Corp. | 1,778,348 | ||||
30,868 | Woodward, Inc. | 2,455,549 | ||||
40,673,571 | ||||||
Multi-Utilities — 1.4% | ||||||
137,467 | MDU Resources Group, Inc. | 3,266,216 | ||||
Professional Services — 4.4% | ||||||
36,566 | CoreLogic, Inc. | 2,813,022 | ||||
3,943 | Equifax, Inc. | 538,614 | ||||
17,512 | FTI Consulting, Inc. (a) | 1,724,231 | ||||
25,308 | ManpowerGroup, Inc. | 1,717,654 | ||||
46,740 | Robert Half International, Inc. | 2,369,251 | ||||
6,676 | Verisk Analytics, Inc. | 1,188,128 | ||||
10,350,900 | ||||||
Road & Rail — 7.1% | ||||||
23,892 | CSX Corp. | 1,886,034 | ||||
19,579 | J.B. Hunt Transport Services, Inc. | 2,383,547 | ||||
3,420 | Kansas City Southern | 602,399 | ||||
75,996 | Knight-Swift Transportation Holdings, Inc. | 2,887,088 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Road & Rail (Continued) | ||||||
9,858 | Landstar System, Inc. | $ | 1,229,293 | |||
5,781 | Norfolk Southern Corp. | 1,208,923 | ||||
3,419 | Old Dominion Freight Line, Inc. | 650,875 | ||||
58,579 | Ryder System, Inc. | 2,885,602 | ||||
100,055 | Schneider National, Inc., Class B | 2,207,213 | ||||
3,143 | Union Pacific Corp. | 556,908 | ||||
16,497,882 | ||||||
Semiconductors & Semiconductor Equipment — 0.8% | ||||||
16,989 | MKS Instruments, Inc. | 1,841,438 | ||||
Software — 2.5% | ||||||
2,909 | Fair Isaac Corp. (a) | 1,138,728 | ||||
19,162 | Paylocity Holding Corp. (a) | 3,554,934 | ||||
72,224 | Pluralsight, Inc., Class A (a) | 1,133,917 | ||||
5,827,579 | ||||||
Trading Companies & Distributors — 6.1% | ||||||
105,131 | Air Lease Corp. | 2,863,769 | ||||
44,999 | HD Supply Holdings, Inc. (a) | 1,793,660 | ||||
48,879 | MSC Industrial Direct Co., Inc., Class A | 3,404,911 | ||||
17,725 | United Rentals, Inc. (a) | 3,160,190 | ||||
8,670 | W.W. Grainger, Inc. | 3,034,673 | ||||
14,257,203 | ||||||
Transportation Infrastructure — 1.0% | ||||||
92,018 | Macquarie Infrastructure Corp. | 2,374,064 | ||||
Total Common Stocks — 100% | 233,120,581 | |||||
(Cost $219,456,700) | ||||||
Money Market Funds — 0.0% | ||||||
132,524 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b) | 132,524 | ||||
(Cost $132,524) | ||||||
Total Investments — 100.0% | 233,253,105 | |||||
(Cost $219,589,224) (c) | ||||||
Net Other Assets and Liabilities — (0.0)% | (85,372 | ) | ||||
Net Assets — 100.0% | $ | 233,167,733 |
First Trust Industrials/Producer Durables AlphaDEX® Fund (FXR) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
(a) | Non-income producing security. |
(b) | Rate shown reflects yield as of October 31, 2020. |
(c) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $25,243,926 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $11,580,045. The net unrealized appreciation was $13,663,881. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 233,120,581 | $ | — | $ | — | ||||||
Money Market Funds | 132,524 | — | — | |||||||||
Total Investments | $ | 233,253,105 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
s
First Trust Materials AlphaDEX® Fund (FXZ) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Aerospace & Defense — 4.6% | ||||||
161,695 | Hexcel Corp. | $ | 5,413,549 | |||
Chemicals — 54.7% | ||||||
9,563 | Air Products and Chemicals, Inc. | 2,641,683 | ||||
31,900 | Albemarle Corp. | 2,973,399 | ||||
13,384 | Ashland Global Holdings, Inc. | 933,802 | ||||
79,047 | Cabot Corp. | 3,004,576 | ||||
26,508 | Celanese Corp. | 3,008,923 | ||||
141,319 | CF Industries Holdings, Inc. | 3,901,818 | ||||
45,400 | Chemours (The) Co. | 914,356 | ||||
20,178 | Dow, Inc. | 917,897 | ||||
55,555 | Eastman Chemical Co. | 4,491,066 | ||||
4,751 | Ecolab, Inc. | 872,236 | ||||
412,926 | Element Solutions, Inc. (a) | 4,839,493 | ||||
26,892 | FMC Corp. | 2,762,884 | ||||
97,702 | Huntsman Corp. | 2,373,182 | ||||
17,723 | International Flavors & Fragrances, Inc. (b) | 1,819,443 | ||||
9,111 | Linde PLC | 2,007,518 | ||||
61,566 | LyondellBasell Industries N.V., Class A | 4,214,193 | ||||
51,963 | Mosaic (The) Co. | 961,315 | ||||
8,318 | NewMarket Corp. | 2,975,265 | ||||
350,556 | Olin Corp. | 5,801,702 | ||||
35,479 | Scotts Miracle-Gro (The) Co. | 5,323,624 | ||||
49,859 | Valvoline, Inc. | 980,727 | ||||
23,562 | W.R. Grace & Co. | 1,024,711 | ||||
85,810 | Westlake Chemical Corp. | 5,802,472 | ||||
64,546,285 | ||||||
Containers & Packaging — 4.6% | ||||||
16,973 | Avery Dennison Corp. | 2,348,893 | ||||
70,254 | International Paper Co. | 3,073,613 | ||||
5,422,506 | ||||||
Electrical Equipment — 3.6% | ||||||
634,482 | GrafTech International Ltd. | 4,282,753 | ||||
Machinery — 5.1% | ||||||
100,051 | Timken (The) Co. | 5,973,045 | ||||
Metals & Mining — 23.2% | ||||||
60,700 | Freeport-McMoRan, Inc. | 1,052,538 | ||||
85,499 | Newmont Corp. | 5,372,757 | ||||
96,743 | Nucor Corp. | 4,620,446 | ||||
53,166 | Reliance Steel & Aluminum Co. | 5,794,562 | ||||
18,057 | Royal Gold, Inc. | 2,145,352 | ||||
47,934 | Southern Copper Corp. | 2,508,866 | ||||
189,480 | Steel Dynamics, Inc. | 5,964,830 | ||||
27,459,351 | ||||||
Trading Companies & Distributors — 4.1% | ||||||
63,162 | Fastenal Co. | 2,730,493 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Trading Companies & Distributors (Continued) | ||||||
128,549 | Univar Solutions, Inc. (a) | $ | 2,132,628 | |||
4,863,121 | ||||||
Total Common Stocks — 99.9% | 117,960,610 | |||||
(Cost $111,498,940) | ||||||
Money Market Funds — 0.3% | ||||||
248,580 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 248,580 | ||||
153,151 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 153,151 | ||||
Total Money Market Funds — 0.3% | 401,731 | |||||
(Cost $401,731) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 1.2% | |||||||
$ | 1,426,165 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $1,426,171. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $1,453,861. (d) | 1,426,165 | ||||
(Cost $1,426,165) | |||||||
Total Investments — 101.4% | 119,788,506 | ||||||
(Cost $113,326,836) (e) | |||||||
Net Other Assets and Liabilities — (1.4)% | (1,701,795 | ) | |||||
Net Assets — 100.0% | $ | 118,086,711 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $1,637,427 and the total value of the collateral held by the Fund is $1,674,745. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
First Trust Materials AlphaDEX® Fund (FXZ) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $11,869,308 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $5,407,638. The net unrealized appreciation was $6,461,670. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 117,960,610 | $ | — | $ | — | ||||||
Money Market Funds | 401,731 | — | — | |||||||||
Repurchase Agreements | — | 1,426,165 | — | |||||||||
Total Investments | $ | 118,362,341 | $ | 1,426,165 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Technology AlphaDEX® Fund (FXL) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Communications Equipment — 1.4% | ||||||
69,635 | Arista Networks, Inc. (a) | $ | 14,546,751 | |||
117,373 | F5 Networks, Inc. (a) | 15,603,567 | ||||
30,150,318 | ||||||
Electronic Equipment, Instruments & Components — 6.2% | ||||||
133,092 | Amphenol Corp., Class A | 15,018,101 | ||||
274,788 | Arrow Electronics, Inc. (a) | 21,403,237 | ||||
278,828 | Avnet, Inc. | 6,878,687 | ||||
120,554 | CDW Corp. | 14,779,920 | ||||
841,204 | Jabil, Inc. | 27,877,501 | ||||
605,457 | National Instruments Corp. | 18,938,695 | ||||
205,767 | SYNNEX Corp. | 27,087,168 | ||||
131,983,309 | ||||||
Industrial Conglomerates — 0.3% | ||||||
18,236 | Roper Technologies, Inc. | 6,771,756 | ||||
Interactive Media & Services — 4.1% | ||||||
4,917 | Alphabet, Inc., Class A (a) | 7,946,413 | ||||
110,040 | Facebook, Inc., Class A (a) | 28,952,625 | ||||
867,853 | Pinterest, Inc., Class A (a) | 51,159,934 | ||||
88,058,972 | ||||||
Internet & Direct Marketing Retail — 1.4% | ||||||
398,447 | GrubHub, Inc. (a) | 29,469,140 | ||||
IT Services — 16.3% | ||||||
65,180 | Akamai Technologies, Inc. (a) | 6,199,922 | ||||
501,997 | Amdocs Ltd. | 28,302,591 | ||||
248,303 | Black Knight, Inc. (a) | 21,838,249 | ||||
101,403 | CACI International, Inc., Class A (a) | 21,145,568 | ||||
415,149 | Cognizant Technology Solutions Corp., Class A | 29,649,941 | ||||
111,434 | EPAM Systems, Inc. (a) | 34,427,534 | ||||
307,639 | Fastly, Inc., Class A (a) (b) | 19,538,153 | ||||
201,008 | Globant S.A. (a) | 36,304,055 | ||||
189,679 | GoDaddy, Inc., Class A (a) | 13,417,892 | ||||
177,650 | International Business Machines Corp. | 19,836,399 | ||||
161,636 | Leidos Holdings, Inc. | 13,415,788 | ||||
93,363 | MongoDB, Inc. (a) | 21,330,645 | ||||
134,765 | Okta, Inc. (a) | 28,277,740 | ||||
183,752 | Science Applications International Corp. | 14,033,140 | ||||
145,795 | Twilio, Inc., Class A (a) | 40,672,431 | ||||
348,390,048 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Semiconductors & Semiconductor Equipment — 20.3% | ||||||
439,378 | Advanced Micro Devices, Inc. (a) | $ | 33,080,770 | |||
61,718 | Analog Devices, Inc. | 7,315,434 | ||||
121,193 | Applied Materials, Inc. | 7,178,261 | ||||
59,329 | Broadcom, Inc. | 20,743,198 | ||||
320,455 | Cirrus Logic, Inc. (a) | 22,069,736 | ||||
387,674 | Entegris, Inc. | 28,986,385 | ||||
128,374 | Inphi Corp. (a) | 17,941,550 | ||||
695,726 | Intel Corp. | 30,806,747 | ||||
74,376 | KLA Corp. | 14,665,460 | ||||
43,437 | Lam Research Corp. | 14,858,929 | ||||
725,937 | Marvell Technology Group Ltd. | 27,229,897 | ||||
106,567 | Maxim Integrated Products, Inc. | 7,422,391 | ||||
70,114 | Microchip Technology, Inc. | 7,367,579 | ||||
767,134 | Micron Technology, Inc. (a) | 38,617,526 | ||||
103,071 | Monolithic Power Systems, Inc. | 32,941,492 | ||||
66,562 | NVIDIA Corp. | 33,371,524 | ||||
111,696 | Qorvo, Inc. (a) | 14,225,603 | ||||
183,674 | QUALCOMM, Inc. | 22,658,025 | ||||
99,037 | Skyworks Solutions, Inc. | 13,992,938 | ||||
272,020 | Teradyne, Inc. | 23,896,957 | ||||
50,459 | Texas Instruments, Inc. | 7,295,867 | ||||
39,863 | Universal Display Corp. | 7,905,231 | ||||
434,571,500 | ||||||
Software — 41.2% | ||||||
58,763 | Adobe, Inc. (a) | 26,272,937 | ||||
575,657 | Anaplan, Inc. (a) | 31,862,615 | ||||
66,054 | ANSYS, Inc. (a) | 20,104,856 | ||||
56,915 | Aspen Technology, Inc. (a) | 6,249,836 | ||||
39,634 | Atlassian Corp. PLC, Class A (a) | 7,594,667 | ||||
62,378 | Autodesk, Inc. (a) | 14,692,514 | ||||
169,742 | Avalara, Inc. (a) | 25,300,045 | ||||
202,707 | Cadence Design Systems, Inc. (a) | 22,170,065 | ||||
165,288 | CDK Global, Inc. | 7,123,913 | ||||
261,523 | Ceridian HCM Holding, Inc. (a) | 22,548,513 | ||||
701,893 | Cloudflare, Inc., Class A (a) | 36,477,379 | ||||
78,817 | Coupa Software, Inc. (a) | 21,099,311 | ||||
262,341 | Crowdstrike Holdings, Inc., Class A (a) | 32,488,309 | ||||
352,630 | Datadog, Inc., Class A (a) | 32,001,172 | ||||
167,370 | DocuSign, Inc. (a) | 33,850,583 | ||||
526,933 | Dynatrace, Inc. (a) | 18,606,004 | ||||
267,122 | Elastic N.V. (a) | 27,088,842 | ||||
222,237 | Five9, Inc. (a) | 33,717,798 | ||||
123,276 | HubSpot, Inc. (a) | 35,758,669 | ||||
66,261 | Intuit, Inc. | 20,851,011 | ||||
75,452 | Manhattan Associates, Inc. (a) | 6,451,146 | ||||
525,523 | Medallia, Inc. (a) | 14,951,129 | ||||
68,511 | Microsoft Corp. | 13,871,422 | ||||
120,685 | Oracle Corp. | 6,771,635 | ||||
265,767 | PagerDuty, Inc. (a) (b) | 7,202,286 | ||||
88,314 | Palo Alto Networks, Inc. (a) | 19,534,174 | ||||
46,290 | Paycom Software, Inc. (a) | 16,853,726 |
First Trust Technology AlphaDEX® Fund (FXL) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
238,101 | Pegasystems, Inc. | $ | 27,591,144 | |||
174,200 | PTC, Inc. (a) | 14,611,896 | ||||
26,237 | RingCentral, Inc., Class A (a) | 6,778,067 | ||||
143,341 | salesforce.com, Inc. (a) | 33,293,814 | ||||
59,422 | ServiceNow, Inc. (a) | 29,566,605 | ||||
145,790 | Smartsheet, Inc., Class A (a) | 7,267,632 | ||||
76,596 | Splunk, Inc. (a) | 15,169,072 | ||||
357,150 | SS&C Technologies Holdings, Inc. | 21,150,423 | ||||
101,013 | Synopsys, Inc. (a) | 21,602,640 | ||||
634,795 | Teradata Corp. (a) | 11,661,184 | ||||
133,964 | Workday, Inc., Class A (a) | 28,148,516 | ||||
280,021 | Zendesk, Inc. (a) | 31,065,530 | ||||
76,631 | Zoom Video Communications, Inc., Class A (a) | 35,319,994 | ||||
256,057 | Zscaler, Inc. (a) | 34,759,738 | ||||
879,480,812 | ||||||
Technology Hardware, Storage & Peripherals — 8.8% | ||||||
311,066 | Apple, Inc. | 33,862,645 | ||||
532,200 | Dell Technologies, Inc., Class C (a) | 32,070,372 | ||||
3,075,742 | Hewlett Packard Enterprise Co. | 26,574,411 | ||||
379,406 | HP, Inc. | 6,814,132 | ||||
1,627,128 | NCR Corp. (a) | 33,063,241 | ||||
164,346 | NetApp, Inc. | 7,213,146 | ||||
394,250 | Western Digital Corp. | 14,875,052 | ||||
1,919,266 | Xerox Holdings Corp. | 33,356,843 | ||||
187,829,842 | ||||||
Total Common Stocks — 100.0% | 2,136,705,697 | |||||
(Cost $1,786,221,907) | ||||||
Money Market Funds — 0.3% | ||||||
3,704,550 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 3,704,550 | ||||
1,805,306 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 1,805,306 | ||||
Total Money Market Funds — 0.3% | 5,509,856 | |||||
(Cost $5,509,856) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 1.0% | |||||||
$ | 21,253,900 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $21,253,988. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $21,666,643. (d) | $ | 21,253,900 | |||
(Cost $21,253,900) | |||||||
Total Investments — 101.3% | 2,163,469,453 | ||||||
(Cost $1,812,985,663) (e) | |||||||
Net Other Assets and Liabilities — (1.3)% | (26,705,250 | ) | |||||
Net Assets — 100.0% | $ | 2,136,764,203 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $22,771,762 and the total value of the collateral held by the Fund is $24,958,450. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $404,532,996 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $54,049,206. The net unrealized appreciation was $350,483,790. |
First Trust Technology AlphaDEX® Fund (FXL) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 2,136,705,697 | $ | — | $ | — | ||||||
Money Market Funds | 5,509,856 | — | — | |||||||||
Repurchase Agreements | — | 21,253,900 | — | |||||||||
Total Investments | $ | 2,142,215,553 | $ | 21,253,900 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Utilities AlphaDEX® Fund (FXU) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Commercial Services & Supplies — 5.3% | ||||||
87,282 | Clean Harbors, Inc. (a) | $ | 4,623,328 | |||
34,926 | Republic Services, Inc. | 3,079,426 | ||||
28,807 | Waste Management, Inc. | 3,108,563 | ||||
10,811,317 | ||||||
Electric Utilities — 56.1% | ||||||
94,683 | Alliant Energy Corp. | 5,234,076 | ||||
59,839 | American Electric Power Co., Inc. | 5,381,321 | ||||
129,225 | Avangrid, Inc. | 6,375,961 | ||||
55,223 | Duke Energy Corp. | 5,086,591 | ||||
160,324 | Edison International | 8,984,557 | ||||
66,180 | Entergy Corp. | 6,698,740 | ||||
160,384 | Evergy, Inc. | 8,853,197 | ||||
39,020 | Eversource Energy | 3,405,275 | ||||
227,931 | Exelon Corp. | 9,092,168 | ||||
113,562 | FirstEnergy Corp. | 3,375,063 | ||||
147,127 | Hawaiian Electric Industries, Inc. | 4,861,076 | ||||
81,612 | IDACORP, Inc. | 7,159,821 | ||||
23,484 | NextEra Energy, Inc. | 1,719,264 | ||||
265,150 | NRG Energy, Inc. | 8,384,043 | ||||
54,358 | OGE Energy Corp. | 1,672,596 | ||||
173,606 | PG&E Corp. (a) | 1,659,673 | ||||
109,332 | Pinnacle West Capital Corp. | 8,918,211 | ||||
299,551 | PPL Corp. | 8,237,652 | ||||
90,200 | Southern (The) Co. | 5,181,990 | ||||
47,245 | Xcel Energy, Inc. | 3,308,567 | ||||
113,589,842 | ||||||
Gas Utilities — 9.4% | ||||||
68,214 | Atmos Energy Corp. | 6,253,177 | ||||
120,485 | National Fuel Gas Co. | 4,814,581 | ||||
247,143 | UGI Corp. | 7,992,605 | ||||
19,060,363 | ||||||
Independent Power and Renewable Electricity Producers — 4.6% | ||||||
90,015 | AES (The) Corp. | 1,755,293 | ||||
432,174 | Vistra Corp. | 7,506,862 | ||||
9,262,155 | ||||||
Multi-Utilities — 22.7% | ||||||
61,841 | Ameren Corp. | 5,016,542 | ||||
84,247 | CenterPoint Energy, Inc. | 1,780,139 | ||||
53,089 | CMS Energy Corp. | 3,362,126 | ||||
83,814 | Consolidated Edison, Inc. | 6,578,561 | ||||
20,650 | Dominion Energy, Inc. | 1,659,021 | ||||
56,681 | DTE Energy Co. | 6,995,569 | ||||
148,198 | NiSource, Inc. | 3,404,108 | ||||
118,753 | Public Service Enterprise Group, Inc. | 6,905,487 | ||||
55,093 | Sempra Energy | 6,906,459 | ||||
33,648 | WEC Energy Group, Inc. | 3,383,306 | ||||
45,991,318 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Water Utilities — 1.7% | ||||||
11,252 | American Water Works Co., Inc. | $ | 1,693,538 | |||
40,499 | Essential Utilities, Inc. | 1,668,559 | ||||
3,362,097 | ||||||
Total Common Stocks — 99.8% | 202,077,092 | |||||
(Cost $220,144,914) | ||||||
Money Market Funds — 0.2% | ||||||
473,255 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b) | 473,255 | ||||
(Cost $473,255) | ||||||
Total Investments — 100.0% | 202,550,347 | |||||
(Cost $220,618,169) (c) | ||||||
Net Other Assets and Liabilities — 0.0% | 54,347 | |||||
Net Assets — 100.0% | $ | 202,604,694 |
(a) | Non-income producing security. |
(b) | Rate shown reflects yield as of October 31, 2020. |
(c) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $4,224,515 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $22,292,337. The net unrealized depreciation was $18,067,822. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 202,077,092 | $ | — | $ | — | ||||||
Money Market Funds | 473,255 | — | — | |||||||||
Total Investments | $ | 202,550,347 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
Additional Information
First Trust Exchange-Traded AlphaDEX® Fund
Sector Funds
October 31, 2020 (Unaudited)
Valuation Inputs
The Funds are subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
• | Level 1 – Level 1 inputs are quoted prices in active markets for identical investments. |
• | Level 2 – Level 2 inputs are observable inputs, either directly or indirectly. (Quoted prices for similar investments, valuations based on interest rates and yield curves, or valuations derived from observable market data.) |
• | Level 3 – Level 3 inputs are unobservable inputs that may reflect the reporting entity’s own assumptions about the assumptions that market participants would use in pricing the investment. |
The inputs or methodologies used for valuing investments are not necessarily an indication of the risk associated with investing in those investments.
Licensing Information
StrataQuant® and StrataQuant® Consumer Discretionary Index, the StrataQuant® Consumer Staples Index, the StrataQuant® Energy Index, the StrataQuant® Financials Index, the StrataQuant® Health Care Index, the StrataQuant® Industrials Index, the StrataQuant® Materials Index, the StrataQuant® Technology Index, the StrataQuant® Utilities Index, (“IDI Indexes”) are service/trademarks of ICE Data Indices, LLC or its affiliates (“IDI”) and have been licensed for use by First Trust in connection with the Funds. The Funds are not sponsored, endorsed, sold or promoted by IDI and IDI makes no representations or warranties regarding the advisability of investing in the Funds or as to the result to be obtained by any person from use of the IDI Indexes in connection with the trading of the Funds. IDI and its third party suppliers accept no liability in connection with use of the index or the Fund. See the prospectus for a full copy of the disclaimer.
First Trust Large Cap Core AlphaDEX® Fund (FEX) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Aerospace & Defense — 0.8% | ||||||
22,637 | General Dynamics Corp. | $ | 2,972,917 | |||
2,045 | Lockheed Martin Corp. | 716,016 | ||||
4,965 | Northrop Grumman Corp. | 1,438,956 | ||||
3,297 | TransDigm Group, Inc. | 1,574,021 | ||||
6,701,910 | ||||||
Air Freight & Logistics — 0.4% | ||||||
7,668 | C.H. Robinson Worldwide, Inc. | 678,081 | ||||
17,309 | Expeditors International of Washington, Inc. | 1,529,596 | ||||
6,231 | FedEx Corp. | 1,616,758 | ||||
3,824,435 | ||||||
Airlines — 0.1% | ||||||
20,890 | Southwest Airlines Co. | 825,782 | ||||
Auto Components — 0.5% | ||||||
42,725 | Aptiv PLC | 4,122,535 | ||||
Automobiles — 1.1% | ||||||
470,533 | Ford Motor Co. | 3,637,220 | ||||
105,907 | General Motors Co. | 3,656,969 | ||||
7,305 | Tesla, Inc. (a) | 2,834,632 | ||||
10,128,821 | ||||||
Banks — 5.3% | ||||||
130,083 | Bank of America Corp. | 3,082,967 | ||||
90,862 | Citigroup, Inc. | 3,763,504 | ||||
154,954 | Citizens Financial Group, Inc. | 4,222,497 | ||||
146,986 | Fifth Third Bancorp | 3,413,015 | ||||
14,369 | First Republic Bank | 1,812,506 | ||||
24,415 | JPMorgan Chase & Co. | 2,393,647 | ||||
262,678 | KeyCorp | 3,409,560 | ||||
42,536 | M&T Bank Corp. | 4,405,879 | ||||
35,641 | PNC Financial Services Group (The), Inc. | 3,987,515 | ||||
271,788 | Regions Financial Corp. | 3,614,780 | ||||
9,767 | SVB Financial Group (a) | 2,839,267 | ||||
82,359 | Truist Financial Corp. | 3,468,961 | ||||
87,414 | U.S. Bancorp | 3,404,775 | ||||
133,294 | Wells Fargo & Co. | 2,859,156 | ||||
46,678,029 | ||||||
Beverages — 0.8% | ||||||
20,804 | Brown-Forman Corp., Class B | 1,450,247 | ||||
56,769 | Keurig Dr Pepper, Inc. | 1,527,086 | ||||
39,072 | Monster Beverage Corp. (a) | 2,991,743 | ||||
5,653 | PepsiCo, Inc. | 753,488 | ||||
6,722,564 | ||||||
Biotechnology — 1.9% | ||||||
13,692 | Alexion Pharmaceuticals, Inc. (a) | 1,576,497 | ||||
10,764 | Alnylam Pharmaceuticals, Inc. (a) | 1,323,649 | ||||
6,165 | Amgen, Inc. | 1,337,435 | ||||
2,761 | Biogen, Inc. (a) | 695,965 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Biotechnology (Continued) | ||||||
30,736 | Exact Sciences Corp. (a) | $ | 3,806,039 | |||
8,731 | Incyte Corp. (a) | 756,454 | ||||
22,147 | Moderna, Inc. (a) | 1,494,258 | ||||
1,400 | Regeneron Pharmaceuticals, Inc. (a) | 760,984 | ||||
11,157 | Sarepta Therapeutics, Inc. (a) | 1,516,348 | ||||
16,014 | Seagen, Inc. (a) | 2,671,135 | ||||
2,881 | Vertex Pharmaceuticals, Inc. (a) | 600,285 | ||||
16,539,049 | ||||||
Building Products — 0.7% | ||||||
76,957 | Carrier Global Corp. | 2,569,594 | ||||
18,109 | Fortune Brands Home & Security, Inc. | 1,464,475 | ||||
38,357 | Johnson Controls International PLC | 1,619,049 | ||||
6,462 | Trane Technologies PLC | 857,831 | ||||
6,510,949 | ||||||
Capital Markets — 3.8% | ||||||
15,253 | Ameriprise Financial, Inc. | 2,453,140 | ||||
17,504 | Apollo Global Management, Inc. | 645,197 | ||||
114,072 | Bank of New York Mellon (The) Corp. | 3,919,514 | ||||
1,390 | BlackRock, Inc. | 832,902 | ||||
43,250 | Charles Schwab (The) Corp. | 1,778,008 | ||||
4,681 | CME Group, Inc. | 705,520 | ||||
2,341 | FactSet Research Systems, Inc. | 717,517 | ||||
192,492 | Franklin Resources, Inc. | 3,609,225 | ||||
11,694 | Goldman Sachs Group (The), Inc. | 2,210,634 | ||||
7,830 | Intercontinental Exchange, Inc. | 739,152 | ||||
3,251 | MarketAxess Holdings, Inc. | 1,751,801 | ||||
5,407 | Moody’s Corp. | 1,421,500 | ||||
64,816 | Morgan Stanley | 3,120,890 | ||||
4,390 | MSCI, Inc. | 1,535,798 | ||||
12,767 | Nasdaq, Inc. | 1,544,679 | ||||
6,519 | S&P Global, Inc. | 2,103,877 | ||||
52,817 | State Street Corp. | 3,110,921 | ||||
12,218 | T. Rowe Price Group, Inc. | 1,547,532 | ||||
33,747,807 | ||||||
Chemicals — 2.3% | ||||||
7,892 | Air Products and Chemicals, Inc. | 2,180,086 | ||||
21,874 | Celanese Corp. | 2,482,918 | ||||
81,581 | Corteva, Inc. | 2,690,541 | ||||
40,116 | Eastman Chemical Co. | 3,242,978 | ||||
7,399 | FMC Corp. | 760,173 | ||||
12,794 | International Flavors & Fragrances, Inc. (b) | 1,313,432 | ||||
55,573 | LyondellBasell Industries N.V., Class A | 3,803,972 | ||||
6,417 | PPG Industries, Inc. | 832,413 | ||||
4,498 | Sherwin-Williams (The) Co. | 3,094,534 | ||||
20,401,047 | ||||||
First Trust Large Cap Core AlphaDEX® Fund (FEX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Commercial Services & Supplies — 1.5% | ||||||
9,414 | Cintas Corp. | $ | 2,961,174 | |||
22,349 | Copart, Inc. (a) | 2,466,435 | ||||
25,177 | Republic Services, Inc. | 2,219,856 | ||||
72,287 | Rollins, Inc. | 4,181,803 | ||||
13,848 | Waste Management, Inc. | 1,494,338 | ||||
13,323,606 | ||||||
Communications Equipment — 0.3% | ||||||
79,557 | Cisco Systems, Inc. | 2,856,096 | ||||
Construction & Engineering — 0.2% | ||||||
16,891 | Jacobs Engineering Group, Inc. | 1,604,645 | ||||
Construction Materials — 0.6% | ||||||
9,984 | Martin Marietta Materials, Inc. | 2,659,238 | ||||
17,340 | Vulcan Materials Co. | 2,511,526 | ||||
5,170,764 | ||||||
Consumer Finance — 0.9% | ||||||
7,815 | American Express Co. | 713,041 | ||||
21,803 | Capital One Financial Corp. | 1,593,363 | ||||
27,117 | Discover Financial Services | 1,762,876 | ||||
149,680 | Synchrony Financial | 3,744,994 | ||||
7,814,274 | ||||||
Containers & Packaging — 0.3% | ||||||
57,975 | International Paper Co. | 2,536,406 | ||||
Distributors — 0.5% | ||||||
11,708 | Pool Corp. | 4,095,810 | ||||
Diversified Consumer Services — 0.4% | ||||||
43,864 | Chegg, Inc. (a) | 3,221,372 | ||||
Diversified Financial Services — 0.2% | ||||||
11,039 | Berkshire Hathaway, Inc., Class B (a) | 2,228,774 | ||||
Diversified Telecommunication Services — 1.1% | ||||||
137,395 | AT&T, Inc. | 3,712,413 | ||||
388,220 | CenturyLink, Inc. | 3,346,457 | ||||
52,677 | Verizon Communications, Inc. | 3,002,062 | ||||
10,060,932 | ||||||
Electric Utilities — 4.6% | ||||||
60,671 | Alliant Energy Corp. | 3,353,893 | ||||
38,343 | American Electric Power Co., Inc. | 3,448,186 | ||||
35,388 | Duke Energy Corp. | 3,259,589 | ||||
61,640 | Edison International | 3,454,306 | ||||
31,803 | Entergy Corp. | 3,219,100 | ||||
77,081 | Evergy, Inc. | 4,254,871 | ||||
28,133 | Eversource Energy | 2,455,167 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Electric Utilities (Continued) | ||||||
109,541 | Exelon Corp. | $ | 4,369,590 | |||
81,866 | FirstEnergy Corp. | 2,433,057 | ||||
11,292 | NextEra Energy, Inc. | 826,687 | ||||
143,962 | PPL Corp. | 3,958,955 | ||||
57,798 | Southern (The) Co. | 3,320,495 | ||||
34,056 | Xcel Energy, Inc. | 2,384,942 | ||||
40,738,838 | ||||||
Electrical Equipment — 0.9% | ||||||
23,647 | AMETEK, Inc. | 2,322,136 | ||||
15,356 | Eaton Corp. PLC | 1,593,799 | ||||
35,844 | Emerson Electric Co. | 2,322,333 | ||||
7,102 | Rockwell Automation, Inc. | 1,684,026 | ||||
7,922,294 | ||||||
Electronic Equipment, Instruments & Components — 0.8% | ||||||
14,470 | Amphenol Corp., Class A | 1,632,795 | ||||
6,557 | CDW Corp. | 803,888 | ||||
12,034 | Cognex Corp. | 793,041 | ||||
24,174 | Corning, Inc. | 772,843 | ||||
48,263 | Trimble, Inc. (a) | 2,322,898 | ||||
3,104 | Zebra Technologies Corp., Class A (a) | 880,418 | ||||
7,205,883 | ||||||
Entertainment — 1.6% | ||||||
9,676 | Activision Blizzard, Inc. | 732,763 | ||||
12,014 | Electronic Arts, Inc. (a) | 1,439,638 | ||||
6,269 | Netflix, Inc. (a) | 2,982,414 | ||||
20,748 | Roku, Inc. (a) | 4,199,395 | ||||
18,966 | Take-Two Interactive Software, Inc. (a) | 2,938,213 | ||||
171,804 | Zynga, Inc., Class A (a) | 1,544,518 | ||||
13,836,941 | ||||||
Equity Real Estate Investment Trusts — 1.4% | ||||||
15,739 | AvalonBay Communities, Inc. | 2,189,767 | ||||
39,027 | Boston Properties, Inc. | 2,825,945 | ||||
1,029 | Equinix, Inc. | 752,446 | ||||
7,785 | Prologis, Inc. | 772,272 | ||||
2,459 | SBA Communications Corp. | 714,020 | ||||
12,114 | Simon Property Group, Inc. | 760,880 | ||||
56,014 | Ventas, Inc. | 2,210,873 | ||||
33,521 | VICI Properties, Inc. | 769,307 | ||||
28,439 | Welltower, Inc. | 1,529,165 | ||||
12,524,675 | ||||||
Food & Staples Retailing — 0.9% | ||||||
115,515 | Kroger (The) Co. | 3,720,738 | ||||
65,430 | Walgreens Boots Alliance, Inc. | 2,227,237 | ||||
16,799 | Walmart, Inc. | 2,330,862 | ||||
8,278,837 | ||||||
First Trust Large Cap Core AlphaDEX® Fund (FEX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food Products — 2.8% | ||||||
84,258 | Archer-Daniels-Midland Co. | $ | 3,896,090 | |||
32,392 | Campbell Soup Co. | 1,511,735 | ||||
65,817 | Conagra Brands, Inc. | 2,309,518 | ||||
38,105 | General Mills, Inc. | 2,252,768 | ||||
5,463 | Hershey (The) Co. | 750,944 | ||||
32,051 | Hormel Foods Corp. | 1,560,563 | ||||
33,909 | J.M. Smucker (The) Co. | 3,804,590 | ||||
24,257 | Kellogg Co. | 1,525,523 | ||||
8,072 | McCormick & Co., Inc. | 1,457,077 | ||||
27,276 | Mondelez International, Inc., Class A | 1,448,901 | ||||
65,858 | Tyson Foods, Inc., Class A | 3,769,053 | ||||
24,286,762 | ||||||
Gas Utilities — 0.3% | ||||||
32,784 | Atmos Energy Corp. | 3,005,309 | ||||
Health Care Equipment & Supplies — 4.6% | ||||||
21,597 | Abbott Laboratories | 2,270,061 | ||||
8,485 | ABIOMED, Inc. (a) | 2,137,202 | ||||
9,573 | Align Technology, Inc. (a) | 4,078,864 | ||||
9,741 | Baxter International, Inc. | 755,609 | ||||
3,367 | Becton, Dickinson and Co. | 778,215 | ||||
2,326 | Cooper (The) Cos., Inc. | 742,110 | ||||
10,915 | Danaher Corp. | 2,505,429 | ||||
5,703 | DexCom, Inc. (a) | 1,822,565 | ||||
9,815 | Edwards Lifesciences Corp. (a) | 703,637 | ||||
47,147 | Hologic, Inc. (a) | 3,244,657 | ||||
7,974 | IDEXX Laboratories, Inc. (a) | 3,387,515 | ||||
13,247 | Insulet Corp. (a) | 2,944,146 | ||||
3,311 | Intuitive Surgical, Inc. (a) | 2,208,702 | ||||
6,636 | Masimo Corp. (a) | 1,485,269 | ||||
15,077 | Medtronic PLC | 1,516,294 | ||||
14,284 | Quidel Corp. (a) | 3,832,254 | ||||
8,892 | STERIS PLC | 1,575,573 | ||||
3,762 | Stryker Corp. | 759,962 | ||||
14,248 | West Pharmaceutical Services, Inc. | 3,876,453 | ||||
40,624,517 | ||||||
Health Care Providers & Services — 3.9% | ||||||
16,166 | AmerisourceBergen Corp. | 1,553,068 | ||||
14,584 | Anthem, Inc. | 3,978,515 | ||||
50,059 | Cardinal Health, Inc. | 2,292,202 | ||||
53,724 | Centene Corp. (a) | 3,175,088 | ||||
9,249 | Cigna Corp. | 1,544,306 | ||||
67,073 | CVS Health Corp. | 3,762,125 | ||||
36,586 | DaVita, Inc. (a) | 3,155,542 | ||||
6,285 | HCA Healthcare, Inc. | 778,963 | ||||
9,463 | Humana, Inc. | 3,778,387 | ||||
4,160 | Laboratory Corp. of America Holdings (a) | 831,043 | ||||
5,260 | McKesson Corp. | 775,797 | ||||
17,121 | Molina Healthcare, Inc. (a) | 3,192,553 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Providers & Services (Continued) | ||||||
27,370 | Quest Diagnostics, Inc. | $ | 3,342,972 | |||
7,538 | UnitedHealth Group, Inc. | 2,300,145 | ||||
34,460,706 | ||||||
Health Care Technology — 0.9% | ||||||
21,677 | Cerner Corp. | 1,519,341 | ||||
14,294 | Teladoc Health, Inc. (a) | 2,808,199 | ||||
13,930 | Veeva Systems, Inc., Class A (a) | 3,761,797 | ||||
8,089,337 | ||||||
Hotels, Restaurants & Leisure — 0.8% | ||||||
3,151 | Chipotle Mexican Grill, Inc. (a) | 3,785,863 | ||||
7,371 | Domino’s Pizza, Inc. | 2,788,597 | ||||
3,568 | McDonald’s Corp. | 759,984 | ||||
7,334,444 | ||||||
Household Durables — 1.9% | ||||||
51,794 | D.R. Horton, Inc. | 3,460,357 | ||||
8,260 | Garmin Ltd. | 859,205 | ||||
47,959 | Lennar Corp., Class A | 3,368,161 | ||||
766 | NVR, Inc. (a) | 3,028,067 | ||||
84,623 | PulteGroup, Inc. | 3,449,233 | ||||
12,779 | Whirlpool Corp. | 2,363,604 | ||||
16,528,627 | ||||||
Household Products — 0.8% | ||||||
33,443 | Church & Dwight Co., Inc. | 2,956,027 | ||||
7,454 | Clorox (The) Co. | 1,544,841 | ||||
10,156 | Colgate-Palmolive Co. | 801,207 | ||||
5,306 | Kimberly-Clark Corp. | 703,522 | ||||
5,637 | Procter & Gamble (The) Co. | 772,833 | ||||
6,778,430 | ||||||
Independent Power and Renewable Electricity Producers — 0.1% | ||||||
43,260 | AES (The) Corp. | 843,570 | ||||
Industrial Conglomerates — 0.7% | ||||||
14,675 | 3M Co. | 2,347,413 | ||||
503,010 | General Electric Co. | 3,732,334 | ||||
6,079,747 | ||||||
Insurance — 4.2% | ||||||
86,209 | Aflac, Inc. | 2,926,796 | ||||
41,608 | Allstate (The) Corp. | 3,692,710 | ||||
3,796 | Aon PLC, Class A | 698,502 | ||||
133,922 | Arch Capital Group Ltd. (a) | 4,045,784 | ||||
14,840 | Arthur J. Gallagher & Co. | 1,539,056 | ||||
34,610 | Brown & Brown, Inc. | 1,505,881 | ||||
13,495 | Chubb Ltd. | 1,753,135 | ||||
20,095 | Cincinnati Financial Corp. | 1,421,520 | ||||
106,269 | Hartford Financial Services Group (The), Inc. | 4,093,482 | ||||
13,659 | Marsh & McLennan Cos., Inc. | 1,413,160 |
First Trust Large Cap Core AlphaDEX® Fund (FEX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
105,387 | MetLife, Inc. | $ | 3,988,898 | |||
77,818 | Principal Financial Group, Inc. | 3,052,022 | ||||
33,102 | Progressive (The) Corp. | 3,042,074 | ||||
28,967 | Travelers (The) Cos., Inc. | 3,496,607 | ||||
12,810 | W.R. Berkley Corp. | 770,137 | ||||
37,439,764 | ||||||
Interactive Media & Services — 2.0% | ||||||
535 | Alphabet, Inc., Class A (a) | 864,619 | ||||
11,964 | Facebook, Inc., Class A (a) | 3,147,848 | ||||
94,367 | Pinterest, Inc., Class A (a) | 5,562,935 | ||||
120,019 | Snap, Inc., Class A (a) | 4,727,548 | ||||
38,557 | Zillow Group, Inc., Class C (a) | 3,416,921 | ||||
17,719,871 | ||||||
Internet & Direct Marketing Retail — 1.7% | ||||||
1,247 | Amazon.com, Inc. (a) | 3,786,079 | ||||
456 | Booking Holdings, Inc. (a) | 739,860 | ||||
60,148 | eBay, Inc. | 2,864,849 | ||||
32,206 | Etsy, Inc. (a) | 3,915,928 | ||||
13,461 | Wayfair, Inc., Class A (a) | 3,338,732 | ||||
14,645,448 | ||||||
IT Services — 4.9% | ||||||
6,933 | Accenture PLC, Class A | 1,503,837 | ||||
7,089 | Akamai Technologies, Inc. (a) | 674,306 | ||||
27,002 | Black Knight, Inc. (a) | 2,374,826 | ||||
28,324 | Booz Allen Hamilton Holding Corp. | 2,223,434 | ||||
17,803 | Broadridge Financial Solutions, Inc. | 2,449,693 | ||||
45,143 | Cognizant Technology Solutions Corp., Class A | 3,224,113 | ||||
12,118 | EPAM Systems, Inc. (a) | 3,743,856 | ||||
7,603 | Fiserv, Inc. (a) | 725,858 | ||||
6,272 | Gartner, Inc. (a) | 753,267 | ||||
20,623 | GoDaddy, Inc., Class A (a) | 1,458,871 | ||||
19,317 | International Business Machines Corp. | 2,156,936 | ||||
26,364 | Leidos Holdings, Inc. | 2,188,212 | ||||
4,631 | Mastercard, Inc., Class A | 1,336,692 | ||||
10,154 | MongoDB, Inc. (a) | 2,319,884 | ||||
14,655 | Okta, Inc. (a) | 3,075,059 | ||||
9,821 | Paychex, Inc. | 807,777 | ||||
19,881 | PayPal Holdings, Inc. (a) | 3,700,451 | ||||
24,099 | Square, Inc., Class A (a) | 3,732,453 | ||||
15,851 | Twilio, Inc., Class A (a) | 4,421,953 | ||||
36,556 | Western Union (The) Co. | 710,649 | ||||
43,582,127 | ||||||
Leisure Products — 0.7% | ||||||
18,941 | Hasbro, Inc. | 1,566,800 | ||||
39,472 | Peloton Interactive, Inc., Class A (a) | 4,350,209 | ||||
5,917,009 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Life Sciences Tools & Services — 2.1% | ||||||
23,285 | Agilent Technologies, Inc. | $ | 2,377,166 | |||
174,174 | Avantor, Inc. (a) | 4,053,029 | ||||
4,561 | Bio-Rad Laboratories, Inc., Class A (a) | 2,674,662 | ||||
2,432 | Mettler-Toledo International, Inc. (a) | 2,426,917 | ||||
31,212 | PerkinElmer, Inc. | 4,043,514 | ||||
7,099 | Thermo Fisher Scientific, Inc. | 3,358,679 | ||||
18,933,967 | ||||||
Machinery — 2.2% | ||||||
10,503 | Caterpillar, Inc. | 1,649,496 | ||||
11,130 | Cummins, Inc. | 2,447,376 | ||||
3,533 | Deere & Co. | 798,140 | ||||
14,461 | Dover Corp. | 1,600,977 | ||||
12,293 | Fortive Corp. | 757,249 | ||||
4,297 | IDEX Corp. | 732,166 | ||||
4,058 | Illinois Tool Works, Inc. | 794,881 | ||||
4,082 | Nordson Corp. | 789,581 | ||||
36,748 | PACCAR, Inc. | 3,137,544 | ||||
11,618 | Parker-Hannifin Corp. | 2,420,727 | ||||
9,660 | Stanley Black & Decker, Inc. | 1,605,492 | ||||
37,980 | Westinghouse Air Brake Technologies Corp. | 2,252,214 | ||||
18,985,843 | ||||||
Media — 1.4% | ||||||
418 | Cable One, Inc. | 723,917 | ||||
2,509 | Charter Communications, Inc., Class A (a) | 1,514,984 | ||||
67,741 | Comcast Corp., Class A | 2,861,380 | ||||
56,302 | Fox Corp., Class A | 1,493,129 | ||||
47,479 | Omnicom Group, Inc. | 2,241,009 | ||||
111,877 | ViacomCBS, Inc., Class B | 3,196,326 | ||||
12,030,745 | ||||||
Metals & Mining — 0.7% | ||||||
49,391 | Newmont Corp. | 3,103,731 | ||||
69,858 | Nucor Corp. | 3,336,418 | ||||
6,440,149 | ||||||
Multiline Retail — 1.0% | ||||||
18,685 | Dollar General Corp. | 3,899,746 | ||||
25,731 | Dollar Tree, Inc. (a) | 2,324,024 | ||||
14,932 | Target Corp. | 2,272,949 | ||||
8,496,719 | ||||||
Multi-Utilities — 2.6% | ||||||
29,721 | Ameren Corp. | 2,410,967 | ||||
40,485 | CenterPoint Energy, Inc. | 855,448 | ||||
38,271 | CMS Energy Corp. | 2,423,702 | ||||
40,278 | Consolidated Edison, Inc. | 3,161,420 | ||||
9,928 | Dominion Energy, Inc. | 797,615 | ||||
27,242 | DTE Energy Co. | 3,362,208 |
First Trust Large Cap Core AlphaDEX® Fund (FEX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Multi-Utilities (Continued) | ||||||
71,337 | Public Service Enterprise Group, Inc. | $ | 4,148,247 | |||
33,096 | Sempra Energy | 4,148,915 | ||||
16,169 | WEC Energy Group, Inc. | 1,625,793 | ||||
22,934,315 | ||||||
Oil, Gas & Consumable Fuels — 3.4% | ||||||
33,863 | Cheniere Energy, Inc. (a) | 1,621,022 | ||||
43,527 | Chevron Corp. | 3,025,126 | ||||
119,280 | ConocoPhillips | 3,413,794 | ||||
108,993 | EOG Resources, Inc. | 3,731,920 | ||||
114,101 | Exxon Mobil Corp. | 3,721,975 | ||||
190,616 | Kinder Morgan, Inc. | 2,268,330 | ||||
120,620 | ONEOK, Inc. | 3,497,980 | ||||
45,553 | Pioneer Natural Resources Co. | 3,624,197 | ||||
90,424 | Valero Energy Corp. | 3,491,271 | ||||
79,738 | Williams (The) Cos., Inc. | 1,530,172 | ||||
29,925,787 | ||||||
Pharmaceuticals — 1.7% | ||||||
12,997 | Bristol-Myers Squibb Co. | 759,675 | ||||
45,731 | Catalent, Inc. (a) | 4,013,810 | ||||
50,428 | Horizon Therapeutics PLC (a) | 3,778,570 | ||||
106,736 | Pfizer, Inc. | 3,786,993 | ||||
14,211 | Zoetis, Inc. | 2,253,154 | ||||
14,592,202 | ||||||
Professional Services — 0.5% | ||||||
2,770 | CoStar Group, Inc. (a) | 2,281,400 | ||||
4,992 | Equifax, Inc. | 681,907 | ||||
8,457 | Verisk Analytics, Inc. | 1,505,092 | ||||
4,468,399 | ||||||
Real Estate Management & Development — 0.5% | ||||||
83,396 | CBRE Group, Inc., Class A (a) | 4,203,158 | ||||
Road & Rail — 1.5% | ||||||
30,260 | CSX Corp. | 2,388,724 | ||||
18,599 | J.B. Hunt Transport Services, Inc. | 2,264,242 | ||||
8,664 | Kansas City Southern | 1,526,077 | ||||
7,323 | Norfolk Southern Corp. | 1,531,386 | ||||
8,660 | Old Dominion Freight Line, Inc. | 1,648,604 | ||||
64,427 | Uber Technologies, Inc. (a) | 2,152,506 | ||||
7,961 | Union Pacific Corp. | 1,410,610 | ||||
12,922,149 | ||||||
Semiconductors & Semiconductor Equipment — 3.9% | ||||||
47,774 | Advanced Micro Devices, Inc. (a) | 3,596,904 | ||||
26,357 | Applied Materials, Inc. | 1,561,125 | ||||
2,149 | Broadcom, Inc. | 751,355 | ||||
4,046 | KLA Corp. | 797,790 | ||||
7,086 | Lam Research Corp. | 2,423,979 | ||||
59,203 | Marvell Technology Group Ltd. | 2,220,705 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Semiconductors & Semiconductor Equipment (Continued) | ||||||
83,414 | Micron Technology, Inc. (a) | $ | 4,199,061 | |||
11,208 | Monolithic Power Systems, Inc. | 3,582,077 | ||||
7,237 | NVIDIA Corp. | 3,628,342 | ||||
24,289 | Qorvo, Inc. (a) | 3,093,447 | ||||
19,973 | QUALCOMM, Inc. | 2,463,869 | ||||
16,152 | Skyworks Solutions, Inc. | 2,282,116 | ||||
29,577 | Teradyne, Inc. | 2,598,339 | ||||
5,484 | Texas Instruments, Inc. | 792,932 | ||||
33,992,041 | ||||||
Software — 8.5% | ||||||
6,389 | Adobe, Inc. (a) | 2,856,522 | ||||
4,789 | ANSYS, Inc. (a) | 1,457,628 | ||||
6,784 | Autodesk, Inc. (a) | 1,597,903 | ||||
18,456 | Avalara, Inc. (a) | 2,750,867 | ||||
22,041 | Cadence Design Systems, Inc. (a) | 2,410,624 | ||||
18,957 | Ceridian HCM Holding, Inc. (a) | 1,634,473 | ||||
8,568 | Coupa Software, Inc. (a) | 2,293,654 | ||||
28,526 | Crowdstrike Holdings, Inc., Class A (a) | 3,532,660 | ||||
38,343 | Datadog, Inc., Class A (a) | 3,479,627 | ||||
18,199 | DocuSign, Inc. (a) | 3,680,748 | ||||
57,295 | Dynatrace, Inc. (a) | 2,023,086 | ||||
1,840 | Fair Isaac Corp. (a) | 720,268 | ||||
6,649 | Fortinet, Inc. (a) | 733,850 | ||||
13,404 | HubSpot, Inc. (a) | 3,888,098 | ||||
4,804 | Intuit, Inc. | 1,511,723 | ||||
3,726 | Microsoft Corp. | 754,403 | ||||
150,371 | NortonLifeLock, Inc. | 3,093,132 | ||||
13,122 | Oracle Corp. | 736,275 | ||||
9,604 | Palo Alto Networks, Inc. (a) | 2,124,309 | ||||
5,033 | Paycom Software, Inc. (a) | 1,832,465 | ||||
2,854 | RingCentral, Inc., Class A (a) | 737,302 | ||||
15,584 | salesforce.com, Inc. (a) | 3,619,696 | ||||
8,076 | ServiceNow, Inc. (a) | 4,018,375 | ||||
4,164 | Splunk, Inc. (a) | 824,639 | ||||
25,892 | SS&C Technologies Holdings, Inc. | 1,533,324 | ||||
10,985 | Synopsys, Inc. (a) | 2,349,252 | ||||
7,550 | Trade Desk (The), Inc., Class A (a) | 4,276,698 | ||||
14,566 | Workday, Inc., Class A (a) | 3,060,608 | ||||
30,447 | Zendesk, Inc. (a) | 3,377,790 | ||||
8,331 | Zoom Video Communications, Inc., Class A (a) | 3,839,841 | ||||
27,844 | Zscaler, Inc. (a) | 3,779,823 | ||||
74,529,663 | ||||||
Specialty Retail — 2.7% | ||||||
10,210 | Advance Auto Parts, Inc. | 1,503,729 | ||||
1,996 | AutoZone, Inc. (a) | 2,253,444 | ||||
21,120 | Best Buy Co., Inc. | 2,355,936 | ||||
8,526 | CarMax, Inc. (a) | 736,987 | ||||
14,050 | Carvana Co. (a) | 2,604,168 | ||||
11,286 | Home Depot (The), Inc. | 3,010,089 | ||||
23,619 | Lowe’s Cos., Inc. | 3,734,164 |
First Trust Large Cap Core AlphaDEX® Fund (FEX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Specialty Retail (Continued) | ||||||
6,798 | O’Reilly Automotive, Inc. (a) | $ | 2,968,007 | |||
27,326 | Tractor Supply Co. | 3,640,096 | ||||
3,500 | Ulta Beauty, Inc. (a) | 723,695 | ||||
23,530,315 | ||||||
Technology Hardware, Storage & Peripherals — 1.5% | ||||||
33,823 | Apple, Inc. | 3,681,972 | ||||
334,446 | Hewlett Packard Enterprise Co. | 2,889,613 | ||||
41,257 | HP, Inc. | 740,976 | ||||
31,799 | Seagate Technology PLC | 1,520,628 | ||||
107,172 | Western Digital Corp. | 4,043,600 | ||||
12,876,789 | ||||||
Textiles, Apparel & Luxury Goods — 0.2% | ||||||
18,721 | NIKE, Inc., Class B | 2,248,018 | ||||
Trading Companies & Distributors — 0.8% | ||||||
52,126 | Fastenal Co. | 2,253,407 | ||||
22,449 | United Rentals, Inc. (a) | 4,002,432 | ||||
2,195 | W.W. Grainger, Inc. | 768,294 | ||||
7,024,133 | ||||||
Water Utilities — 0.2% | ||||||
10,813 | American Water Works Co., Inc. | 1,627,465 | ||||
Wireless Telecommunication Services — 0.2% | ||||||
20,554 | T-Mobile US, Inc. (a) | 2,252,102 | ||||
Total Common Stocks — 99.8% | 878,972,702 | |||||
(Cost $821,422,048) | ||||||
Money Market Funds — 0.2% | ||||||
182,048 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 182,048 | ||||
1,216,986 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 1,216,986 | ||||
Total Money Market Funds — 0.2% | 1,399,034 | |||||
(Cost $1,399,034) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 0.1% | |||||||
$ | 1,044,456 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $1,044,460. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $1,064,739. (d) | $ | 1,044,456 | |||
(Cost $1,044,456) | |||||||
Total Investments — 100.1% | 881,416,192 | ||||||
(Cost $823,865,538) (e) | |||||||
Net Other Assets and Liabilities — (0.1)% | (950,135 | ) | |||||
Net Assets — 100.0% | $ | 880,466,057 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $1,199,171 and the total value of the collateral held by the Fund is $1,226,504. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $108,973,845 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $51,423,191. The net unrealized appreciation was $57,550,654. |
First Trust Large Cap Core AlphaDEX® Fund (FEX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 878,972,702 | $ | — | $ | — | ||||||
Money Market Funds | 1,399,034 | — | — | |||||||||
Repurchase Agreements | — | 1,044,456 | — | |||||||||
Total Investments | $ | 880,371,736 | $ | 1,044,456 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Mid Cap Core AlphaDEX® Fund (FNX) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Aerospace & Defense — 1.9% | ||||||
9,366 | Axon Enterprise, Inc. (a) | $ | 926,297 | |||
15,086 | BWX Technologies, Inc. | 829,881 | ||||
18,219 | Curtiss-Wright Corp. | 1,536,955 | ||||
63,306 | Hexcel Corp. | 2,119,485 | ||||
76,218 | Howmet Aerospace, Inc. | 1,314,761 | ||||
12,073 | Huntington Ingalls Industries, Inc. | 1,780,526 | ||||
5,483 | Mercury Systems, Inc. (a) | 377,669 | ||||
25,329 | Parsons Corp. (a) | 798,370 | ||||
35,310 | Textron, Inc. | 1,264,098 | ||||
10,948,042 | ||||||
Air Freight & Logistics — 0.1% | ||||||
5,017 | XPO Logistics, Inc. (a) | 451,530 | ||||
Airlines — 0.5% | ||||||
34,790 | Alaska Air Group, Inc. | 1,318,193 | ||||
74,984 | JetBlue Airways Corp. (a) | 897,559 | ||||
24,447 | United Airlines Holdings, Inc. (a) | 827,775 | ||||
3,043,527 | ||||||
Auto Components — 1.0% | ||||||
43,860 | BorgWarner, Inc. | 1,534,223 | ||||
4,700 | Dorman Products, Inc. (a) | 419,569 | ||||
11,429 | Fox Factory Holding Corp. (a) | 960,950 | ||||
49,491 | Gentex Corp. | 1,369,416 | ||||
7,993 | LCI Industries | 876,512 | ||||
7,790 | Lear Corp. | 941,110 | ||||
6,101,780 | ||||||
Automobiles — 0.4% | ||||||
17,311 | Harley-Davidson, Inc. | 569,186 | ||||
17,835 | Thor Industries, Inc. | 1,508,484 | ||||
2,077,670 | ||||||
Banks — 6.8% | ||||||
79,697 | Bank OZK | 1,974,892 | ||||
32,985 | BOK Financial Corp. | 1,937,539 | ||||
44,423 | Comerica, Inc. | 2,021,691 | ||||
7,547 | Commerce Bancshares, Inc. | 469,801 | ||||
15,599 | Community Bank System, Inc. | 904,586 | ||||
19,926 | Cullen/Frost Bankers, Inc. | 1,400,200 | ||||
51,899 | East West Bancorp, Inc. | 1,893,275 | ||||
6,663 | First Citizens BancShares, Inc., Class A | 3,082,970 | ||||
90,092 | First Horizon National Corp. | 937,858 | ||||
84,061 | Home BancShares, Inc. | 1,395,412 | ||||
185,294 | Huntington Bancshares, Inc. | 1,934,469 | ||||
164,806 | People’s United Financial, Inc. | 1,758,480 | ||||
47,744 | Pinnacle Financial Partners, Inc. | 2,186,198 | ||||
58,558 | Popular, Inc. | 2,471,148 | ||||
32,784 | Prosperity Bancshares, Inc. | 1,806,726 | ||||
20,473 | Signature Bank | 1,652,990 | ||||
8,821 | South State Corp. | 541,609 | ||||
80,262 | Synovus Financial Corp. | 2,086,812 | ||||
72,737 | TCF Financial Corp. | 1,979,174 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
59,356 | United Bankshares, Inc. | $ | 1,556,908 | |||
248,049 | Valley National Bancorp | 1,895,094 | ||||
53,736 | Western Alliance Bancorp | 2,213,923 | ||||
58,151 | Zions Bancorp N.A. | 1,876,533 | ||||
39,978,288 | ||||||
Beverages — 1.0% | ||||||
2,404 | Boston Beer (The) Co., Inc., Class A (a) | 2,498,189 | ||||
37,973 | Molson Coors Beverage Co., Class B | 1,338,928 | ||||
24,983 | National Beverage Corp. (a) (b) | 1,955,919 | ||||
5,793,036 | ||||||
Biotechnology — 4.9% | ||||||
11,325 | Acceleron Pharma, Inc. (a) | 1,184,369 | ||||
90,251 | Amicus Therapeutics, Inc. (a) | 1,609,175 | ||||
11,361 | Arena Pharmaceuticals, Inc. (a) | 973,865 | ||||
9,864 | Arrowhead Pharmaceuticals, Inc. (a) | 565,207 | ||||
18,331 | Blueprint Medicines Corp. (a) | 1,874,895 | ||||
15,503 | ChemoCentryx, Inc. (a) | 744,144 | ||||
25,393 | CRISPR Therapeutics AG (a) | 2,331,585 | ||||
20,555 | Emergent BioSolutions, Inc. (a) | 1,849,333 | ||||
34,746 | Exelixis, Inc. (a) | 711,598 | ||||
42,512 | Fate Therapeutics, Inc. (a) | 1,887,533 | ||||
32,327 | Halozyme Therapeutics, Inc. (a) | 905,156 | ||||
66,083 | Insmed, Inc. (a) | 2,176,774 | ||||
29,397 | Invitae Corp. (a) (b) | 1,152,656 | ||||
5,118 | Mirati Therapeutics, Inc. (a) | 1,111,323 | ||||
29,401 | Natera, Inc. (a) | 1,977,511 | ||||
11,760 | Novavax, Inc. (a) | 949,150 | ||||
460,474 | OPKO Health, Inc. (a) (b) | 1,620,868 | ||||
20,673 | Ultragenyx Pharmaceutical, Inc. (a) | 2,077,637 | ||||
21,028 | United Therapeutics Corp. (a) | 2,822,588 | ||||
28,525,367 | ||||||
Building Products — 1.5% | ||||||
8,046 | A.O. Smith Corp. | 415,898 | ||||
14,101 | AAON, Inc. | 823,639 | ||||
34,017 | Advanced Drainage Systems, Inc. | 2,157,698 | ||||
26,043 | Builders FirstSource, Inc. (a) | 789,103 | ||||
17,487 | Simpson Manufacturing Co., Inc. | 1,551,447 | ||||
23,732 | Trex Co., Inc. (a) | 1,650,323 | ||||
30,068 | UFP Industries, Inc. | 1,500,694 | ||||
8,888,802 | ||||||
Capital Markets — 3.1% | ||||||
18,637 | Affiliated Managers Group, Inc. | 1,404,671 | ||||
10,510 | Ares Management Corp., Class A | 444,573 | ||||
14,525 | Cboe Global Markets, Inc. | 1,180,737 | ||||
22,269 | Eaton Vance Corp. | 1,331,463 | ||||
98,743 | Federated Hermes, Inc. | 2,359,958 | ||||
7,195 | Houlihan Lokey, Inc. | 451,126 | ||||
186,146 | Invesco Ltd. | 2,440,374 | ||||
25,705 | Lazard Ltd., Class A | 865,487 |
First Trust Mid Cap Core AlphaDEX® Fund (FNX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Capital Markets (Continued) | ||||||
16,620 | LPL Financial Holdings, Inc. | $ | 1,328,437 | |||
7,933 | Morningstar, Inc. | 1,510,285 | ||||
17,514 | Raymond James Financial, Inc. | 1,338,770 | ||||
33,607 | Stifel Financial Corp. | 1,964,665 | ||||
7,324 | Tradeweb Markets, Inc., Class A | 399,012 | ||||
55,383 | Virtu Financial, Inc., Class A | 1,184,089 | ||||
18,203,647 | ||||||
Chemicals — 2.4% | ||||||
14,274 | Albemarle Corp. | 1,330,480 | ||||
5,991 | Ashland Global Holdings, Inc. | 417,992 | ||||
19,161 | Axalta Coating Systems Ltd. (a) | 481,133 | ||||
4,351 | Balchem Corp. | 434,882 | ||||
55,329 | CF Industries Holdings, Inc. | 1,527,634 | ||||
121,252 | Element Solutions, Inc. (a) | 1,421,073 | ||||
19,126 | Huntsman Corp. | 464,571 | ||||
3,724 | NewMarket Corp. | 1,332,038 | ||||
7,091 | Quaker Chemical Corp. | 1,352,892 | ||||
13,889 | Scotts Miracle-Gro (The) Co. | 2,084,044 | ||||
44,622 | Valvoline, Inc. | 877,715 | ||||
33,596 | Westlake Chemical Corp. | 2,271,761 | ||||
13,996,215 | ||||||
Commercial Services & Supplies — 1.5% | ||||||
207,974 | ADT, Inc. | 1,370,549 | ||||
22,818 | Casella Waste Systems, Inc., Class A (a) | 1,231,944 | ||||
11,303 | Cimpress PLC (a) | 829,640 | ||||
22,743 | Clean Harbors, Inc. (a) | 1,204,697 | ||||
24,473 | IAA, Inc. (a) | 1,384,927 | ||||
9,497 | MSA Safety, Inc. | 1,252,844 | ||||
4,446 | Tetra Tech, Inc. | 448,646 | ||||
6,729 | UniFirst Corp. | 1,102,277 | ||||
8,825,524 | ||||||
Communications Equipment — 0.3% | ||||||
59,271 | Juniper Networks, Inc. | 1,168,824 | ||||
5,655 | Lumentum Holdings, Inc. (a) | 467,612 | ||||
1,636,436 | ||||||
Construction & Engineering — 1.3% | ||||||
12,548 | EMCOR Group, Inc. | 855,648 | ||||
50,331 | MasTec, Inc. (a) | 2,498,431 | ||||
24,107 | Quanta Services, Inc. | 1,505,000 | ||||
10,262 | Valmont Industries, Inc. | 1,456,691 | ||||
76,401 | WillScot Mobile Mini Holdings Corp. (a) | 1,419,531 | ||||
7,735,301 | ||||||
Construction Materials — 0.1% | ||||||
9,841 | Eagle Materials, Inc. | 838,945 | ||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Consumer Finance — 1.2% | ||||||
67,775 | Ally Financial, Inc. | $ | 1,808,237 | |||
1,255 | Credit Acceptance Corp. (a) (b) | 374,140 | ||||
8,394 | Green Dot Corp., Class A (a) | 447,568 | ||||
4,152 | LendingTree, Inc. (a) | 1,343,546 | ||||
67,965 | OneMain Holdings, Inc. | 2,371,299 | ||||
23,353 | Santander Consumer USA Holdings, Inc. | 475,000 | ||||
6,819,790 | ||||||
Containers & Packaging — 2.3% | ||||||
3,751 | AptarGroup, Inc. | 427,952 | ||||
6,646 | Avery Dennison Corp. | 919,740 | ||||
43,954 | Berry Global Group, Inc. (a) | 2,049,575 | ||||
16,581 | Crown Holdings, Inc. (a) | 1,422,650 | ||||
90,443 | Graphic Packaging Holding Co. | 1,201,987 | ||||
11,686 | Packaging Corp. of America | 1,337,930 | ||||
32,835 | Sealed Air Corp. | 1,299,938 | ||||
34,658 | Silgan Holdings, Inc. | 1,193,968 | ||||
24,954 | Sonoco Products Co. | 1,220,001 | ||||
61,139 | WestRock Co. | 2,295,769 | ||||
13,369,510 | ||||||
Distributors — 0.3% | ||||||
61,275 | LKQ Corp. (a) | 1,960,187 | ||||
Diversified Consumer Services — 0.7% | ||||||
21,256 | Grand Canyon Education, Inc. (a) | 1,665,833 | ||||
52,152 | H&R Block, Inc. | 900,143 | ||||
20,141 | Service Corp. International | 932,730 | ||||
10,652 | Terminix Global Holdings, Inc. (a) | 501,603 | ||||
4,000,309 | ||||||
Diversified Financial Services — 1.4% | ||||||
57,002 | Cannae Holdings, Inc. (a) | 2,107,934 | ||||
116,444 | Equitable Holdings, Inc. | 2,502,381 | ||||
117,996 | Jefferies Financial Group, Inc. | 2,302,102 | ||||
26,587 | Voya Financial, Inc. | 1,274,315 | ||||
8,186,732 | ||||||
Diversified Telecommunication Services — 0.4% | ||||||
12,166 | Bandwidth, Inc., Class A (a) | 1,950,879 | ||||
16,608 | Iridium Communications, Inc. (a) | 438,617 | ||||
2,389,496 | ||||||
Electric Utilities — 2.2% | ||||||
41,050 | ALLETE, Inc. | 2,117,359 | ||||
38,339 | Hawaiian Electric Industries, Inc. | 1,266,720 | ||||
21,266 | IDACORP, Inc. | 1,865,666 | ||||
69,094 | NRG Energy, Inc. | 2,184,752 | ||||
14,166 | OGE Energy Corp. | 435,888 | ||||
28,489 | Pinnacle West Capital Corp. | 2,323,848 | ||||
10,278 | PNM Resources, Inc. | 513,900 |
First Trust Mid Cap Core AlphaDEX® Fund (FNX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Electric Utilities (Continued) | ||||||
59,829 | Portland General Electric Co. | $ | 2,351,280 | |||
13,059,413 | ||||||
Electrical Equipment — 1.4% | ||||||
20,753 | Acuity Brands, Inc. | 1,849,923 | ||||
12,657 | EnerSys | 906,241 | ||||
10,969 | Generac Holdings, Inc. (a) | 2,305,135 | ||||
6,207 | Hubbell, Inc. | 903,181 | ||||
13,576 | Regal Beloit Corp. | 1,339,272 | ||||
22,046 | Sunrun, Inc. (a) | 1,146,833 | ||||
8,450,585 | ||||||
Electronic Equipment, Instruments & Components — 1.6% | ||||||
16,201 | Arrow Electronics, Inc. (a) | 1,261,896 | ||||
82,197 | Avnet, Inc. | 2,027,800 | ||||
6,409 | Dolby Laboratories, Inc., Class A | 481,188 | ||||
23,698 | FLIR Systems, Inc. | 822,084 | ||||
31,418 | II-VI, Inc. (a) | 1,428,576 | ||||
2,500 | IPG Photonics Corp. (a) | 464,900 | ||||
24,796 | Jabil, Inc. | 821,739 | ||||
2,395 | Littelfuse, Inc. | 474,066 | ||||
12,131 | SYNNEX Corp. | 1,596,925 | ||||
9,379,174 | ||||||
Equity Real Estate Investment Trusts — 3.7% | ||||||
24,329 | American Campus Communities, Inc. | 911,364 | ||||
14,914 | American Homes 4 Rent, Class A | 421,619 | ||||
11,883 | Americold Realty Trust | 430,521 | ||||
145,351 | Brixmor Property Group, Inc. | 1,593,047 | ||||
13,146 | CubeSmart | 446,044 | ||||
3,284 | EastGroup Properties, Inc. | 437,035 | ||||
79,758 | Equity Commonwealth | 2,107,206 | ||||
10,674 | First Industrial Realty Trust, Inc. | 424,932 | ||||
11,503 | Gaming and Leisure Properties, Inc. | 418,134 | ||||
118,105 | Host Hotels & Resorts, Inc. | 1,237,740 | ||||
77,481 | Hudson Pacific Properties, Inc. | 1,492,284 | ||||
15,857 | Iron Mountain, Inc. | 413,233 | ||||
31,770 | JBG SMITH Properties | 741,830 | ||||
188,626 | Kimco Realty Corp. | 1,935,303 | ||||
4,036 | Life Storage, Inc. | 460,709 | ||||
36,928 | National Retail Properties, Inc. | 1,182,065 | ||||
16,067 | Rayonier, Inc. | 407,780 | ||||
22,347 | Regency Centers Corp. | 795,330 | ||||
9,284 | Rexford Industrial Realty, Inc. | 431,335 | ||||
123,262 | Sabra Health Care REIT, Inc. | 1,622,128 | ||||
45,805 | SL Green Realty Corp. | 1,960,912 | ||||
25,172 | Spirit Realty Capital, Inc. | 756,419 | ||||
13,932 | STAG Industrial, Inc. | 433,564 | ||||
15,486 | STORE Capital Corp. | 397,990 | ||||
7,756 | Terreno Realty Corp. | 436,508 | ||||
21,895,032 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food & Staples Retailing — 1.0% | ||||||
51,117 | BJ’s Wholesale Club Holdings, Inc. (a) | $ | 1,957,270 | |||
7,174 | Casey’s General Stores, Inc. | 1,209,321 | ||||
21,607 | Grocery Outlet Holding Corp. (a) | 951,140 | ||||
40,592 | Sprouts Farmers Market, Inc. (a) | 773,278 | ||||
38,234 | US Foods Holding Corp. (a) | 799,091 | ||||
5,690,100 | ||||||
Food Products — 2.4% | ||||||
10,232 | Beyond Meat, Inc. (a) | 1,457,344 | ||||
58,948 | Darling Ingredients, Inc. (a) | 2,534,764 | ||||
17,461 | Flowers Foods, Inc. | 411,730 | ||||
19,024 | Freshpet, Inc. (a) | 2,178,248 | ||||
24,770 | Hain Celestial Group (The), Inc. (a) | 761,677 | ||||
22,452 | Ingredion, Inc. | 1,591,622 | ||||
6,410 | Lamb Weston Holdings, Inc. | 406,715 | ||||
4,753 | Lancaster Colony Corp. | 789,663 | ||||
141,925 | Pilgrim’s Pride Corp. (a) | 2,375,825 | ||||
4,940 | Post Holdings, Inc. (a) | 424,346 | ||||
299 | Seaboard Corp. | 1,030,055 | ||||
13,961,989 | ||||||
Gas Utilities — 1.6% | ||||||
31,397 | National Fuel Gas Co. | 1,254,624 | ||||
62,886 | New Jersey Resources Corp. | 1,835,014 | ||||
18,466 | ONE Gas, Inc. | 1,274,893 | ||||
26,927 | Southwest Gas Holdings, Inc. | 1,769,642 | ||||
23,953 | Spire, Inc. | 1,342,326 | ||||
51,521 | UGI Corp. | 1,666,189 | ||||
9,142,688 | ||||||
Health Care Equipment & Supplies — 1.6% | ||||||
8,579 | Globus Medical, Inc., Class A (a) | 447,138 | ||||
4,648 | ICU Medical, Inc. (a) | 826,368 | ||||
8,921 | iRhythm Technologies, Inc. (a) | 1,886,345 | ||||
5,429 | Neogen Corp. (a) | 378,619 | ||||
3,048 | Nevro Corp. (a) | 454,792 | ||||
15,264 | Novocure Ltd. (a) | 1,863,734 | ||||
8,747 | NuVasive, Inc. (a) | 388,629 | ||||
2,184 | Penumbra, Inc. (a) | 570,090 | ||||
15,022 | STAAR Surgical Co. (a) | 1,089,095 | ||||
14,970 | Tandem Diabetes Care, Inc. (a) | 1,631,730 | ||||
9,536,540 | ||||||
Health Care Providers & Services — 2.4% | ||||||
57,638 | Acadia Healthcare Co., Inc. (a) | 2,054,795 | ||||
7,188 | Amedisys, Inc. (a) | 1,861,692 | ||||
1,769 | Chemed Corp. | 846,148 | ||||
13,075 | Encompass Health Corp. | 801,628 | ||||
15,202 | Guardant Health, Inc. (a) | 1,621,446 | ||||
14,454 | Henry Schein, Inc. (a) | 918,985 | ||||
7,993 | LHC Group, Inc. (a) | 1,730,884 | ||||
86,656 | Tenet Healthcare Corp. (a) | 2,126,538 |
First Trust Mid Cap Core AlphaDEX® Fund (FNX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Providers & Services (Continued) | ||||||
19,847 | Universal Health Services, Inc., Class B | $ | 2,174,239 | |||
14,136,355 | ||||||
Health Care Technology — 0.4% | ||||||
16,457 | Inspire Medical Systems, Inc. (a) | 1,965,460 | ||||
5,689 | Omnicell, Inc. (a) | 492,383 | ||||
2,457,843 | ||||||
Hotels, Restaurants & Leisure — 1.8% | ||||||
16,061 | Aramark | 445,532 | ||||
4,943 | Choice Hotels International, Inc. | 431,771 | ||||
5,185 | Churchill Downs, Inc. | 773,343 | ||||
10,371 | Dunkin’ Brands Group, Inc. | 1,034,092 | ||||
97,652 | MGM Resorts International | 2,008,702 | ||||
20,650 | Papa John’s International, Inc. | 1,581,790 | ||||
23,373 | Penn National Gaming, Inc. (a) | 1,261,674 | ||||
6,988 | Texas Roadhouse, Inc. | 489,370 | ||||
57,159 | Wendy’s (The) Co. | 1,248,924 | ||||
9,324 | Wingstop, Inc. | 1,084,661 | ||||
10,359,859 | ||||||
Household Durables — 3.1% | ||||||
6,585 | Helen of Troy Ltd. (a) | 1,248,516 | ||||
55,325 | KB Home | 1,784,231 | ||||
20,634 | Leggett & Platt, Inc. | 861,057 | ||||
18,283 | LGI Homes, Inc. (a) | 1,954,087 | ||||
45,095 | M.D.C. Holdings, Inc. | 1,962,534 | ||||
19,239 | Meritage Homes Corp. (a) | 1,675,525 | ||||
21,764 | Mohawk Industries, Inc. (a) | 2,245,827 | ||||
51,824 | Taylor Morrison Home Corp. (a) | 1,119,398 | ||||
23,813 | Tempur Sealy International, Inc. (a) | 2,119,357 | ||||
34,918 | Toll Brothers, Inc. | 1,476,333 | ||||
12,441 | TopBuild Corp. (a) | 1,906,086 | ||||
18,352,951 | ||||||
Household Products — 0.2% | ||||||
21,705 | Energizer Holdings, Inc. | 854,092 | ||||
13,872 | Reynolds Consumer Products, Inc. | 391,745 | ||||
1,245,837 | ||||||
Independent Power and Renewable Electricity Producers — 0.7% | ||||||
47,268 | Clearway Energy, Inc., Class C | 1,331,067 | ||||
14,371 | Ormat Technologies, Inc. | 1,018,473 | ||||
112,616 | Vistra Corp. | 1,956,140 | ||||
4,305,680 | ||||||
Industrial Conglomerates — 0.2% | ||||||
10,414 | Carlisle Cos., Inc. | 1,289,982 | ||||
Insurance — 5.4% | ||||||
815 | Alleghany Corp. | 445,748 | ||||
19,027 | American Financial Group, Inc. | 1,425,883 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
7,004 | Assurant, Inc. | $ | 871,087 | |||
37,393 | Athene Holding Ltd., Class A (a) | 1,199,567 | ||||
9,647 | Axis Capital Holdings Ltd. | 411,830 | ||||
78,926 | Brighthouse Financial, Inc. (a) | 2,612,451 | ||||
13,150 | Enstar Group Ltd. (a) | 2,260,091 | ||||
4,041 | Erie Indemnity Co., Class A | 941,028 | ||||
6,451 | Everest Re Group Ltd. | 1,271,363 | ||||
67,835 | Fidelity National Financial, Inc. | 2,122,557 | ||||
41,719 | First American Financial Corp. | 1,860,250 | ||||
21,266 | Globe Life, Inc. | 1,724,460 | ||||
13,675 | Hanover Insurance Group (The), Inc. | 1,308,151 | ||||
31,780 | Kemper Corp. | 1,959,555 | ||||
11,169 | Kinsale Capital Group, Inc. | 2,093,852 | ||||
27,116 | Lincoln National Corp. | 951,772 | ||||
57,638 | Old Republic International Corp. | 938,347 | ||||
7,509 | Primerica, Inc. | 827,792 | ||||
13,387 | Reinsurance Group of America, Inc. | 1,352,355 | ||||
5,004 | RenaissanceRe Holdings Ltd. | 809,247 | ||||
16,499 | Selective Insurance Group, Inc. | 858,938 | ||||
126,200 | Unum Group | 2,228,692 | ||||
1,637 | White Mountains Insurance Group Ltd. | 1,486,936 | ||||
31,961,952 | ||||||
Internet & Direct Marketing Retail — 1.2% | ||||||
38,736 | Chewy, Inc., Class A (a) (b) | 2,386,138 | ||||
29,235 | Overstock.com, Inc. (a) | 1,640,084 | ||||
118,325 | Qurate Retail, Inc., Series A | 801,060 | ||||
8,814 | Stamps.com, Inc. (a) | 1,967,637 | ||||
6,794,919 | ||||||
IT Services — 1.3% | ||||||
7,971 | CACI International, Inc., Class A (a) | 1,662,193 | ||||
4,662 | Euronet Worldwide, Inc. (a) | 414,172 | ||||
22,673 | Fastly, Inc., Class A (a) | 1,439,962 | ||||
32,718 | Genpact Ltd. | 1,124,518 | ||||
18,628 | MAXIMUS, Inc. | 1,258,880 | ||||
21,838 | Perspecta, Inc. | 391,555 | ||||
10,835 | Science Applications International Corp. | 827,469 | ||||
3,055 | WEX, Inc. (a) | 386,610 | ||||
7,505,359 | ||||||
Leisure Products — 0.6% | ||||||
12,637 | Acushnet Holdings Corp. | 431,301 | ||||
108,920 | Mattel, Inc. (a) | 1,499,828 | ||||
37,494 | YETI Holdings, Inc. (a) | 1,855,203 | ||||
3,786,332 | ||||||
Life Sciences Tools & Services — 2.0% | ||||||
17,035 | 10X Genomics, Inc., Class A (a) | 2,332,092 |
First Trust Mid Cap Core AlphaDEX® Fund (FNX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Life Sciences Tools & Services (Continued) | ||||||
26,204 | Adaptive Biotechnologies Corp. (a) | $ | 1,207,480 | |||
9,379 | Charles River Laboratories International, Inc. (a) | 2,135,598 | ||||
15,206 | Medpace Holdings, Inc. (a) | 1,686,954 | ||||
34,543 | NeoGenomics, Inc. (a) | 1,355,122 | ||||
8,376 | PRA Health Sciences, Inc. (a) | 816,157 | ||||
11,517 | Repligen Corp. (a) | 1,918,387 | ||||
7,990 | Syneos Health, Inc. (a) | 424,109 | ||||
11,875,899 | ||||||
Machinery — 3.6% | ||||||
5,719 | AGCO Corp. | 440,535 | ||||
48,353 | Allison Transmission Holdings, Inc. | 1,747,961 | ||||
8,473 | Crane Co. | 430,005 | ||||
31,131 | Flowserve Corp. | 906,535 | ||||
13,847 | Graco, Inc. | 857,129 | ||||
28,776 | ITT, Inc. | 1,741,236 | ||||
9,246 | John Bean Technologies Corp. | 776,387 | ||||
4,614 | Lincoln Electric Holdings, Inc. | 469,797 | ||||
14,204 | Middleby (The) Corp. (a) | 1,413,866 | ||||
48,782 | Navistar International Corp. (a) | 2,102,992 | ||||
23,117 | Oshkosh Corp. | 1,557,161 | ||||
9,839 | Proto Labs, Inc. (a) | 1,161,789 | ||||
14,235 | Rexnord Corp. | 456,659 | ||||
11,549 | Snap-on, Inc. | 1,819,314 | ||||
39,173 | Timken (The) Co. | 2,338,628 | ||||
20,241 | Toro (The) Co. | 1,661,786 | ||||
15,899 | Woodward, Inc. | 1,264,765 | ||||
21,146,545 | ||||||
Media — 1.2% | ||||||
97,561 | Discovery, Inc., Class A (a) | 1,974,635 | ||||
73,165 | DISH Network Corp., Class A (a) | 1,864,976 | ||||
50,964 | Interpublic Group of (The) Cos., Inc. | 921,939 | ||||
19,855 | New York Times (The) Co., Class A | 787,449 | ||||
18,893 | Nexstar Media Group, Inc., Class A | 1,556,783 | ||||
7,105,782 | ||||||
Metals & Mining — 1.1% | ||||||
418,096 | Hecla Mining Co. | 1,914,880 | ||||
20,814 | Reliance Steel & Aluminum Co. | 2,268,518 | ||||
74,186 | Steel Dynamics, Inc. | 2,335,375 | ||||
6,518,773 | ||||||
Mortgage Real Estate Investment Trusts — 0.3% | ||||||
19,335 | Blackstone Mortgage Trust, Inc., Class A | 419,570 | ||||
84,452 | Starwood Property Trust, Inc. | 1,179,794 | ||||
1,599,364 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Multiline Retail — 0.6% | ||||||
91,697 | Kohl’s Corp. | $ | 1,952,229 | |||
14,588 | Ollie’s Bargain Outlet Holdings, Inc. (a) | 1,270,469 | ||||
3,222,698 | ||||||
Multi-Utilities — 1.1% | ||||||
31,764 | Black Hills Corp. | 1,799,748 | ||||
94,395 | MDU Resources Group, Inc. | 2,242,825 | ||||
19,308 | NiSource, Inc. | 443,505 | ||||
34,932 | NorthWestern Corp. | 1,821,005 | ||||
6,307,083 | ||||||
Oil, Gas & Consumable Fuels — 0.7% | ||||||
237,310 | Antero Midstream Corp. | 1,359,786 | ||||
64,654 | HollyFrontier Corp. | 1,196,746 | ||||
415,438 | Marathon Oil Corp. | 1,645,134 | ||||
4,201,666 | ||||||
Personal Products — 0.3% | ||||||
36,424 | Herbalife Nutrition Ltd. (a) | 1,644,179 | ||||
Pharmaceuticals — 1.1% | ||||||
5,959 | Jazz Pharmaceuticals PLC (a) | 858,692 | ||||
143,219 | Mylan N.V. (a) | 2,082,404 | ||||
9,347 | MyoKardia, Inc. (a) | 2,089,335 | ||||
37,010 | Perrigo Co. PLC | 1,623,629 | ||||
6,654,060 | ||||||
Professional Services — 1.2% | ||||||
20,051 | ASGN, Inc. (a) | 1,337,001 | ||||
18,833 | CoreLogic, Inc. | 1,448,823 | ||||
4,009 | FTI Consulting, Inc. (a) | 394,726 | ||||
6,487 | Insperity, Inc. | 496,775 | ||||
11,584 | ManpowerGroup, Inc. | 786,206 | ||||
16,048 | Robert Half International, Inc. | 813,473 | ||||
21,484 | TriNet Group, Inc. (a) | 1,480,677 | ||||
6,757,681 | ||||||
Real Estate Management & Development — 0.8% | ||||||
7,376 | Howard Hughes (The) Corp. (a) | 458,713 | ||||
22,202 | Jones Lang LaSalle, Inc. | 2,505,718 | ||||
42,540 | Redfin Corp. (a) | 1,776,896 | ||||
4,741,327 | ||||||
Road & Rail — 1.3% | ||||||
4,774 | AMERCO | 1,657,342 | ||||
52,185 | Knight-Swift Transportation Holdings, Inc. | 1,982,508 | ||||
3,387 | Landstar System, Inc. | 422,359 | ||||
13,471 | Saia, Inc. (a) | 1,989,128 | ||||
40,464 | Werner Enterprises, Inc. | 1,538,441 | ||||
7,589,778 | ||||||
First Trust Mid Cap Core AlphaDEX® Fund (FNX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Semiconductors & Semiconductor Equipment — 3.3% | ||||||
20,248 | Advanced Energy Industries, Inc. (a) | $ | 1,366,133 | |||
189,636 | Amkor Technology, Inc. (a) | 2,247,187 | ||||
9,182 | Brooks Automation, Inc. | 428,799 | ||||
12,597 | Cirrus Logic, Inc. (a) | 867,555 | ||||
5,950 | CMC Materials, Inc. | 846,031 | ||||
6,665 | Cree, Inc. (a) | 423,894 | ||||
15,051 | Diodes, Inc. (a) | 870,399 | ||||
25,716 | Enphase Energy, Inc. (a) | 2,522,482 | ||||
22,858 | Entegris, Inc. | 1,709,093 | ||||
6,416 | First Solar, Inc. (a) | 558,481 | ||||
7,569 | Inphi Corp. (a) | 1,057,843 | ||||
29,335 | Lattice Semiconductor Corp. (a) | 1,023,792 | ||||
24,979 | MACOM Technology Solutions Holdings, Inc. (a) | 911,734 | ||||
7,777 | MKS Instruments, Inc. | 842,949 | ||||
19,583 | ON Semiconductor Corp. (a) | 491,337 | ||||
7,668 | Power Integrations, Inc. | 461,690 | ||||
8,021 | Semtech Corp. (a) | 440,273 | ||||
15,847 | Synaptics, Inc. (a) | 1,214,989 | ||||
4,701 | Universal Display Corp. | 932,255 | ||||
19,216,916 | ||||||
Software — 7.3% | ||||||
37,637 | 2U, Inc. (a) | 1,386,923 | ||||
16,258 | ACI Worldwide, Inc. (a) | 474,246 | ||||
15,378 | Alarm.com Holdings, Inc. (a) | 896,999 | ||||
3,741 | Alteryx, Inc., Class A (a) | 468,934 | ||||
33,940 | Anaplan, Inc. (a) | 1,878,579 | ||||
6,710 | Aspen Technology, Inc. (a) | 736,825 | ||||
18,957 | Blackline, Inc. (a) | 1,851,720 | ||||
24,468 | Box, Inc., Class A (a) | 379,254 | ||||
9,745 | CDK Global, Inc. | 420,009 | ||||
78,015 | Cloudera, Inc. (a) | 758,306 | ||||
41,382 | Cloudflare, Inc., Class A (a) | 2,150,623 | ||||
15,747 | Elastic N.V. (a) | 1,596,903 | ||||
16,515 | Envestnet, Inc. (a) | 1,267,361 | ||||
3,380 | Everbridge, Inc. (a) | 353,852 | ||||
34,409 | FireEye, Inc. (a) | 476,221 | ||||
13,103 | Five9, Inc. (a) | 1,987,987 | ||||
6,137 | J2 Global, Inc. (a) | 416,580 | ||||
32,682 | LivePerson, Inc. (a) | 1,747,180 | ||||
8,898 | Manhattan Associates, Inc. (a) | 760,779 | ||||
30,984 | Medallia, Inc. (a) | 881,495 | ||||
27,161 | Mimecast Ltd. (a) | 1,037,822 | ||||
7,538 | New Relic, Inc. (a) | 457,255 | ||||
38,395 | Nuance Communications, Inc. (a) | 1,225,184 | ||||
19,152 | Nutanix, Inc., Class A (a) | 466,160 | ||||
10,527 | Paylocity Holding Corp. (a) | 1,952,969 | ||||
14,037 | Pegasystems, Inc. | 1,626,608 | ||||
40,831 | Ping Identity Holding Corp. (a) | 1,130,610 | ||||
10,271 | PTC, Inc. (a) | 861,531 | ||||
13,965 | Q2 Holdings, Inc. (a) | 1,274,167 | ||||
4,334 | Qualys, Inc. (a) | 380,742 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
27,747 | Rapid7, Inc. (a) | $ | 1,718,372 | |||
53,677 | Sailpoint Technologies Holdings, Inc. (a) | 2,228,132 | ||||
17,190 | Smartsheet, Inc., Class A (a) | 856,921 | ||||
41,769 | SolarWinds Corp. (a) | 853,341 | ||||
16,366 | SPS Commerce, Inc. (a) | 1,400,766 | ||||
38,424 | SVMK, Inc. (a) | 804,214 | ||||
56,264 | Tenable Holdings, Inc. (a) | 1,919,165 | ||||
11,042 | Varonis Systems, Inc. (a) | 1,276,124 | ||||
8,815 | Verint Systems, Inc. (a) | 427,704 | ||||
42,788,563 | ||||||
Specialty Retail — 2.8% | ||||||
32,103 | AutoNation, Inc. (a) | 1,821,203 | ||||
22,016 | Dick’s Sporting Goods, Inc. | 1,247,207 | ||||
10,033 | Five Below, Inc. (a) | 1,337,800 | ||||
28,395 | Floor & Decor Holdings, Inc., Class A (a) | 2,072,835 | ||||
51,441 | Foot Locker, Inc. | 1,897,144 | ||||
3,728 | Lithia Motors, Inc., Class A | 855,837 | ||||
16,559 | Murphy USA, Inc. (a) | 2,025,000 | ||||
26,738 | Penske Automotive Group, Inc. | 1,367,916 | ||||
5,551 | RH (a) | 1,860,862 | ||||
23,484 | Williams-Sonoma, Inc. | 2,141,976 | ||||
16,627,780 | ||||||
Technology Hardware, Storage & Peripherals — 0.4% | ||||||
27,600 | Pure Storage, Inc., Class A (a) | 444,360 | ||||
113,156 | Xerox Holdings Corp. | 1,966,651 | ||||
2,411,011 | ||||||
Textiles, Apparel & Luxury Goods — 1.2% | ||||||
4,907 | Carter’s, Inc. | 399,675 | ||||
9,768 | Columbia Sportswear Co. | 728,595 | ||||
7,724 | Deckers Outdoor Corp. (a) | 1,957,030 | ||||
134,853 | Hanesbrands, Inc. | 2,167,088 | ||||
12,499 | Ralph Lauren Corp. | 835,558 | ||||
28,111 | Skechers U.S.A., Inc., Class A (a) | 891,400 | ||||
6,979,346 | ||||||
Thrifts & Mortgage Finance — 1.9% | ||||||
57,387 | Essent Group Ltd. | 2,286,872 | ||||
239,720 | MGIC Investment Corp. | 2,411,583 | ||||
205,458 | New York Community Bancorp, Inc. | 1,707,356 | ||||
36,544 | PennyMac Financial Services, Inc. | 1,857,166 | ||||
145,377 | Radian Group, Inc. | 2,609,517 | ||||
10,872,494 | ||||||
Trading Companies & Distributors — 1.6% | ||||||
72,193 | Air Lease Corp. | 1,966,537 |
First Trust Mid Cap Core AlphaDEX® Fund (FNX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Trading Companies & Distributors (Continued) | ||||||
41,201 | HD Supply Holdings, Inc. (a) | $ | 1,642,272 | |||
26,852 | MSC Industrial Direct Co., Inc., Class A | 1,870,510 | ||||
13,934 | SiteOne Landscape Supply, Inc. (a) | 1,664,974 | ||||
50,331 | Univar Solutions, Inc. (a) | 834,991 | ||||
7,296 | Watsco, Inc. | 1,635,326 | ||||
9,614,610 | ||||||
Transportation Infrastructure — 0.3% | ||||||
63,189 | Macquarie Infrastructure Corp. | 1,630,276 | ||||
Total Common Stocks — 100.0% | 586,588,555 | |||||
(Cost $558,833,676) | ||||||
Money Market Funds — 0.2% | ||||||
793,754 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 793,754 | ||||
394,835 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 394,835 | ||||
Total Money Market Funds — 0.2% | 1,188,589 | |||||
(Cost $1,188,589) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 0.8% | |||||||
$ | 4,553,955 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $4,553,974. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $4,642,391. (d) | 4,553,955 | ||||
(Cost $4,553,955) | |||||||
Total Investments — 101.0% | 592,331,099 | ||||||
(Cost $564,576,220) (e) | |||||||
Net Other Assets and Liabilities — (1.0)% | (5,476,416 | ) | |||||
Net Assets — 100.0% | $ | 586,854,683 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $4,687,453 and the total value of the collateral held by the Fund is $5,347,709. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $62,033,422 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $34,278,543. The net unrealized appreciation was $27,754,879. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 586,588,555 | $ | — | $ | — | ||||||
Money Market Funds | 1,188,589 | — | — | |||||||||
Repurchase Agreements | — | 4,553,955 | — | |||||||||
Total Investments | $ | 587,777,144 | $ | 4,553,955 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Small Cap Core AlphaDEX® Fund (FYX) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Aerospace & Defense — 0.8% | ||||||
4,521 | AeroVironment, Inc. (a) | $ | 345,224 | |||
20,870 | Kaman Corp. | 827,704 | ||||
28,122 | Kratos Defense & Security Solutions, Inc. (a) | 531,225 | ||||
43,482 | Maxar Technologies, Inc. | 1,120,531 | ||||
12,806 | Moog, Inc., Class A | 798,966 | ||||
3,623,650 | ||||||
Air Freight & Logistics — 1.0% | ||||||
54,093 | Air Transport Services Group, Inc. (a) | 1,516,768 | ||||
22,261 | Atlas Air Worldwide Holdings, Inc. (a) | 1,316,961 | ||||
9,450 | Forward Air Corp. | 595,066 | ||||
21,604 | Hub Group, Inc., Class A (a) | 1,083,008 | ||||
4,511,803 | ||||||
Airlines — 0.6% | ||||||
2,261 | Allegiant Travel Co. | 304,692 | ||||
45,397 | SkyWest, Inc. | 1,317,875 | ||||
67,352 | Spirit Airlines, Inc. (a) (b) | 1,183,375 | ||||
2,805,942 | ||||||
Auto Components — 1.1% | ||||||
46,987 | American Axle & Manufacturing Holdings, Inc. (a) | 315,753 | ||||
34,207 | Cooper Tire & Rubber Co. | 1,176,379 | ||||
88,020 | Dana, Inc. | 1,231,400 | ||||
6,630 | Gentherm, Inc. (a) | 306,903 | ||||
14,143 | Patrick Industries, Inc. | 788,472 | ||||
12,143 | Standard Motor Products, Inc. | 556,149 | ||||
32,175 | Workhorse Group, Inc. (a) (b) | 494,851 | ||||
4,869,907 | ||||||
Automobiles — 0.2% | ||||||
15,737 | Winnebago Industries, Inc. | 738,852 | ||||
Banks — 14.1% | ||||||
35,165 | 1st Source Corp. | 1,177,676 | ||||
47,605 | Ameris Bancorp | 1,394,826 | ||||
107,409 | Associated Banc-Corp. | 1,470,429 | ||||
50,744 | Atlantic Union Bankshares Corp. | 1,283,316 | ||||
13,278 | BancFirst Corp. | 590,207 | ||||
55,953 | BancorpSouth Bank | 1,309,860 | ||||
10,736 | Bank of Hawaii Corp. | 651,031 | ||||
49,496 | BankUnited, Inc. | 1,249,774 | ||||
33,613 | Banner Corp. | 1,239,311 | ||||
62,526 | Cathay General Bancorp | 1,471,237 | ||||
15,311 | CIT Group, Inc. | 450,909 | ||||
45,465 | Columbia Banking System, Inc. | 1,291,661 | ||||
48,909 | CVB Financial Corp. | 855,907 | ||||
50,598 | Eagle Bancorp, Inc. | 1,513,892 | ||||
199,932 | F.N.B. Corp. | 1,511,486 | ||||
21,585 | FB Financial Corp. | 636,757 | ||||
207,746 | First BanCorp | 1,348,272 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
68,249 | First Busey Corp. | $ | 1,227,800 | |||
112,917 | First Financial Bancorp | 1,614,713 | ||||
74,945 | First Hawaiian, Inc. | 1,293,551 | ||||
25,539 | First Interstate BancSystem, Inc., Class A | 901,527 | ||||
58,530 | First Merchants Corp. | 1,528,218 | ||||
125,744 | First Midwest Bancorp, Inc. | 1,578,087 | ||||
116,230 | Fulton Financial Corp. | 1,277,368 | ||||
14,409 | Hancock Whitney Corp. | 329,534 | ||||
36,150 | Heartland Financial USA, Inc. | 1,190,781 | ||||
65,864 | Hilltop Holdings, Inc. | 1,502,358 | ||||
178,717 | Hope Bancorp, Inc. | 1,442,246 | ||||
24,546 | Independent Bank Group, Inc. | 1,266,083 | ||||
41,610 | International Bancshares Corp. | 1,151,765 | ||||
149,370 | Investors Bancorp, Inc. | 1,263,670 | ||||
10,329 | National Bank Holdings Corp., Class A | 311,419 | ||||
30,325 | NBT Bancorp, Inc. | 830,299 | ||||
79,215 | OceanFirst Financial Corp. | 1,185,849 | ||||
86,341 | Old National Bancorp | 1,207,047 | ||||
13,461 | Pacific Premier Bancorp, Inc. | 343,256 | ||||
6,618 | Park National Corp. | 606,540 | ||||
35,797 | Renasant Corp. | 1,020,572 | ||||
30,649 | S&T Bancorp, Inc. | 606,544 | ||||
23,494 | Sandy Spring Bancorp, Inc. | 595,573 | ||||
45,109 | Seacoast Banking Corp. of Florida (a) | 968,941 | ||||
7,968 | ServisFirst Bancshares, Inc. | 294,019 | ||||
85,495 | Simmons First National Corp., Class A | 1,452,560 | ||||
33,291 | Southside Bancshares, Inc. | 897,525 | ||||
128,851 | Sterling Bancorp | 1,724,026 | ||||
7,965 | Stock Yards Bancorp, Inc. | 304,422 | ||||
26,129 | Texas Capital Bancshares, Inc. (a) | 1,175,805 | ||||
9,548 | Tompkins Financial Corp. | 534,593 | ||||
82,654 | TowneBank | 1,502,650 | ||||
44,277 | TriCo Bancshares | 1,280,934 | ||||
50,654 | Trustmark Corp. | 1,184,797 | ||||
16,593 | UMB Financial Corp. | 1,010,016 | ||||
25,531 | Umpqua Holdings Corp. | 320,669 | ||||
64,053 | United Community Banks, Inc. | 1,341,270 | ||||
31,837 | Veritex Holdings, Inc. | 628,144 | ||||
41,063 | Webster Financial Corp. | 1,322,639 | ||||
38,073 | WesBanco, Inc. | 924,793 | ||||
27,076 | Wintrust Financial Corp. | 1,332,951 | ||||
61,922,105 | ||||||
Beverages — 0.1% | ||||||
1,129 | Coca-Cola Consolidated, Inc. | 258,485 | ||||
Biotechnology — 3.1% | ||||||
41,079 | Altimmune, Inc. (a) (b) | 470,355 | ||||
12,635 | Arcturus Therapeutics Holdings, Inc. (a) | 683,301 | ||||
15,818 | Arcus Biosciences, Inc. (a) | 344,832 |
First Trust Small Cap Core AlphaDEX® Fund (FYX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Biotechnology (Continued) | ||||||
44,811 | Athenex, Inc. (a) | $ | 510,845 | |||
28,580 | CareDx, Inc. (a) | 1,401,849 | ||||
29,565 | Coherus Biosciences, Inc. (a) | 492,849 | ||||
12,525 | Cytokinetics, Inc. (a) | 192,509 | ||||
15,130 | Denali Therapeutics, Inc. (a) | 647,261 | ||||
15,071 | Dicerna Pharmaceuticals, Inc. (a) | 316,340 | ||||
19,326 | Editas Medicine, Inc. (a) | 597,947 | ||||
7,291 | Esperion Therapeutics, Inc. (a) (b) | 218,511 | ||||
27,271 | Intellia Therapeutics, Inc. (a) | 652,868 | ||||
30,141 | Ironwood Pharmaceuticals, Inc. (a) | 297,793 | ||||
18,572 | Karyopharm Therapeutics, Inc. (a) | 275,237 | ||||
32,285 | MacroGenics, Inc. (a) | 626,652 | ||||
14,556 | Mersana Therapeutics, Inc. (a) | 262,299 | ||||
39,090 | NantKwest, Inc. (a) (b) | 293,566 | ||||
14,684 | Retrophin, Inc. (a) | 297,204 | ||||
86,066 | Sangamo Therapeutics, Inc. (a) | 889,923 | ||||
72,942 | Sorrento Therapeutics, Inc. (a) (b) | 506,218 | ||||
30,396 | TG Therapeutics, Inc. (a) | 768,107 | ||||
39,836 | Translate Bio, Inc. (a) | 511,096 | ||||
17,846 | Twist Bioscience Corp. (a) | 1,367,717 | ||||
16,690 | Veracyte, Inc. (a) | 578,475 | ||||
6,987 | Xencor, Inc. (a) | 268,161 | ||||
13,471,915 | ||||||
Building Products — 1.2% | ||||||
13,804 | American Woodmark Corp. (a) | 1,140,349 | ||||
7,015 | CSW Industrials, Inc. | 599,993 | ||||
16,651 | Gibraltar Industries, Inc. (a) | 956,600 | ||||
55,496 | Griffon Corp. | 1,189,834 | ||||
11,995 | JELD-WEN Holding, Inc. (a) | 252,255 | ||||
61,899 | PGT Innovations, Inc. (a) | 1,026,285 | ||||
24,649 | Resideo Technologies, Inc. (a) | 248,462 | ||||
5,413,778 | ||||||
Capital Markets — 2.7% | ||||||
20,860 | Artisan Partners Asset Management, Inc., Class A | 835,651 | ||||
225,925 | BGC Partners, Inc., Class A | 666,479 | ||||
84,061 | Brightsphere Investment Group, Inc. | 1,160,042 | ||||
16,566 | Evercore, Inc., Class A | 1,317,660 | ||||
33,074 | Focus Financial Partners, Inc., Class A (a) | 1,207,532 | ||||
15,428 | Moelis & Co., Class A | 573,921 | ||||
7,426 | Piper Sandler Cos. | 619,700 | ||||
22,363 | PJT Partners, Inc., Class A | 1,513,080 | ||||
26,495 | StoneX Group, Inc. (a) | 1,403,705 | ||||
5,869 | Virtus Investment Partners, Inc. | 936,399 | ||||
91,280 | Waddell & Reed Financial, Inc., Class A | 1,401,148 | ||||
11,635,317 | ||||||
Chemicals — 2.1% | ||||||
20,494 | Avient Corp. | 636,749 | ||||
15,051 | Cabot Corp. | 572,088 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Chemicals (Continued) | ||||||
25,881 | GCP Applied Technologies, Inc. (a) | $ | 564,465 | |||
17,765 | H.B. Fuller Co. | 803,866 | ||||
16,449 | Ingevity Corp. (a) | 902,721 | ||||
8,564 | Innospec, Inc. | 566,423 | ||||
30,221 | Livent Corp. (a) | 324,876 | ||||
21,225 | Minerals Technologies, Inc. | 1,160,795 | ||||
65,695 | Olin Corp. | 1,087,252 | ||||
132,116 | PQ Group Holdings, Inc. (a) | 1,527,261 | ||||
4,697 | Sensient Technologies Corp. | 307,325 | ||||
4,977 | Stepan Co. | 579,522 | ||||
9,033,343 | ||||||
Commercial Services & Supplies — 1.4% | ||||||
7,395 | ABM Industries, Inc. | 256,754 | ||||
47,565 | BrightView Holdings, Inc. (a) | 581,720 | ||||
34,984 | Covanta Holding Corp. | 317,655 | ||||
25,182 | Healthcare Services Group, Inc. | 576,164 | ||||
8,991 | Herman Miller, Inc. | 273,956 | ||||
25,917 | HNI Corp. | 843,598 | ||||
37,656 | KAR Auction Services, Inc. | 548,271 | ||||
18,198 | McGrath RentCorp | 1,038,742 | ||||
134,081 | Steelcase, Inc., Class A | 1,399,806 | ||||
8,297 | US Ecology, Inc. | 253,225 | ||||
6,089,891 | ||||||
Communications Equipment — 1.6% | ||||||
76,242 | Calix, Inc. (a) | 1,784,825 | ||||
90,369 | CommScope Holding Co., Inc. (a) | 804,284 | ||||
32,677 | EchoStar Corp., Class A (a) | 756,799 | ||||
176,040 | Infinera Corp. (a) | 1,102,011 | ||||
52,538 | Inseego Corp. (a) (b) | 457,081 | ||||
9,500 | InterDigital, Inc. | 531,810 | ||||
8,793 | NETGEAR, Inc. (a) | 271,000 | ||||
24,839 | NetScout Systems, Inc. (a) | 509,696 | ||||
23,651 | ViaSat, Inc. (a) | 801,769 | ||||
7,019,275 | ||||||
Construction & Engineering — 1.4% | ||||||
40,582 | Ameresco, Inc., Class A (a) | 1,557,943 | ||||
24,593 | Arcosa, Inc. | 1,135,459 | ||||
26,317 | Comfort Systems USA, Inc. | 1,205,319 | ||||
10,262 | Dycom Industries, Inc. (a) | 666,414 | ||||
76,979 | Granite Construction, Inc. | 1,486,464 | ||||
6,051,599 | ||||||
Construction Materials — 0.6% | ||||||
114,685 | Forterra, Inc. (a) | 1,496,639 | ||||
65,562 | Summit Materials, Inc., Class A (a) | 1,159,792 | ||||
2,656,431 | ||||||
Consumer Finance — 1.2% | ||||||
35,130 | Encore Capital Group, Inc. (a) | 1,121,701 |
First Trust Small Cap Core AlphaDEX® Fund (FYX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Consumer Finance (Continued) | ||||||
14,215 | FirstCash, Inc. | $ | 739,748 | |||
128,336 | Navient Corp. | 1,027,971 | ||||
9,001 | Nelnet, Inc., Class A | 549,421 | ||||
20,361 | PRA Group, Inc. (a) | 694,921 | ||||
100,535 | SLM Corp. | 923,917 | ||||
5,057,679 | ||||||
Containers & Packaging — 0.5% | ||||||
29,951 | Greif, Inc., Class A | 1,215,711 | ||||
102,398 | O-I Glass, Inc. | 965,613 | ||||
2,181,324 | ||||||
Distributors — 0.1% | ||||||
18,745 | Core-Mark Holding Co., Inc. | 512,676 | ||||
Diversified Consumer Services — 1.1% | ||||||
55,241 | Adtalem Global Education, Inc. (a) | 1,294,849 | ||||
3,357 | Graham Holdings Co., Class B | 1,276,801 | ||||
30,879 | K12, Inc. (a) | 737,082 | ||||
20,414 | Laureate Education, Inc., Class A (a) | 265,382 | ||||
110,747 | Perdoceo Education Corp. (a) | 1,250,334 | ||||
4,824,448 | ||||||
Diversified Telecommunication Services — 0.3% | ||||||
10,813 | ATN International, Inc. | 483,341 | ||||
99,919 | Liberty Latin America Ltd., Class C (a) | 971,213 | ||||
1,454,554 | ||||||
Electric Utilities — 0.2% | ||||||
22,486 | Otter Tail Corp. | 862,338 | ||||
Electrical Equipment — 1.6% | ||||||
47,712 | Atkore International Group, Inc. (a) | 987,161 | ||||
23,836 | AZZ, Inc. | 800,651 | ||||
60,346 | Bloom Energy Corp., Class A (a) | 762,774 | ||||
23,362 | Encore Wire Corp. | 1,079,558 | ||||
80,868 | Plug Power, Inc. (a) | 1,132,152 | ||||
46,810 | TPI Composites, Inc. (a) | 1,550,347 | ||||
6,974 | Vicor Corp. (a) | 543,972 | ||||
6,856,615 | ||||||
Electronic Equipment, Instruments & Components — 2.6% | ||||||
8,294 | Badger Meter, Inc. | 608,282 | ||||
11,110 | ePlus, Inc. (a) | 750,036 | ||||
8,891 | FARO Technologies, Inc. (a) | 535,594 | ||||
14,373 | Insight Enterprises, Inc. (a) | 766,799 | ||||
36,390 | Knowles Corp. (a) | 518,557 | ||||
47,565 | Methode Electronics, Inc. | 1,463,575 | ||||
34,637 | nLight, Inc. (a) | 735,690 | ||||
10,481 | OSI Systems, Inc. (a) | 808,714 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Electronic Equipment, Instruments & Components (Continued) | ||||||
19,809 | PC Connection, Inc. | $ | 902,300 | |||
15,355 | Plexus Corp. (a) | 1,067,787 | ||||
2,767 | Rogers Corp. (a) | 335,416 | ||||
40,089 | Sanmina Corp. (a) | 979,775 | ||||
71,282 | TTM Technologies, Inc. (a) | 846,117 | ||||
52,235 | Vishay Intertechnology, Inc. | 847,252 | ||||
11,165,894 | ||||||
Energy Equipment & Services — 0.5% | ||||||
151,173 | Archrock, Inc. | 896,456 | ||||
28,255 | Cactus, Inc., Class A | 480,335 | ||||
10,949 | Dril-Quip, Inc. (a) | 283,579 | ||||
37,009 | Helmerich & Payne, Inc. | 550,324 | ||||
2,210,694 | ||||||
Entertainment — 0.3% | ||||||
27,108 | Cinemark Holdings, Inc. (b) | 222,014 | ||||
35,325 | Glu Mobile, Inc. (a) | 252,927 | ||||
11,873 | Madison Square Garden Entertainment Corp. (a) | 771,745 | ||||
6,697 | World Wrestling Entertainment, Inc., Class A | 243,503 | ||||
1,490,189 | ||||||
Equity Real Estate Investment Trusts — 6.6% | ||||||
129,098 | Acadia Realty Trust | 1,204,484 | ||||
24,187 | Alexander & Baldwin, Inc. | 310,803 | ||||
172,959 | American Finance Trust, Inc. | 997,109 | ||||
56,425 | Apple Hospitality REIT, Inc. | 558,607 | ||||
78,658 | Brandywine Realty Trust | 689,044 | ||||
15,235 | CareTrust REIT, Inc. | 260,519 | ||||
49,698 | Columbia Property Trust, Inc. | 525,805 | ||||
11,593 | Community Healthcare Trust, Inc. | 536,756 | ||||
169,443 | CoreCivic, Inc. | 1,086,130 | ||||
267,364 | DiamondRock Hospitality Co. | 1,320,778 | ||||
308,075 | Diversified Healthcare Trust | 891,877 | ||||
12,099 | Easterly Government Properties, Inc. | 252,869 | ||||
177,192 | Empire State Realty Trust, Inc., Class A | 953,293 | ||||
29,575 | EPR Properties | 705,068 | ||||
14,798 | Essential Properties Realty Trust, Inc. | 244,463 | ||||
21,187 | Four Corners Property Trust, Inc. | 536,879 | ||||
119,534 | GEO Group (The), Inc. | 1,059,071 | ||||
17,048 | Global Net Lease, Inc. | 242,593 | ||||
23,390 | Independence Realty Trust, Inc. (b) | 284,189 | ||||
37,185 | Industrial Logistics Properties Trust | 713,208 | ||||
8,737 | Innovative Industrial Properties, Inc. | 1,018,996 | ||||
70,236 | Kite Realty Group Trust | 727,645 |
First Trust Small Cap Core AlphaDEX® Fund (FYX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Equity Real Estate Investment Trusts (Continued) | ||||||
199,637 | Macerich (The) Co. (b) | $ | 1,389,474 | |||
19,572 | Monmouth Real Estate Investment Corp. | 271,072 | ||||
8,288 | National Storage Affiliates Trust | 280,880 | ||||
24,449 | NexPoint Residential Trust, Inc. | 1,083,580 | ||||
18,633 | Outfront Media, Inc. | 244,279 | ||||
114,877 | Paramount Group, Inc. | 663,989 | ||||
86,545 | Pebblebrook Hotel Trust | 1,036,809 | ||||
78,091 | Retail Opportunity Investments Corp. | 759,825 | ||||
186,647 | Retail Properties of America, Inc., Class A | 978,030 | ||||
62,609 | RLJ Lodging Trust | 512,142 | ||||
8,731 | Safehold, Inc. | 600,867 | ||||
170,507 | Service Properties Trust | 1,229,355 | ||||
188,268 | SITE Centers Corp. | 1,282,105 | ||||
77,202 | Uniti Group, Inc. | 680,922 | ||||
139,458 | Urban Edge Properties | 1,310,905 | ||||
79,922 | Weingarten Realty Investors | 1,267,563 | ||||
30,879 | Xenia Hotels & Resorts, Inc. | 254,443 | ||||
28,966,426 | ||||||
Food & Staples Retailing — 0.7% | ||||||
8,158 | PriceSmart, Inc. | 562,902 | ||||
28,566 | Rite Aid Corp. (a) (b) | 261,093 | ||||
72,926 | United Natural Foods, Inc. (a) | 1,062,532 | ||||
28,241 | Weis Markets, Inc. | 1,282,424 | ||||
3,168,951 | ||||||
Food Products — 1.0% | ||||||
48,813 | B&G Foods, Inc. (b) | 1,296,473 | ||||
14,135 | Cal-Maine Foods, Inc. (a) | 542,077 | ||||
47,314 | Fresh Del Monte Produce, Inc. | 1,018,671 | ||||
43,973 | Hostess Brands, Inc. (a) | 555,819 | ||||
2,079 | J & J Snack Foods Corp. | 281,850 | ||||
2,302 | Sanderson Farms, Inc. | 294,587 | ||||
12,294 | Simply Good Foods (The) Co. (a) | 231,127 | ||||
6,687 | TreeHouse Foods, Inc. (a) | 259,723 | ||||
4,480,327 | ||||||
Gas Utilities — 0.1% | ||||||
6,428 | Chesapeake Utilities Corp. | 624,866 | ||||
Health Care Equipment & Supplies — 2.8% | ||||||
8,160 | Avanos Medical, Inc. (a) | 288,456 | ||||
26,561 | Axonics Modulation Technologies, Inc. (a) (b) | 1,245,445 | ||||
6,172 | Cantel Medical Corp. | 295,269 | ||||
6,893 | Cardiovascular Systems, Inc. (a) | 245,736 | ||||
43,309 | Cerus Corp. (a) | 227,372 | ||||
28,595 | CryoPort, Inc. (a) | 1,147,803 | ||||
76,365 | GenMark Diagnostics, Inc. (a) | 933,180 | ||||
5,474 | Glaukos Corp. (a) | 306,106 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Equipment & Supplies (Continued) | ||||||
5,488 | Heska Corp. (a) | $ | 643,907 | |||
9,187 | Integer Holdings Corp. (a) | 536,980 | ||||
21,400 | Lantheus Holdings, Inc. (a) | 232,404 | ||||
47,900 | Meridian Bioscience, Inc. (a) | 821,485 | ||||
12,463 | Merit Medical Systems, Inc. (a) | 623,773 | ||||
1,063 | Mesa Laboratories, Inc. | 277,879 | ||||
22,280 | OraSure Technologies, Inc. (a) | 332,863 | ||||
5,905 | OrthoPediatrics Corp. (a) | 263,363 | ||||
17,884 | Shockwave Medical, Inc. (a) | 1,221,835 | ||||
20,166 | Silk Road Medical, Inc. (a) | 1,222,060 | ||||
69,635 | SmileDirectClub, Inc. (a) (b) | 619,752 | ||||
18,694 | Vapotherm, Inc. (a) | 559,885 | ||||
12,045,553 | ||||||
Health Care Providers & Services — 3.4% | ||||||
8,604 | Addus HomeCare Corp. (a) | 839,492 | ||||
4,635 | AMN Healthcare Services, Inc. (a) | 302,573 | ||||
11,893 | BioTelemetry, Inc. (a) | 506,404 | ||||
9,517 | CorVel Corp. (a) | 868,141 | ||||
55,557 | Covetrus, Inc. (a) | 1,371,702 | ||||
23,759 | Ensign Group (The), Inc. | 1,397,980 | ||||
17,888 | Magellan Health, Inc. (a) | 1,292,766 | ||||
33,304 | MEDNAX, Inc. (a) | 424,626 | ||||
13,051 | National HealthCare Corp. | 826,128 | ||||
40,553 | Option Care Health, Inc. (a) | 540,571 | ||||
53,984 | Owens & Minor, Inc. | 1,356,078 | ||||
44,986 | Patterson Cos., Inc. | 1,119,027 | ||||
32,943 | PetIQ, Inc. (a) | 940,852 | ||||
8,259 | Premier, Inc., Class A | 270,317 | ||||
79,036 | R1 RCM, Inc. (a) | 1,416,325 | ||||
52,983 | RadNet, Inc. (a) | 768,783 | ||||
26,042 | Select Medical Holdings Corp. (a) | 546,361 | ||||
3,120 | US Physical Therapy, Inc. | 247,510 | ||||
15,035,636 | ||||||
Health Care Technology — 1.7% | ||||||
66,608 | Allscripts Healthcare Solutions, Inc. (a) | 671,409 | ||||
109,232 | Evolent Health, Inc., Class A (a) | 1,085,766 | ||||
22,220 | Health Catalyst, Inc. (a) | 766,146 | ||||
40,997 | Inovalon Holdings, Inc., Class A (a) | 778,533 | ||||
42,562 | NextGen Healthcare, Inc. (a) | 578,843 | ||||
33,750 | Phreesia, Inc. (a) | 1,247,737 | ||||
17,991 | Simulations Plus, Inc. | 1,166,177 | ||||
27,968 | Vocera Communications, Inc. (a) | 916,791 | ||||
7,211,402 | ||||||
Hotels, Restaurants & Leisure — 1.1% | ||||||
12,919 | Hilton Grand Vacations, Inc. (a) | 266,131 | ||||
15,239 | Hyatt Hotels Corp., Class A | 840,279 | ||||
13,670 | Jack in the Box, Inc. | 1,094,420 | ||||
38,832 | Scientific Games Corp. (a) | 1,237,964 |
First Trust Small Cap Core AlphaDEX® Fund (FYX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Hotels, Restaurants & Leisure (Continued) | ||||||
4,201 | Shake Shack, Inc., Class A (a) | $ | 283,652 | |||
13,353 | Six Flags Entertainment Corp. | 288,692 | ||||
17,626 | Wyndham Destinations, Inc. | 575,136 | ||||
4,586,274 | ||||||
Household Durables — 2.0% | ||||||
3,005 | Cavco Industries, Inc. (a) | 517,280 | ||||
32,026 | Century Communities, Inc. (a) | 1,243,890 | ||||
13,322 | Installed Building Products, Inc. (a) | 1,206,174 | ||||
10,712 | iRobot Corp. (a) | 852,461 | ||||
17,143 | La-Z-Boy, Inc. | 586,805 | ||||
29,436 | M/I Homes, Inc. (a) | 1,204,521 | ||||
30,378 | Skyline Champion Corp. (a) | 779,196 | ||||
71,438 | Sonos, Inc. (a) | 1,042,995 | ||||
74,724 | TRI Pointe Group, Inc. (a) | 1,227,715 | ||||
8,661,037 | ||||||
Household Products — 0.3% | ||||||
37,510 | Central Garden & Pet Co., Class A (a) | 1,327,479 | ||||
Independent Power and Renewable Electricity Producers — 0.2% | ||||||
44,572 | Sunnova Energy International, Inc. (a) | 1,072,402 | ||||
Insurance — 3.6% | ||||||
49,311 | American Equity Investment Life Holding Co. | 1,223,899 | ||||
20,075 | American National Group, Inc. | 1,381,160 | ||||
63,108 | Assured Guaranty Ltd. | 1,611,147 | ||||
84,506 | CNO Financial Group, Inc. | 1,499,982 | ||||
3,430 | eHealth, Inc. (a) | 230,187 | ||||
44,811 | Employers Holdings, Inc. | 1,434,400 | ||||
11,249 | FBL Financial Group, Inc., Class A | 558,963 | ||||
12,526 | Goosehead Insurance, Inc., Class A | 1,534,936 | ||||
24,354 | Horace Mann Educators Corp. | 825,844 | ||||
19,660 | Mercury General Corp. | 800,359 | ||||
13,005 | Palomar Holdings, Inc. (a) | 1,159,656 | ||||
17,333 | ProAssurance Corp. | 267,448 | ||||
11,775 | Safety Insurance Group, Inc. | 824,250 | ||||
24,801 | Stewart Information Services Corp. | 1,051,314 | ||||
17,179 | Trupanion, Inc. (a) | 1,228,986 | ||||
15,632,531 | ||||||
Interactive Media & Services — 0.3% | ||||||
73,307 | ANGI Homeservices, Inc., Class A (a) | 777,054 | ||||
14,033 | EverQuote, Inc., Class A (a) | 469,965 | ||||
13,493 | Yelp, Inc. (a) | 265,408 | ||||
1,512,427 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Internet & Direct Marketing Retail — 1.0% | ||||||
54,355 | 1-800-Flowers.com, Inc., Class A (a) | $ | 1,077,860 | |||
56,207 | RealReal (The), Inc. (a) | 707,646 | ||||
20,839 | Shutterstock, Inc. | 1,363,912 | ||||
39,970 | Stitch Fix, Inc., Class A (a) (b) | 1,376,167 | ||||
4,525,585 | ||||||
IT Services — 1.7% | ||||||
6,622 | CSG Systems International, Inc. | 250,841 | ||||
236,157 | Endurance International Group Holdings, Inc. (a) | 1,372,072 | ||||
23,428 | EVERTEC, Inc. | 779,684 | ||||
10,912 | Evo Payments, Inc., Class A (a) | 229,916 | ||||
8,223 | ExlService Holdings, Inc. (a) | 622,810 | ||||
11,809 | ManTech International Corp., Class A | 766,168 | ||||
25,375 | Perficient, Inc. (a) | 993,685 | ||||
31,696 | Sykes Enterprises, Inc. (a) | 1,085,271 | ||||
19,876 | TTEC Holdings, Inc. | 1,088,807 | ||||
28,067 | Verra Mobility Corp. (a) | 269,724 | ||||
7,458,978 | ||||||
Leisure Products — 1.1% | ||||||
56,657 | Callaway Golf Co. | 877,617 | ||||
16,411 | Malibu Boats, Inc., Class A (a) | 834,171 | ||||
87,344 | Smith & Wesson Brands, Inc. | 1,449,037 | ||||
4,433 | Sturm Ruger & Co., Inc. | 296,390 | ||||
67,171 | Vista Outdoor, Inc. (a) | 1,327,971 | ||||
4,785,186 | ||||||
Life Sciences Tools & Services — 0.5% | ||||||
10,329 | Luminex Corp. | 227,651 | ||||
18,195 | NanoString Technologies, Inc. (a) | 666,847 | ||||
32,138 | Quanterix Corp. (a) | 1,176,572 | ||||
2,071,070 | ||||||
Machinery — 3.9% | ||||||
5,020 | Alamo Group, Inc. | 604,057 | ||||
16,427 | Albany International Corp., Class A | 836,792 | ||||
36,667 | Altra Industrial Motion Corp. | 1,567,881 | ||||
19,988 | Astec Industries, Inc. | 1,015,391 | ||||
30,341 | Barnes Group, Inc. | 1,113,515 | ||||
7,715 | Chart Industries, Inc. (a) | 651,532 | ||||
9,612 | EnPro Industries, Inc. | 567,300 | ||||
3,367 | ESCO Technologies, Inc. | 281,784 | ||||
51,107 | Evoqua Water Technologies Corp. (a) | 1,171,884 | ||||
9,271 | Federal Signal Corp. | 265,892 | ||||
9,214 | Franklin Electric Co., Inc. | 550,352 | ||||
18,402 | Gorman-Rupp (The) Co. | 571,382 | ||||
46,109 | Greenbrier (The) Cos., Inc. | 1,244,021 | ||||
7,418 | Kadant, Inc. | 853,960 | ||||
2,804 | Lindsay Corp. | 295,261 |
First Trust Small Cap Core AlphaDEX® Fund (FYX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Machinery (Continued) | ||||||
51,786 | Meritor, Inc. (a) | $ | 1,260,471 | |||
30,054 | Mueller Industries, Inc. | 869,462 | ||||
52,187 | Mueller Water Products, Inc., Class A | 540,657 | ||||
5,849 | SPX Corp. (a) | 247,939 | ||||
4,489 | Tennant Co. | 267,634 | ||||
14,006 | Terex Corp. | 345,808 | ||||
35,670 | TriMas Corp. (a) | 867,851 | ||||
27,806 | Trinity Industries, Inc. | 523,865 | ||||
5,417 | Watts Water Technologies, Inc., Class A | 600,041 | ||||
17,114,732 | ||||||
Marine — 0.2% | ||||||
20,286 | Matson, Inc. | 1,053,858 | ||||
Media — 1.6% | ||||||
43,888 | AMC Networks, Inc., Class A (a) (b) | 932,620 | ||||
11,526 | Cardlytics, Inc. (a) | 850,849 | ||||
23,696 | E.W. Scripps (The) Co., Class A | 215,160 | ||||
98,443 | Gray Television, Inc. (a) | 1,248,257 | ||||
8,551 | John Wiley & Sons, Inc., Class A | 264,739 | ||||
70,493 | Sinclair Broadcast Group, Inc., Class A (b) | 1,309,760 | ||||
24,670 | TechTarget, Inc. (a) | 1,080,546 | ||||
92,291 | TEGNA, Inc. | 1,110,261 | ||||
7,012,192 | ||||||
Metals & Mining — 2.2% | ||||||
23,314 | Alcoa Corp. (a) | 301,217 | ||||
71,156 | Arconic Corp. (a) | 1,546,932 | ||||
183,676 | Coeur Mining, Inc. (a) | 1,298,589 | ||||
40,705 | Commercial Metals Co. | 840,558 | ||||
18,275 | Compass Minerals International, Inc. | 1,103,445 | ||||
15,180 | Kaiser Aluminum Corp. | 955,277 | ||||
10,417 | Materion Corp. | 533,246 | ||||
79,366 | Warrior Met Coal, Inc. | 1,190,490 | ||||
33,242 | Worthington Industries, Inc. | 1,635,839 | ||||
9,405,593 | ||||||
Mortgage Real Estate Investment Trusts — 1.0% | ||||||
60,180 | Apollo Commercial Real Estate Finance, Inc. | 523,566 | ||||
47,274 | Arbor Realty Trust, Inc. | 558,779 | ||||
54,993 | Broadmark Realty Capital, Inc. | 548,280 | ||||
33,064 | Chimera Investment Corp. | 276,084 | ||||
25,651 | Hannon Armstrong Sustainable Infrastructure Capital, Inc. | 1,073,494 | ||||
16,402 | KKR Real Estate Finance Trust, Inc. | 274,078 | ||||
114,228 | Ladder Capital Corp. | 856,710 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Mortgage Real Estate Investment Trusts (Continued) | ||||||
36,053 | Redwood Trust, Inc. | $ | 306,451 | |||
4,417,442 | ||||||
Multiline Retail — 0.3% | ||||||
30,396 | Big Lots, Inc. | 1,446,850 | ||||
Multi-Utilities — 0.2% | ||||||
31,784 | Avista Corp. | 1,055,864 | ||||
Oil, Gas & Consumable Fuels — 2.2% | ||||||
109,491 | CVR Energy, Inc. | 1,205,496 | ||||
73,074 | Delek US Holdings, Inc. | 735,124 | ||||
131,288 | Matador Resources Co. (a) | 928,206 | ||||
151,969 | Murphy Oil Corp. | 1,173,201 | ||||
87,492 | PDC Energy, Inc. (a) | 1,042,905 | ||||
163,813 | Range Resources Corp. | 1,077,889 | ||||
25,377 | Renewable Energy Group, Inc. (a) | 1,431,263 | ||||
230,728 | Southwestern Energy Co. (a) | 616,044 | ||||
63,973 | World Fuel Services Corp. | 1,346,632 | ||||
9,556,760 | ||||||
Paper & Forest Products — 0.7% | ||||||
20,376 | Boise Cascade Co. | 782,031 | ||||
41,279 | Domtar Corp. | 985,743 | ||||
44,607 | Schweitzer-Mauduit International, Inc. | 1,480,952 | ||||
3,248,726 | ||||||
Personal Products — 1.0% | ||||||
29,170 | Edgewell Personal Care Co. (a) | 764,837 | ||||
44,272 | elf Beauty, Inc. (a) | 897,393 | ||||
7,258 | Inter Parfums, Inc. | 298,014 | ||||
8,245 | Medifast, Inc. | 1,158,340 | ||||
16,239 | Nu Skin Enterprises, Inc., Class A | 801,395 | ||||
7,364 | USANA Health Sciences, Inc. (a) | 557,087 | ||||
4,477,066 | ||||||
Pharmaceuticals — 0.9% | ||||||
14,461 | Amphastar Pharmaceuticals, Inc. (a) | 283,291 | ||||
46,730 | Corcept Therapeutics, Inc. (a) | 784,129 | ||||
164,306 | Endo International PLC (a) | 750,879 | ||||
18,038 | Pacira BioSciences, Inc. (a) | 943,387 | ||||
29,773 | Prestige Consumer Healthcare, Inc. (a) | 983,402 | ||||
10,784 | Revance Therapeutics, Inc. (a) | 279,090 | ||||
4,024,178 | ||||||
Professional Services — 0.8% | ||||||
35,559 | CBIZ, Inc. (a) | 806,122 | ||||
6,896 | Huron Consulting Group, Inc. (a) | 261,082 | ||||
13,215 | ICF International, Inc. | 864,129 | ||||
18,694 | Korn Ferry | 564,372 |
First Trust Small Cap Core AlphaDEX® Fund (FYX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Professional Services (Continued) | ||||||
62,177 | Upwork, Inc. (a) | $ | 1,147,166 | |||
3,642,871 | ||||||
Real Estate Management & Development — 1.5% | ||||||
33,601 | eXp World Holdings, Inc. (a) | 1,424,346 | ||||
45,952 | Forestar Group, Inc. (a) | 764,641 | ||||
56,015 | Kennedy-Wilson Holdings, Inc. | 738,278 | ||||
29,555 | Marcus & Millichap, Inc. (a) | 923,003 | ||||
143,595 | Realogy Holdings Corp. (a) | 1,602,520 | ||||
39,427 | St Joe (The) Co. (a) | 1,066,106 | ||||
6,518,894 | ||||||
Road & Rail — 1.2% | ||||||
41,204 | Avis Budget Group, Inc. (a) | 1,387,339 | ||||
58,301 | Heartland Express, Inc. | 1,067,491 | ||||
66,446 | Marten Transport Ltd. | 1,019,614 | ||||
19,253 | Ryder System, Inc. | 948,403 | ||||
32,885 | Schneider National, Inc., Class B | 725,443 | ||||
5,148,290 | ||||||
Semiconductors & Semiconductor Equipment — 1.3% | ||||||
15,693 | ACM Research, Inc., Class A (a) | 1,104,316 | ||||
5,195 | Ambarella, Inc. (a) | 284,011 | ||||
36,969 | Axcelis Technologies, Inc. (a) | 815,906 | ||||
20,661 | CEVA, Inc. (a) | 833,052 | ||||
21,749 | FormFactor, Inc. (a) | 616,584 | ||||
23,333 | MaxLinear, Inc. (a) | 616,925 | ||||
28,980 | PDF Solutions, Inc. (a) | 543,085 | ||||
19,804 | Rambus, Inc. (a) | 273,097 | ||||
25,267 | Ultra Clean Holdings, Inc. (a) | 537,934 | ||||
5,624,910 | ||||||
Software — 3.2% | ||||||
17,436 | 8x8, Inc. (a) | 301,294 | ||||
19,374 | Altair Engineering, Inc., Class A (a) | 833,663 | ||||
3,825 | Appfolio, Inc., Class A (a) | 546,478 | ||||
16,746 | Appian Corp. (a) (b) | 1,060,022 | ||||
89,180 | Avaya Holdings Corp. (a) | 1,533,896 | ||||
6,427 | Bottomline Technologies DE, Inc. (a) | 255,280 | ||||
27,740 | Cerence, Inc. (a) | 1,514,049 | ||||
6,645 | CommVault Systems, Inc. (a) | 263,075 | ||||
41,403 | Digital Turbine, Inc. (a) | 1,186,610 | ||||
35,364 | Domo, Inc., Class B (a) | 1,123,514 | ||||
1,799 | MicroStrategy, Inc., Class A (a) | 300,559 | ||||
15,369 | Model N, Inc. (a) | 541,450 | ||||
12,931 | OneSpan, Inc. (a) | 283,577 | ||||
19,999 | PagerDuty, Inc. (a) (b) | 541,973 | ||||
31,653 | Pluralsight, Inc., Class A (a) | 496,952 | ||||
7,391 | Progress Software Corp. | 268,811 | ||||
23,889 | Teradata Corp. (a) | 438,841 | ||||
21,574 | Upland Software, Inc. (a) | 900,067 | ||||
14,589 | Workiva, Inc. (a) | 806,918 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
35,722 | Yext, Inc. (a) | $ | 592,271 | |||
13,789,300 | ||||||
Specialty Retail — 3.0% | ||||||
8,343 | Asbury Automotive Group, Inc. (a) | 859,162 | ||||
91,221 | At Home Group, Inc. (a) | 1,485,990 | ||||
53,186 | Buckle (The), Inc. | 1,274,337 | ||||
45,563 | Camping World Holdings, Inc., Class A | 1,204,686 | ||||
12,269 | Group 1 Automotive, Inc. | 1,301,495 | ||||
140,395 | Michaels (The) Cos., Inc. (a) | 1,138,603 | ||||
13,362 | Monro, Inc. | 562,006 | ||||
28,360 | National Vision Holdings, Inc. (a) | 1,143,759 | ||||
45,353 | Rent-A-Center, Inc. | 1,401,408 | ||||
62,396 | Sally Beauty Holdings, Inc. (a) | 522,255 | ||||
27,712 | Sleep Number Corp. (a) | 1,755,832 | ||||
26,054 | Urban Outfitters, Inc. (a) | 582,046 | ||||
13,231,579 | ||||||
Technology Hardware, Storage & Peripherals — 0.4% | ||||||
48,979 | NCR Corp. (a) | 995,253 | ||||
30,805 | Super Micro Computer, Inc. (a) | 699,890 | ||||
1,695,143 | ||||||
Textiles, Apparel & Luxury Goods — 0.5% | ||||||
31,726 | Crocs, Inc. (a) | 1,660,221 | ||||
13,903 | Steven Madden Ltd. | 333,811 | ||||
10,492 | Wolverine World Wide, Inc. | 279,822 | ||||
2,273,854 | ||||||
Thrifts & Mortgage Finance — 2.3% | ||||||
46,524 | Axos Financial, Inc. (a) | 1,268,244 | ||||
58,524 | Capitol Federal Financial, Inc. | 671,856 | ||||
27,451 | Flagstar Bancorp, Inc. | 805,687 | ||||
60,734 | Mr. Cooper Group, Inc. (a) | 1,280,273 | ||||
30,462 | NMI Holdings, Inc., Class A (a) | 654,628 | ||||
58,939 | Northwest Bancshares, Inc. | 628,879 | ||||
66,667 | Provident Financial Services, Inc. | 904,671 | ||||
25,577 | Walker & Dunlop, Inc. | 1,608,282 | ||||
51,989 | Washington Federal, Inc. | 1,106,846 | ||||
30,157 | WSFS Financial Corp. | 955,675 | ||||
9,885,041 | ||||||
Tobacco — 0.4% | ||||||
32,368 | Universal Corp. | 1,289,865 | ||||
27,977 | Vector Group Ltd. | 257,108 | ||||
1,546,973 | ||||||
Trading Companies & Distributors — 1.8% | ||||||
9,844 | Applied Industrial Technologies, Inc. | 600,976 | ||||
17,451 | Beacon Roofing Supply, Inc. (a) | 535,746 |
First Trust Small Cap Core AlphaDEX® Fund (FYX) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Trading Companies & Distributors (Continued) | ||||||
21,265 | GATX Corp. | $ | 1,451,974 | |||
33,746 | GMS, Inc. (a) | 762,659 | ||||
20,535 | Herc Holdings, Inc. (a) | 910,933 | ||||
32,183 | Rush Enterprises, Inc., Class A | 1,153,439 | ||||
11,328 | Systemax, Inc. (b) | 322,055 | ||||
33,327 | Triton International Ltd. | 1,229,100 | ||||
24,637 | WESCO International, Inc. (a) | 1,016,030 | ||||
7,982,912 | ||||||
Water Utilities — 0.1% | ||||||
4,453 | SJW Group | 270,253 | ||||
Wireless Telecommunication Services — 0.7% | ||||||
6,099 | Shenandoah Telecommunications Co. | 266,038 | ||||
73,510 | Telephone and Data Systems, Inc. | 1,249,670 | ||||
45,900 | United States Cellular Corp. (a) | 1,336,608 | ||||
2,852,316 | ||||||
Total Common Stocks — 99.9% | 437,160,431 | |||||
(Cost $424,678,057) | ||||||
Money Market Funds — 0.6% | ||||||
1,789,762 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 1,789,762 | ||||
696,359 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 696,359 | ||||
Total Money Market Funds — 0.6% | 2,486,121 | |||||
(Cost $2,486,121) |
Principal Value | Description | Value | |||||
Repurchase Agreements — 2.3% | |||||||
$ | 10,268,276 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $10,268,319. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $10,467,682. (d) | 10,268,276 | ||||
(Cost $10,268,276) |
Description | Value | |||||
Total Investments — 102.8% | $ | 449,914,828 | ||||
(Cost $437,432,454) (e) | ||||||
Net Other Assets and Liabilities — (2.8)% | (12,113,792 | ) | ||||
Net Assets — 100.0% | $ | 437,801,036 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $11,478,795 and the total value of the collateral held by the Fund is $12,058,038. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $39,489,081 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $27,006,707. The net unrealized appreciation was $12,482,374. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 437,160,431 | $ | — | $ | — | ||||||
Money Market Funds | 2,486,121 | — | — | |||||||||
Repurchase Agreements | — | 10,268,276 | — | |||||||||
Total Investments | $ | 439,646,552 | $ | 10,268,276 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Large Cap Value AlphaDEX® Fund (FTA) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.7% | ||||||
Aerospace & Defense — 0.8% | ||||||
32,495 | General Dynamics Corp. | $ | 4,267,569 | |||
3,471 | Northrop Grumman Corp. | 1,005,965 | ||||
5,273,534 | ||||||
Air Freight & Logistics — 0.7% | ||||||
10,716 | C.H. Robinson Worldwide, Inc. | 947,616 | ||||
12,096 | Expeditors International of Washington, Inc. | 1,068,923 | ||||
8,940 | FedEx Corp. | 2,319,662 | ||||
4,336,201 | ||||||
Airlines — 0.2% | ||||||
29,201 | Southwest Airlines Co. | 1,154,316 | ||||
Auto Components — 0.7% | ||||||
49,066 | Aptiv PLC | 4,734,378 | ||||
Automobiles — 1.9% | ||||||
675,439 | Ford Motor Co. | 5,221,144 | ||||
190,031 | General Motors Co. | 6,561,770 | ||||
11,782,914 | ||||||
Banks — 10.0% | ||||||
186,735 | Bank of America Corp. | 4,425,619 | ||||
130,436 | Citigroup, Inc. | 5,402,659 | ||||
222,431 | Citizens Financial Group, Inc. | 6,061,245 | ||||
210,994 | Fifth Third Bancorp | 4,899,281 | ||||
34,122 | JPMorgan Chase & Co. | 3,345,321 | ||||
377,069 | KeyCorp | 4,894,356 | ||||
61,061 | M&T Bank Corp. | 6,324,698 | ||||
51,161 | PNC Financial Services Group (The), Inc. | 5,723,893 | ||||
390,151 | Regions Financial Corp. | 5,189,008 | ||||
9,348 | SVB Financial Group (a) | 2,717,464 | ||||
118,224 | Truist Financial Corp. | 4,979,595 | ||||
125,478 | U.S. Bancorp | 4,887,368 | ||||
191,341 | Wells Fargo & Co. | 4,104,264 | ||||
62,954,771 | ||||||
Beverages — 0.3% | ||||||
81,493 | Keurig Dr Pepper, Inc. | 2,192,162 | ||||
Building Products — 1.3% | ||||||
107,564 | Carrier Global Corp. | 3,591,562 | ||||
12,655 | Fortune Brands Home & Security, Inc. | 1,023,410 | ||||
26,806 | Johnson Controls International PLC | 1,131,481 | ||||
4,017 | Lennox International, Inc. | 1,091,258 | ||||
9,032 | Trane Technologies PLC | 1,198,998 | ||||
8,036,709 | ||||||
Capital Markets — 4.7% | ||||||
21,319 | Ameriprise Financial, Inc. | 3,428,735 | ||||
163,746 | Bank of New York Mellon (The) Corp. | 5,626,312 | ||||
62,084 | Charles Schwab (The) Corp. | 2,552,273 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Capital Markets (Continued) | ||||||
6,543 | CME Group, Inc. | $ | 986,161 | |||
276,316 | Franklin Resources, Inc. | 5,180,925 | ||||
16,346 | Goldman Sachs Group (The), Inc. | 3,090,048 | ||||
93,038 | Morgan Stanley | 4,479,780 | ||||
75,821 | State Street Corp. | 4,465,857 | ||||
29,810,091 | ||||||
Chemicals — 3.1% | ||||||
20,932 | Celanese Corp. | 2,375,991 | ||||
114,022 | Corteva, Inc. | 3,760,446 | ||||
57,584 | Eastman Chemical Co. | 4,655,091 | ||||
18,371 | International Flavors & Fragrances, Inc. (b) | 1,885,967 | ||||
79,772 | LyondellBasell Industries N.V., Class A | 5,460,393 | ||||
8,967 | PPG Industries, Inc. | 1,163,199 | ||||
19,301,087 | ||||||
Commercial Services & Supplies — 0.5% | ||||||
24,095 | Republic Services, Inc. | 2,124,456 | ||||
9,675 | Waste Management, Inc. | 1,044,029 | ||||
3,168,485 | ||||||
Communications Equipment — 0.5% | ||||||
83,397 | Cisco Systems, Inc. | 2,993,952 | ||||
Construction & Engineering — 0.4% | ||||||
24,242 | Jacobs Engineering Group, Inc. | 2,302,990 | ||||
Construction Materials — 1.0% | ||||||
13,957 | Martin Marietta Materials, Inc. | 3,717,447 | ||||
16,595 | Vulcan Materials Co. | 2,403,620 | ||||
6,121,067 | ||||||
Consumer Finance — 1.8% | ||||||
10,924 | American Express Co. | 996,706 | ||||
31,301 | Capital One Financial Corp. | 2,287,477 | ||||
38,926 | Discover Financial Services | 2,530,579 | ||||
214,867 | Synchrony Financial | 5,375,972 | ||||
11,190,734 | ||||||
Containers & Packaging — 0.6% | ||||||
81,030 | International Paper Co. | 3,545,063 | ||||
Diversified Financial Services — 0.5% | ||||||
15,429 | Berkshire Hathaway, Inc., Class B (a) | 3,115,115 | ||||
Diversified Telecommunication Services — 2.3% | ||||||
197,231 | AT&T, Inc. | 5,329,182 | ||||
557,286 | CenturyLink, Inc. | 4,803,805 |
First Trust Large Cap Value AlphaDEX® Fund (FTA) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Diversified Telecommunication Services (Continued) | ||||||
75,616 | Verizon Communications, Inc. | $ | 4,309,356 | |||
14,442,343 | ||||||
Electric Utilities — 9.1% | ||||||
87,094 | Alliant Energy Corp. | 4,814,556 | ||||
55,038 | American Electric Power Co., Inc. | 4,949,567 | ||||
37,092 | Duke Energy Corp. | 3,416,544 | ||||
88,482 | Edison International | 4,958,531 | ||||
45,653 | Entergy Corp. | 4,620,997 | ||||
110,647 | Evergy, Inc. | 6,107,714 | ||||
39,320 | Eversource Energy | 3,431,456 | ||||
157,245 | Exelon Corp. | 6,272,503 | ||||
114,421 | FirstEnergy Corp. | 3,400,592 | ||||
15,788 | NextEra Energy, Inc. | 1,155,840 | ||||
206,653 | PPL Corp. | 5,682,958 | ||||
82,968 | Southern (The) Co. | 4,766,512 | ||||
47,605 | Xcel Energy, Inc. | 3,333,778 | ||||
56,911,548 | ||||||
Electrical Equipment — 1.2% | ||||||
22,626 | AMETEK, Inc. | 2,221,873 | ||||
22,043 | Eaton Corp. PLC | 2,287,843 | ||||
50,100 | Emerson Electric Co. | 3,245,979 | ||||
7,755,695 | ||||||
Electronic Equipment, Instruments & Components — 0.3% | ||||||
9,160 | CDW Corp. | 1,123,016 | ||||
33,786 | Corning, Inc. | 1,080,138 | ||||
2,203,154 | ||||||
Equity Real Estate Investment Trusts — 2.0% | ||||||
21,997 | AvalonBay Communities, Inc. | 3,060,443 | ||||
56,020 | Boston Properties, Inc. | 4,056,408 | ||||
16,929 | Simon Property Group, Inc. | 1,063,310 | ||||
78,289 | Ventas, Inc. | 3,090,067 | ||||
19,876 | Welltower, Inc. | 1,068,733 | ||||
12,338,961 | ||||||
Food & Staples Retailing — 1.7% | ||||||
165,824 | Kroger (The) Co. | 5,341,191 | ||||
91,453 | Walgreens Boots Alliance, Inc. | 3,113,060 | ||||
16,076 | Walmart, Inc. | 2,230,545 | ||||
10,684,796 | ||||||
Food Products — 5.0% | ||||||
120,950 | Archer-Daniels-Midland Co. | 5,592,728 | ||||
22,636 | Campbell Soup Co. | 1,056,422 | ||||
91,991 | Conagra Brands, Inc. | 3,227,964 | ||||
53,261 | General Mills, Inc. | 3,148,790 | ||||
7,642 | Hershey (The) Co. | 1,050,469 | ||||
46,007 | Hormel Foods Corp. | 2,240,081 | ||||
48,678 | J.M. Smucker (The) Co. | 5,461,672 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food Products (Continued) | ||||||
16,952 | Kellogg Co. | $ | 1,066,111 | |||
36,559 | Kraft Heinz (The) Co. | 1,118,340 | ||||
39,150 | Mondelez International, Inc., Class A | 2,079,648 | ||||
94,538 | Tyson Foods, Inc., Class A | 5,410,410 | ||||
31,452,635 | ||||||
Gas Utilities — 0.7% | ||||||
47,062 | Atmos Energy Corp. | 4,314,174 | ||||
Health Care Equipment & Supplies — 0.3% | ||||||
21,645 | Medtronic PLC | 2,176,838 | ||||
Health Care Providers & Services — 6.0% | ||||||
23,209 | AmerisourceBergen Corp. | 2,229,689 | ||||
20,935 | Anthem, Inc. | 5,711,068 | ||||
95,816 | Cardinal Health, Inc. | 4,387,415 | ||||
77,121 | Centene Corp. (a) | 4,557,851 | ||||
96,284 | CVS Health Corp. | 5,400,570 | ||||
26,346 | HCA Healthcare, Inc. | 3,265,323 | ||||
5,817 | Laboratory Corp. of America Holdings (a) | 1,162,062 | ||||
7,350 | McKesson Corp. | 1,084,051 | ||||
17,947 | Molina Healthcare, Inc. (a) | 3,346,577 | ||||
28,692 | Quest Diagnostics, Inc. | 3,504,441 | ||||
10,535 | UnitedHealth Group, Inc. | 3,214,650 | ||||
37,863,697 | ||||||
Health Care Technology — 0.2% | ||||||
15,150 | Cerner Corp. | 1,061,863 | ||||
Household Durables — 3.2% | ||||||
74,348 | D.R. Horton, Inc. | 4,967,190 | ||||
68,843 | Lennar Corp., Class A | 4,834,844 | ||||
551 | NVR, Inc. (a) | 2,178,153 | ||||
121,473 | PulteGroup, Inc. | 4,951,239 | ||||
17,866 | Whirlpool Corp. | 3,304,495 | ||||
20,235,921 | ||||||
Industrial Conglomerates — 1.2% | ||||||
14,040 | 3M Co. | 2,245,838 | ||||
722,059 | General Electric Co. | 5,357,678 | ||||
7,603,516 | ||||||
Insurance — 7.7% | ||||||
123,755 | Aflac, Inc. | 4,201,482 | ||||
59,731 | Allstate (The) Corp. | 5,301,126 | ||||
39,773 | American International Group, Inc. | 1,252,452 | ||||
192,239 | Arch Capital Group Ltd. (a) | 5,807,540 | ||||
10,373 | Arthur J. Gallagher & Co. | 1,075,784 | ||||
19,368 | Chubb Ltd. | 2,516,097 | ||||
28,849 | Cincinnati Financial Corp. | 2,040,778 | ||||
152,551 | Hartford Financial Services Group (The), Inc. | 5,876,265 |
First Trust Large Cap Value AlphaDEX® Fund (FTA) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
151,277 | MetLife, Inc. | $ | 5,725,835 | |||
111,708 | Principal Financial Group, Inc. | 4,381,188 | ||||
47,516 | Progressive (The) Corp. | 4,366,720 | ||||
41,578 | Travelers (The) Cos., Inc. | 5,018,880 | ||||
17,908 | W.R. Berkley Corp. | 1,076,629 | ||||
48,640,776 | ||||||
Internet & Direct Marketing Retail — 0.2% | ||||||
638 | Booking Holdings, Inc. (a) | 1,035,155 | ||||
IT Services — 1.7% | ||||||
47,323 | Cognizant Technology Solutions Corp., Class A | 3,379,809 | ||||
27,001 | International Business Machines Corp. | 3,014,932 | ||||
25,229 | Leidos Holdings, Inc. | 2,094,007 | ||||
104,958 | Western Union (The) Co. | 2,040,383 | ||||
10,529,131 | ||||||
Leisure Products — 0.3% | ||||||
27,189 | Hasbro, Inc. | 2,249,074 | ||||
Machinery — 3.2% | ||||||
15,079 | Caterpillar, Inc. | 2,368,157 | ||||
15,557 | Cummins, Inc. | 3,420,829 | ||||
4,939 | Deere & Co. | 1,115,770 | ||||
20,758 | Dover Corp. | 2,298,118 | ||||
6,001 | IDEX Corp. | 1,022,510 | ||||
38,522 | PACCAR, Inc. | 3,289,008 | ||||
11,114 | Parker-Hannifin Corp. | 2,315,713 | ||||
6,750 | Stanley Black & Decker, Inc. | 1,121,850 | ||||
53,087 | Westinghouse Air Brake Technologies Corp. | 3,148,059 | ||||
20,100,014 | ||||||
Media — 2.4% | ||||||
1,756 | Charter Communications, Inc., Class A (a) | 1,060,308 | ||||
97,243 | Comcast Corp., Class A | 4,107,544 | ||||
80,822 | Fox Corp., Class A | 2,143,400 | ||||
66,366 | Omnicom Group, Inc. | 3,132,475 | ||||
160,599 | ViacomCBS, Inc., Class B | 4,588,313 | ||||
15,032,040 | ||||||
Metals & Mining — 0.8% | ||||||
100,276 | Nucor Corp. | 4,789,182 | ||||
Multiline Retail — 0.7% | ||||||
24,625 | Dollar Tree, Inc. (a) | 2,224,130 | ||||
14,287 | Target Corp. | 2,174,767 | ||||
4,398,897 | ||||||
Multi-Utilities — 4.5% | ||||||
41,541 | Ameren Corp. | 3,369,806 | ||||
36,628 | CMS Energy Corp. | 2,319,651 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Multi-Utilities (Continued) | ||||||
57,822 | Consolidated Edison, Inc. | $ | 4,538,449 | |||
39,104 | DTE Energy Co. | 4,826,215 | ||||
81,925 | Public Service Enterprise Group, Inc. | 4,763,939 | ||||
47,506 | Sempra Energy | 5,955,352 | ||||
23,214 | WEC Energy Group, Inc. | 2,334,168 | ||||
28,107,580 | ||||||
Oil, Gas & Consumable Fuels — 5.9% | ||||||
45,624 | Chevron Corp. | 3,170,868 | ||||
171,226 | ConocoPhillips | 4,900,488 | ||||
156,457 | EOG Resources, Inc. | 5,357,088 | ||||
163,793 | Exxon Mobil Corp. | 5,342,928 | ||||
266,426 | Kinder Morgan, Inc. | 3,170,469 | ||||
126,446 | ONEOK, Inc. | 3,666,934 | ||||
65,392 | Pioneer Natural Resources Co. | 5,202,587 | ||||
129,801 | Valero Energy Corp. | 5,011,617 | ||||
55,726 | Williams (The) Cos., Inc. | 1,069,382 | ||||
36,892,361 | ||||||
Pharmaceuticals — 0.7% | ||||||
122,572 | Pfizer, Inc. | 4,348,855 | ||||
Real Estate Management & Development — 1.0% | ||||||
119,717 | CBRE Group, Inc., Class A (a) | 6,033,737 | ||||
Road & Rail — 1.5% | ||||||
28,958 | CSX Corp. | 2,285,945 | ||||
25,993 | J.B. Hunt Transport Services, Inc. | 3,164,388 | ||||
6,058 | Kansas City Southern | 1,067,056 | ||||
10,510 | Norfolk Southern Corp. | 2,197,851 | ||||
5,563 | Union Pacific Corp. | 985,708 | ||||
9,700,948 | ||||||
Semiconductors & Semiconductor Equipment — 1.0% | ||||||
119,742 | Micron Technology, Inc. (a) | 6,027,812 | ||||
Software — 0.7% | ||||||
215,853 | NortonLifeLock, Inc. | 4,440,096 | ||||
Specialty Retail — 1.0% | ||||||
14,654 | Advance Auto Parts, Inc. | 2,158,241 | ||||
29,517 | Best Buy Co., Inc. | 3,292,622 | ||||
11,912 | CarMax, Inc. (a) | 1,029,673 | ||||
6,480,536 | ||||||
Technology Hardware, Storage & Peripherals — 2.6% | ||||||
16,175 | Dell Technologies, Inc., Class C (a) | 974,705 | ||||
480,087 | Hewlett Packard Enterprise Co. | 4,147,952 | ||||
172,985 | HP, Inc. | 3,106,811 | ||||
45,649 | Seagate Technology PLC | 2,182,935 | ||||
153,845 | Western Digital Corp. | 5,804,572 | ||||
16,216,975 |
First Trust Large Cap Value AlphaDEX® Fund (FTA) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Trading Companies & Distributors — 1.1% | ||||||
32,223 | United Rentals, Inc. (a) | $ | 5,745,039 | |||
3,067 | W.W. Grainger, Inc. | 1,073,511 | ||||
6,818,550 | ||||||
Wireless Telecommunication Services — 0.5% | ||||||
28,725 | T-Mobile US, Inc. (a) | 3,147,398 | ||||
Total Common Stocks — 99.7% | 626,047,827 | |||||
(Cost $648,250,836) | ||||||
Money Market Funds — 0.2% | ||||||
256,694 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 256,694 | ||||
1,136,732 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 1,136,732 | ||||
Total Money Market Funds — 0.2% | 1,393,426 | |||||
(Cost $1,393,426) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 0.2% | |||||||
$ | 1,472,718 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $1,472,724. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $1,501,317. (d) | 1,472,718 | ||||
(Cost $1,472,718) | |||||||
Total Investments — 100.1% | 628,913,971 | ||||||
(Cost $651,116,980) (e) | |||||||
Net Other Assets and Liabilities — (0.1)% | (1,092,853 | ) | |||||
Net Assets — 100.0% | $ | 627,821,118 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $1,690,913 and the total value of the collateral held by the Fund is $1,729,412. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $35,865,984 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $58,068,993. The net unrealized depreciation was $22,203,009. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 626,047,827 | $ | — | $ | — | ||||||
Money Market Funds | 1,393,426 | — | — | |||||||||
Repurchase Agreements | — | 1,472,718 | — | |||||||||
Total Investments | $ | 627,441,253 | $ | 1,472,718 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Large Cap Growth AlphaDEX® Fund (FTC) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Aerospace & Defense — 0.7% | ||||||
10,109 | L3Harris Technologies, Inc. | $ | 1,628,661 | |||
4,479 | Lockheed Martin Corp. | 1,568,232 | ||||
7,421 | TransDigm Group, Inc. | 3,542,860 | ||||
6,739,753 | ||||||
Automobiles — 0.7% | ||||||
16,440 | Tesla, Inc. (a) | 6,379,378 | ||||
Banks — 0.4% | ||||||
32,333 | First Republic Bank | 4,078,485 | ||||
Beverages — 1.0% | ||||||
22,793 | Brown-Forman Corp., Class B | 1,588,900 | ||||
87,938 | Monster Beverage Corp. (a) | 6,733,413 | ||||
12,386 | PepsiCo, Inc. | 1,650,930 | ||||
9,973,243 | ||||||
Biotechnology — 4.2% | ||||||
45,008 | Alexion Pharmaceuticals, Inc. (a) | 5,182,221 | ||||
24,218 | Alnylam Pharmaceuticals, Inc. (a) | 2,978,087 | ||||
13,875 | Amgen, Inc. | 3,010,043 | ||||
12,431 | Biogen, Inc. (a) | 3,133,482 | ||||
69,178 | Exact Sciences Corp. (a) | 8,566,312 | ||||
49,842 | Moderna, Inc. (a) | 3,362,840 | ||||
6,299 | Regeneron Pharmaceuticals, Inc. (a) | 3,423,884 | ||||
25,111 | Sarepta Therapeutics, Inc. (a) | 3,412,836 | ||||
36,041 | Seagen, Inc. (a) | 6,011,639 | ||||
6,308 | Vertex Pharmaceuticals, Inc. (a) | 1,314,335 | ||||
40,395,679 | ||||||
Capital Markets — 3.6% | ||||||
78,800 | Apollo Global Management, Inc. | 2,904,568 | ||||
6,256 | BlackRock, Inc. | 3,748,658 | ||||
5,126 | FactSet Research Systems, Inc. | 1,571,119 | ||||
17,160 | Intercontinental Exchange, Inc. | 1,619,904 | ||||
7,323 | MarketAxess Holdings, Inc. | 3,945,998 | ||||
17,768 | Moody’s Corp. | 4,671,207 | ||||
9,884 | MSCI, Inc. | 3,457,819 | ||||
41,971 | Nasdaq, Inc. | 5,078,071 | ||||
14,283 | S&P Global, Inc. | 4,609,553 | ||||
27,501 | T. Rowe Price Group, Inc. | 3,483,277 | ||||
35,090,174 | ||||||
Chemicals — 1.6% | ||||||
17,290 | Air Products and Chemicals, Inc. | 4,776,190 | ||||
33,295 | FMC Corp. | 3,420,728 | ||||
10,123 | Sherwin-Williams (The) Co. | 6,964,421 | ||||
15,161,339 | ||||||
Commercial Services & Supplies — 2.2% | ||||||
21,189 | Cintas Corp. | 6,665,000 | ||||
48,977 | Copart, Inc. (a) | 5,405,102 | ||||
162,685 | Rollins, Inc. | 9,411,327 | ||||
21,481,429 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Communications Equipment — 0.2% | ||||||
10,947 | Motorola Solutions, Inc. | $ | 1,730,283 | |||
Distributors — 1.0% | ||||||
26,352 | Pool Corp. | 9,218,720 | ||||
Diversified Consumer Services — 0.7% | ||||||
98,722 | Chegg, Inc. (a) | 7,250,144 | ||||
Electrical Equipment — 0.4% | ||||||
15,980 | Rockwell Automation, Inc. | 3,789,178 | ||||
Electronic Equipment, Instruments & Components — 1.5% | ||||||
32,569 | Amphenol Corp., Class A | 3,675,086 | ||||
26,371 | Cognex Corp. | 1,737,849 | ||||
105,755 | Trimble, Inc. (a) | 5,089,988 | ||||
13,968 | Zebra Technologies Corp., Class A (a) | 3,961,883 | ||||
14,464,806 | ||||||
Entertainment — 3.4% | ||||||
21,207 | Activision Blizzard, Inc. | 1,606,006 | ||||
27,040 | Electronic Arts, Inc. (a) | 3,240,203 | ||||
14,106 | Netflix, Inc. (a) | 6,710,788 | ||||
46,692 | Roku, Inc. (a) | 9,450,461 | ||||
42,687 | Take-Two Interactive Software, Inc. (a) | 6,613,070 | ||||
564,725 | Zynga, Inc., Class A (a) | 5,076,878 | ||||
32,697,406 | ||||||
Equity Real Estate Investment Trusts — 0.3% | ||||||
2,257 | Equinix, Inc. | 1,650,409 | ||||
17,061 | Prologis, Inc. | 1,692,451 | ||||
3,342,860 | ||||||
Food Products — 0.5% | ||||||
26,535 | McCormick & Co., Inc. | 4,789,833 | ||||
Health Care Equipment & Supplies — 8.6% | ||||||
47,325 | Abbott Laboratories | 4,974,331 | ||||
18,590 | ABIOMED, Inc. (a) | 4,682,449 | ||||
21,543 | Align Technology, Inc. (a) | 9,179,041 | ||||
5,091 | Cooper (The) Cos., Inc. | 1,624,284 | ||||
23,918 | Danaher Corp. | 5,490,138 | ||||
12,495 | DexCom, Inc. (a) | 3,993,152 | ||||
21,507 | Edwards Lifesciences Corp. (a) | 1,541,837 | ||||
106,103 | Hologic, Inc. (a) | 7,302,008 | ||||
17,941 | IDEXX Laboratories, Inc. (a) | 7,621,696 | ||||
29,810 | Insulet Corp. (a) | 6,625,272 | ||||
7,259 | Intuitive Surgical, Inc. (a) | 4,842,334 | ||||
14,937 | Masimo Corp. (a) | 3,343,199 | ||||
32,149 | Quidel Corp. (a) | 8,625,255 | ||||
20,014 | STERIS PLC | 3,546,281 |
First Trust Large Cap Growth AlphaDEX® Fund (FTC) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Equipment & Supplies (Continued) | ||||||
8,240 | Stryker Corp. | $ | 1,664,562 | |||
32,070 | West Pharmaceutical Services, Inc. | 8,725,285 | ||||
83,781,124 | ||||||
Health Care Providers & Services — 2.0% | ||||||
20,814 | Cigna Corp. | 3,475,313 | ||||
82,343 | DaVita, Inc. (a) | 7,102,084 | ||||
21,300 | Humana, Inc. | 8,504,664 | ||||
19,082,061 | ||||||
Health Care Technology — 1.5% | ||||||
32,168 | Teladoc Health, Inc. (a) (b) | 6,319,725 | ||||
31,353 | Veeva Systems, Inc., Class A (a) | 8,466,878 | ||||
14,786,603 | ||||||
Hotels, Restaurants & Leisure — 1.5% | ||||||
5,671 | Chipotle Mexican Grill, Inc. (a) | 6,813,593 | ||||
16,582 | Domino’s Pizza, Inc. | 6,273,302 | ||||
7,823 | McDonald’s Corp. | 1,666,299 | ||||
14,753,194 | ||||||
Household Durables — 0.2% | ||||||
18,098 | Garmin Ltd. | 1,882,554 | ||||
Household Products — 1.9% | ||||||
75,261 | Church & Dwight Co., Inc. | 6,652,320 | ||||
24,505 | Clorox (The) Co. | 5,078,661 | ||||
22,252 | Colgate-Palmolive Co. | 1,755,460 | ||||
11,627 | Kimberly-Clark Corp. | 1,541,624 | ||||
25,372 | Procter & Gamble (The) Co. | 3,478,501 | ||||
18,506,566 | ||||||
Industrial Conglomerates — 0.2% | ||||||
10,429 | Honeywell International, Inc. | 1,720,264 | ||||
Insurance — 1.1% | ||||||
8,322 | Aon PLC, Class A | 1,531,331 | ||||
113,769 | Brown & Brown, Inc. | 4,950,089 | ||||
44,902 | Marsh & McLennan Cos., Inc. | 4,645,561 | ||||
11,126,981 | ||||||
Interactive Media & Services — 4.3% | ||||||
2,407 | Alphabet, Inc., Class A (a) | 3,889,977 | ||||
26,928 | Facebook, Inc., Class A (a) | 7,085,026 | ||||
212,377 | Pinterest, Inc., Class A (a) | 12,519,624 | ||||
270,112 | Snap, Inc., Class A (a) | 10,639,712 | ||||
86,779 | Zillow Group, Inc., Class C (a) | 7,690,355 | ||||
41,824,694 | ||||||
Internet & Direct Marketing Retail — 3.2% | ||||||
2,799 | Amazon.com, Inc. (a) | 8,498,184 | ||||
135,367 | eBay, Inc. | 6,447,530 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Internet & Direct Marketing Retail (Continued) | ||||||
72,481 | Etsy, Inc. (a) | $ | 8,812,965 | |||
30,295 | Wayfair, Inc., Class A (a) | 7,514,069 | ||||
31,272,748 | ||||||
IT Services — 8.5% | ||||||
15,604 | Accenture PLC, Class A | 3,384,664 | ||||
15,532 | Akamai Technologies, Inc. (a) | 1,477,404 | ||||
59,164 | Black Knight, Inc. (a) | 5,203,474 | ||||
62,068 | Booz Allen Hamilton Holding Corp. | 4,872,338 | ||||
39,017 | Broadridge Financial Solutions, Inc. | 5,368,739 | ||||
27,270 | EPAM Systems, Inc. (a) | 8,425,066 | ||||
34,219 | Fiserv, Inc. (a) | 3,266,888 | ||||
13,740 | Gartner, Inc. (a) | 1,650,174 | ||||
67,794 | GoDaddy, Inc., Class A (a) | 4,795,747 | ||||
5,075 | Mastercard, Inc., Class A | 1,464,848 | ||||
30,463 | MongoDB, Inc. (a) | 6,959,882 | ||||
32,980 | Okta, Inc. (a) | 6,920,193 | ||||
21,520 | Paychex, Inc. | 1,770,020 | ||||
44,745 | PayPal Holdings, Inc. (a) | 8,328,387 | ||||
54,234 | Square, Inc., Class A (a) | 8,399,762 | ||||
35,677 | Twilio, Inc., Class A (a) | 9,952,813 | ||||
82,240,399 | ||||||
Leisure Products — 1.0% | ||||||
88,833 | Peloton Interactive, Inc., Class A (a) | 9,790,285 | ||||
Life Sciences Tools & Services — 4.3% | ||||||
51,023 | Agilent Technologies, Inc. | 5,208,938 | ||||
391,987 | Avantor, Inc. (a) | 9,121,537 | ||||
9,990 | Bio-Rad Laboratories, Inc., Class A (a) | 5,858,336 | ||||
5,332 | Mettler-Toledo International, Inc. (a) | 5,320,856 | ||||
70,240 | PerkinElmer, Inc. | 9,099,592 | ||||
15,974 | Thermo Fisher Scientific, Inc. | 7,557,619 | ||||
42,166,878 | ||||||
Machinery — 0.5% | ||||||
18,250 | Illinois Tool Works, Inc. | 3,574,810 | ||||
8,951 | Nordson Corp. | 1,731,392 | ||||
5,306,202 | ||||||
Media — 0.4% | ||||||
910 | Cable One, Inc. | 1,575,993 | ||||
320,292 | Sirius XM Holdings, Inc. | 1,835,273 | ||||
3,411,266 | ||||||
Metals & Mining — 0.7% | ||||||
111,153 | Newmont Corp. | 6,984,854 | ||||
Multiline Retail — 0.9% | ||||||
42,056 | Dollar General Corp. | 8,777,508 | ||||
First Trust Large Cap Growth AlphaDEX® Fund (FTC) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Oil, Gas & Consumable Fuels — 0.4% | ||||||
76,212 | Cheniere Energy, Inc. (a) | $ | 3,648,268 | |||
Pharmaceuticals — 2.6% | ||||||
28,475 | Bristol-Myers Squibb Co. | 1,664,364 | ||||
102,916 | Catalent, Inc. (a) | 9,032,937 | ||||
113,489 | Horizon Therapeutics PLC (a) | 8,503,731 | ||||
20,698 | Merck & Co., Inc. | 1,556,697 | ||||
31,144 | Zoetis, Inc. | 4,937,881 | ||||
25,695,610 | ||||||
Professional Services — 0.8% | ||||||
6,070 | CoStar Group, Inc. (a) | 4,999,313 | ||||
10,941 | Equifax, Inc. | 1,494,540 | ||||
9,264 | Verisk Analytics, Inc. | 1,648,714 | ||||
8,142,567 | ||||||
Road & Rail — 0.9% | ||||||
19,491 | Old Dominion Freight Line, Inc. | 3,710,502 | ||||
141,181 | Uber Technologies, Inc. (a) | 4,716,857 | ||||
8,427,359 | ||||||
Semiconductors & Semiconductor Equipment — 7.3% | ||||||
107,521 | Advanced Micro Devices, Inc. (a) | 8,095,256 | ||||
59,316 | Applied Materials, Inc. | 3,513,287 | ||||
8,860 | KLA Corp. | 1,747,015 | ||||
15,526 | Lam Research Corp. | 5,311,134 | ||||
129,729 | Marvell Technology Group Ltd. | 4,866,135 | ||||
25,224 | Monolithic Power Systems, Inc. | 8,061,590 | ||||
16,289 | NVIDIA Corp. | 8,166,653 | ||||
68,334 | Qorvo, Inc. (a) | 8,703,018 | ||||
59,931 | QUALCOMM, Inc. | 7,393,088 | ||||
35,397 | Skyworks Solutions, Inc. | 5,001,242 | ||||
88,757 | Teradyne, Inc. | 7,797,303 | ||||
12,024 | Texas Instruments, Inc. | 1,738,550 | ||||
70,394,271 | ||||||
Software — 17.8% | ||||||
14,382 | Adobe, Inc. (a) | 6,430,192 | ||||
10,776 | ANSYS, Inc. (a) | 3,279,891 | ||||
15,265 | Autodesk, Inc. (a) | 3,595,518 | ||||
40,446 | Avalara, Inc. (a) | 6,028,476 | ||||
48,300 | Cadence Design Systems, Inc. (a) | 5,282,571 | ||||
42,666 | Ceridian HCM Holding, Inc. (a) | 3,678,662 | ||||
12,467 | Citrix Systems, Inc. | 1,412,137 | ||||
25,718 | Coupa Software, Inc. (a) | 6,884,709 | ||||
64,200 | Crowdstrike Holdings, Inc., Class A (a) | 7,950,528 | ||||
86,294 | Datadog, Inc., Class A (a) | 7,831,180 | ||||
40,959 | DocuSign, Inc. (a) | 8,283,958 | ||||
171,931 | Dynatrace, Inc. (a) | 6,070,884 | ||||
4,036 | Fair Isaac Corp. (a) | 1,579,892 | ||||
14,573 | Fortinet, Inc. (a) | 1,608,422 | ||||
30,168 | HubSpot, Inc. (a) | 8,750,832 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
15,789 | Intuit, Inc. | $ | 4,968,482 | |||
8,161 | Microsoft Corp. | 1,652,358 | ||||
59,069 | Oracle Corp. | 3,314,362 | ||||
21,042 | Palo Alto Networks, Inc. (a) | 4,654,280 | ||||
11,329 | Paycom Software, Inc. (a) | 4,124,776 | ||||
12,841 | RingCentral, Inc., Class A (a) | 3,317,344 | ||||
35,079 | salesforce.com, Inc. (a) | 8,147,799 | ||||
18,177 | ServiceNow, Inc. (a) | 9,044,330 | ||||
18,744 | Splunk, Inc. (a) | 3,712,062 | ||||
85,101 | SS&C Technologies Holdings, Inc. | 5,039,681 | ||||
24,069 | Synopsys, Inc. (a) | 5,147,396 | ||||
16,993 | Trade Desk (The), Inc., Class A (a) | 9,625,685 | ||||
32,783 | Workday, Inc., Class A (a) | 6,888,364 | ||||
68,524 | Zendesk, Inc. (a) | 7,602,053 | ||||
18,753 | Zoom Video Communications, Inc., Class A (a) | 8,643,445 | ||||
62,660 | Zscaler, Inc. (a) | 8,506,095 | ||||
173,056,364 | ||||||
Specialty Retail — 4.4% | ||||||
4,372 | AutoZone, Inc. (a) | 4,935,901 | ||||
39,522 | Carvana Co. (a) | 7,325,403 | ||||
25,395 | Home Depot (The), Inc. | 6,773,101 | ||||
53,153 | Lowe’s Cos., Inc. | 8,403,489 | ||||
15,297 | O’Reilly Automotive, Inc. (a) | 6,678,670 | ||||
61,502 | Tractor Supply Co. | 8,192,681 | ||||
42,309,245 | ||||||
Technology Hardware, Storage & Peripherals — 0.9% | ||||||
76,123 | Apple, Inc. | 8,286,750 | ||||
Textiles, Apparel & Luxury Goods — 0.7% | ||||||
56,179 | NIKE, Inc., Class B | 6,745,974 | ||||
Trading Companies & Distributors — 0.5% | ||||||
114,223 | Fastenal Co. | 4,937,860 | ||||
Water Utilities — 0.4% | ||||||
24,339 | American Water Works Co., Inc. | 3,663,263 | ||||
Total Common Stocks — 99.9% | 969,304,422 | |||||
(Cost $828,986,101) | ||||||
Money Market Funds — 0.2% | ||||||
621,862 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 621,862 | ||||
1,635,610 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 1,635,610 | ||||
Total Money Market Funds — 0.2% | 2,257,472 | |||||
(Cost $2,257,472) |
First Trust Large Cap Growth AlphaDEX® Fund (FTC) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Principal Value | Description | Value | |||||
Repurchase Agreements — 0.4% | |||||||
$ | 3,567,773 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $3,567,788. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $3,637,058. (d) | $ | 3,567,773 | |||
(Cost $3,567,773) | |||||||
Total Investments — 100.5% | 975,129,667 | ||||||
(Cost $834,811,346) (e) | |||||||
Net Other Assets and Liabilities — (0.5)% | (4,646,328 | ) | |||||
Net Assets — 100.0% | $ | 970,483,339 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $3,703,467 and the total value of the collateral held by the Fund is $4,189,635. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $165,561,703 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $25,243,382. The net unrealized appreciation was $140,318,321. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 969,304,422 | $ | — | $ | — | ||||||
Money Market Funds | 2,257,472 | — | — | |||||||||
Repurchase Agreements | — | 3,567,773 | — | |||||||||
Total Investments | $ | 971,561,894 | $ | 3,567,773 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Aerospace & Defense — 1.3% | ||||||
736 | Curtiss-Wright Corp. | $ | 62,089 | |||
1,340 | General Dynamics Corp. | 175,982 | ||||
2,727 | Hexcel Corp. | 91,300 | ||||
4,104 | Howmet Aerospace, Inc. | 70,794 | ||||
487 | Huntington Ingalls Industries, Inc. | 71,823 | ||||
677 | Kaman Corp. | 26,850 | ||||
611 | Moog, Inc., Class A | 38,120 | ||||
144 | Northrop Grumman Corp. | 41,734 | ||||
1,364 | Parsons Corp. (a) | 42,993 | ||||
1,901 | Textron, Inc. | 68,056 | ||||
689,741 | ||||||
Air Freight & Logistics — 0.5% | ||||||
442 | C.H. Robinson Worldwide, Inc. | 39,086 | ||||
499 | Expeditors International of Washington, Inc. | 44,097 | ||||
369 | FedEx Corp. | 95,744 | ||||
226 | Forward Air Corp. | 14,231 | ||||
774 | Hub Group, Inc., Class A (a) | 38,801 | ||||
270 | XPO Logistics, Inc. (a) | 24,300 | ||||
256,259 | ||||||
Airlines — 0.6% | ||||||
1,249 | Alaska Air Group, Inc. | 47,325 | ||||
4,038 | JetBlue Airways Corp. (a) | 48,335 | ||||
2,209 | SkyWest, Inc. | 64,127 | ||||
1,204 | Southwest Airlines Co. | 47,594 | ||||
3,278 | Spirit Airlines, Inc. (a) | 57,594 | ||||
658 | United Airlines Holdings, Inc. (a) | 22,280 | ||||
287,255 | ||||||
Auto Components — 1.1% | ||||||
2,023 | Aptiv PLC | 195,199 | ||||
2,362 | BorgWarner, Inc. | 82,623 | ||||
1,225 | Cooper Tire & Rubber Co. | 42,128 | ||||
4,284 | Dana, Inc. | 59,933 | ||||
254 | Dorman Products, Inc. (a) | 22,674 | ||||
1,776 | Gentex Corp. | 49,142 | ||||
430 | LCI Industries | 47,154 | ||||
419 | Lear Corp. | 50,619 | ||||
591 | Standard Motor Products, Inc. | 27,068 | ||||
576,540 | ||||||
Automobiles — 1.0% | ||||||
27,845 | Ford Motor Co. | 215,242 | ||||
7,834 | General Motors Co. | 270,508 | ||||
932 | Harley-Davidson, Inc. | 30,644 | ||||
516,394 | ||||||
Banks — 14.0% | ||||||
1,711 | 1st Source Corp. | 57,301 | ||||
2,317 | Ameris Bancorp | 67,888 | ||||
5,228 | Associated Banc-Corp. | 71,571 | ||||
1,817 | Atlantic Union Bankshares Corp. | 45,952 | ||||
646 | BancFirst Corp. | 28,715 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
2,723 | BancorpSouth Bank | $ | 63,745 | |||
7,698 | Bank of America Corp. | 182,443 | ||||
256 | Bank of Hawaii Corp. | 15,524 | ||||
4,291 | Bank OZK | 106,331 | ||||
2,410 | BankUnited, Inc. | 60,853 | ||||
1,636 | Banner Corp. | 60,319 | ||||
1,776 | BOK Financial Corp. | 104,322 | ||||
3,043 | Cathay General Bancorp | 71,602 | ||||
731 | CIT Group, Inc. | 21,528 | ||||
5,377 | Citigroup, Inc. | 222,715 | ||||
9,170 | Citizens Financial Group, Inc. | 249,883 | ||||
1,628 | Columbia Banking System, Inc. | 46,251 | ||||
2,392 | Comerica, Inc. | 108,860 | ||||
406 | Commerce Bancshares, Inc. | 25,274 | ||||
420 | Community Bank System, Inc. | 24,356 | ||||
1,073 | Cullen/Frost Bankers, Inc. | 75,400 | ||||
1,587 | CVB Financial Corp. | 27,773 | ||||
2,463 | Eagle Bancorp, Inc. | 73,693 | ||||
3,493 | East West Bancorp, Inc. | 127,425 | ||||
9,731 | F.N.B. Corp. | 73,566 | ||||
515 | FB Financial Corp. | 15,193 | ||||
8,698 | Fifth Third Bancorp | 201,968 | ||||
10,111 | First BanCorp | 65,620 | ||||
3,322 | First Busey Corp. | 59,763 | ||||
359 | First Citizens BancShares, Inc., Class A | 166,109 | ||||
5,496 | First Financial Bancorp | 78,593 | ||||
3,648 | First Hawaiian, Inc. | 62,964 | ||||
4,852 | First Horizon National Corp. | 50,509 | ||||
829 | First Interstate BancSystem, Inc., Class A | 29,264 | ||||
2,279 | First Merchants Corp. | 59,505 | ||||
6,120 | First Midwest Bancorp, Inc. | 76,806 | ||||
5,657 | Fulton Financial Corp. | 62,170 | ||||
688 | Hancock Whitney Corp. | 15,735 | ||||
1,760 | Heartland Financial USA, Inc. | 57,974 | ||||
3,206 | Hilltop Holdings, Inc. | 73,129 | ||||
4,526 | Home BancShares, Inc. | 75,132 | ||||
8,698 | Hope Bancorp, Inc. | 70,193 | ||||
9,978 | Huntington Bancshares, Inc. | 104,170 | ||||
1,195 | Independent Bank Group, Inc. | 61,638 | ||||
2,025 | International Bancshares Corp. | 56,052 | ||||
7,270 | Investors Bancorp, Inc. | 61,504 | ||||
1,407 | JPMorgan Chase & Co. | 137,942 | ||||
15,545 | KeyCorp | 201,774 | ||||
2,517 | M&T Bank Corp. | 260,711 | ||||
984 | NBT Bancorp, Inc. | 26,942 | ||||
3,855 | OceanFirst Financial Corp. | 57,709 | ||||
3,092 | Old National Bancorp | 43,226 | ||||
643 | Pacific Premier Bancorp, Inc. | 16,397 | ||||
322 | Park National Corp. | 29,511 | ||||
8,874 | People’s United Financial, Inc. | 94,686 | ||||
2,571 | Pinnacle Financial Partners, Inc. | 117,726 |
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
2,109 | PNC Financial Services Group (The), Inc. | $ | 235,955 | |||
3,153 | Popular, Inc. | 133,057 | ||||
1,324 | Prosperity Bancshares, Inc. | 72,966 | ||||
16,084 | Regions Financial Corp. | 213,917 | ||||
1,162 | Renasant Corp. | 33,129 | ||||
732 | S&T Bancorp, Inc. | 14,486 | ||||
562 | Sandy Spring Bancorp, Inc. | 14,247 | ||||
1,464 | Seacoast Banking Corp. of Florida (a) | 31,447 | ||||
827 | Signature Bank | 66,772 | ||||
4,161 | Simmons First National Corp., Class A | 70,695 | ||||
475 | South State Corp. | 29,165 | ||||
1,080 | Southside Bancshares, Inc. | 29,117 | ||||
6,272 | Sterling Bancorp | 83,919 | ||||
386 | SVB Financial Group (a) | 112,210 | ||||
5,402 | Synovus Financial Corp. | 140,452 | ||||
3,916 | TCF Financial Corp. | 106,554 | ||||
1,248 | Texas Capital Bancshares, Inc. (a) | 56,160 | ||||
465 | Tompkins Financial Corp. | 26,035 | ||||
3,218 | TowneBank | 58,503 | ||||
2,155 | TriCo Bancshares | 62,344 | ||||
4,874 | Truist Financial Corp. | 205,293 | ||||
1,814 | Trustmark Corp. | 42,429 | ||||
5,173 | U.S. Bancorp | 201,488 | ||||
538 | UMB Financial Corp. | 32,748 | ||||
3,196 | United Bankshares, Inc. | 83,831 | ||||
2,294 | United Community Banks, Inc. | 48,036 | ||||
13,356 | Valley National Bancorp | 102,040 | ||||
1,999 | Webster Financial Corp. | 64,388 | ||||
7,888 | Wells Fargo & Co. | 169,198 | ||||
1,818 | WesBanco, Inc. | 44,159 | ||||
2,894 | Western Alliance Bancorp | 119,233 | ||||
1,318 | Wintrust Financial Corp. | 64,885 | ||||
3,131 | Zions Bancorp N.A. | 101,037 | ||||
7,373,800 | ||||||
Beverages — 0.3% | ||||||
54 | Coca-Cola Consolidated, Inc. | 12,363 | ||||
3,360 | Keurig Dr Pepper, Inc. | 90,384 | ||||
2,045 | Molson Coors Beverage Co., Class B | 72,107 | ||||
174,854 | ||||||
Biotechnology — 0.3% | ||||||
1,132 | United Therapeutics Corp. (a) | 151,948 | ||||
Building Products — 0.9% | ||||||
433 | A.O. Smith Corp. | 22,382 | ||||
494 | American Woodmark Corp. (a) | 40,809 | ||||
1,402 | Builders FirstSource, Inc. (a) | 42,481 | ||||
4,434 | Carrier Global Corp. | 148,051 | ||||
522 | Fortune Brands Home & Security, Inc. | 42,214 | ||||
1,105 | Johnson Controls International PLC | 46,642 | ||||
166 | Lennox International, Inc. | 45,095 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Building Products (Continued) | ||||||
372 | Trane Technologies PLC | $ | 49,383 | |||
1,214 | UFP Industries, Inc. | 60,591 | ||||
497,648 | ||||||
Capital Markets — 4.0% | ||||||
1,003 | Affiliated Managers Group, Inc. | 75,596 | ||||
879 | Ameriprise Financial, Inc. | 141,370 | ||||
6,750 | Bank of New York Mellon (The) Corp. | 231,930 | ||||
10,996 | BGC Partners, Inc., Class A | 32,438 | ||||
521 | Cboe Global Markets, Inc. | 42,352 | ||||
2,559 | Charles Schwab (The) Corp. | 105,201 | ||||
270 | CME Group, Inc. | 40,694 | ||||
1,200 | Eaton Vance Corp. | 71,748 | ||||
593 | Evercore, Inc., Class A | 47,167 | ||||
5,317 | Federated Hermes, Inc. | 127,076 | ||||
11,391 | Franklin Resources, Inc. | 213,581 | ||||
674 | Goldman Sachs Group (The), Inc. | 127,413 | ||||
10,023 | Invesco Ltd. | 131,402 | ||||
692 | Lazard Ltd., Class A | 23,300 | ||||
3,836 | Morgan Stanley | 184,703 | ||||
177 | Piper Sandler Cos. | 14,771 | ||||
943 | Raymond James Financial, Inc. | 72,083 | ||||
3,126 | State Street Corp. | 184,121 | ||||
1,809 | Stifel Financial Corp. | 105,754 | ||||
1,988 | Virtu Financial, Inc., Class A | 42,504 | ||||
4,443 | Waddell & Reed Financial, Inc., Class A | 68,200 | ||||
2,083,404 | ||||||
Chemicals — 2.8% | ||||||
997 | Avient Corp. | 30,977 | ||||
359 | Cabot Corp. | 13,646 | ||||
863 | Celanese Corp. | 97,959 | ||||
2,979 | CF Industries Holdings, Inc. | 82,250 | ||||
4,701 | Corteva, Inc. | 155,039 | ||||
2,374 | Eastman Chemical Co. | 191,914 | ||||
6,529 | Element Solutions, Inc. (a) | 76,520 | ||||
576 | H.B. Fuller Co. | 26,064 | ||||
1,030 | Huntsman Corp. | 25,019 | ||||
786 | Ingevity Corp. (a) | 43,136 | ||||
204 | Innospec, Inc. | 13,493 | ||||
757 | International Flavors & Fragrances, Inc. (b) | 77,714 | ||||
3,290 | LyondellBasell Industries N.V., Class A | 225,200 | ||||
1,033 | Minerals Technologies, Inc. | 56,495 | ||||
134 | NewMarket Corp. | 47,930 | ||||
3,137 | Olin Corp. | 51,917 | ||||
370 | PPG Industries, Inc. | 47,996 | ||||
6,430 | PQ Group Holdings, Inc. (a) | 74,331 | ||||
224 | Sensient Technologies Corp. | 14,656 | ||||
242 | Stepan Co. | 28,178 |
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Chemicals (Continued) | ||||||
1,447 | Westlake Chemical Corp. | $ | 97,846 | |||
1,478,280 | ||||||
Commercial Services & Supplies — 0.9% | ||||||
1,136 | BrightView Holdings, Inc. (a) | 13,893 | ||||
816 | Clean Harbors, Inc. (a) | 43,224 | ||||
1,670 | Covanta Holding Corp. | 15,164 | ||||
601 | Healthcare Services Group, Inc. | 13,751 | ||||
1,238 | HNI Corp. | 40,297 | ||||
1,833 | KAR Auction Services, Inc. | 26,688 | ||||
886 | McGrath RentCorp | 50,573 | ||||
993 | Republic Services, Inc. | 87,553 | ||||
6,526 | Steelcase, Inc., Class A | 68,131 | ||||
240 | Tetra Tech, Inc. | 24,218 | ||||
362 | UniFirst Corp. | 59,299 | ||||
399 | Waste Management, Inc. | 43,056 | ||||
485,847 | ||||||
Communications Equipment — 0.5% | ||||||
3,438 | Cisco Systems, Inc. | 123,424 | ||||
1,560 | EchoStar Corp., Class A (a) | 36,130 | ||||
227 | InterDigital, Inc. | 12,708 | ||||
3,191 | Juniper Networks, Inc. | 62,927 | ||||
420 | NETGEAR, Inc. (a) | 12,944 | ||||
593 | NetScout Systems, Inc. (a) | 12,168 | ||||
767 | ViaSat, Inc. (a) | 26,001 | ||||
286,302 | ||||||
Construction & Engineering — 1.1% | ||||||
1,197 | Arcosa, Inc. | 55,266 | ||||
245 | Dycom Industries, Inc. (a) | 15,910 | ||||
676 | EMCOR Group, Inc. | 46,097 | ||||
3,746 | Granite Construction, Inc. | 72,335 | ||||
999 | Jacobs Engineering Group, Inc. | 94,905 | ||||
2,710 | MasTec, Inc. (a) | 134,524 | ||||
1,298 | Quanta Services, Inc. | 81,034 | ||||
553 | Valmont Industries, Inc. | 78,498 | ||||
578,569 | ||||||
Construction Materials — 0.6% | ||||||
265 | Eagle Materials, Inc. | 22,591 | ||||
575 | Martin Marietta Materials, Inc. | 153,151 | ||||
3,191 | Summit Materials, Inc., Class A (a) | 56,449 | ||||
684 | Vulcan Materials Co. | 99,071 | ||||
331,262 | ||||||
Consumer Finance — 1.8% | ||||||
4,562 | Ally Financial, Inc. | 121,714 | ||||
450 | American Express Co. | 41,058 | ||||
1,290 | Capital One Financial Corp. | 94,273 | ||||
1,605 | Discover Financial Services | 104,341 | ||||
1,710 | Encore Capital Group, Inc. (a) | 54,600 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Consumer Finance (Continued) | ||||||
461 | FirstCash, Inc. | $ | 23,990 | |||
6,246 | Navient Corp. | 50,031 | ||||
438 | Nelnet, Inc., Class A | 26,736 | ||||
3,659 | OneMain Holdings, Inc. | 127,663 | ||||
1,257 | Santander Consumer USA Holdings, Inc. | 25,567 | ||||
4,801 | SLM Corp. | 44,121 | ||||
8,858 | Synchrony Financial | 221,627 | ||||
935,721 | ||||||
Containers & Packaging — 1.1% | ||||||
202 | AptarGroup, Inc. | 23,046 | ||||
3,247 | Graphic Packaging Holding Co. | 43,153 | ||||
1,458 | Greif, Inc., Class A | 59,180 | ||||
3,341 | International Paper Co. | 146,169 | ||||
419 | Packaging Corp. of America | 47,971 | ||||
1,244 | Silgan Holdings, Inc. | 42,856 | ||||
1,344 | Sonoco Products Co. | 65,708 | ||||
3,292 | WestRock Co. | 123,615 | ||||
551,698 | ||||||
Distributors — 0.2% | ||||||
448 | Core-Mark Holding Co., Inc. | 12,253 | ||||
3,299 | LKQ Corp. (a) | 105,535 | ||||
117,788 | ||||||
Diversified Consumer Services — 0.6% | ||||||
2,689 | Adtalem Global Education, Inc. (a) | 63,030 | ||||
163 | Graham Holdings Co., Class B | 61,995 | ||||
858 | Grand Canyon Education, Inc. (a) | 67,241 | ||||
2,808 | H&R Block, Inc. | 48,466 | ||||
1,002 | K12, Inc. (a) | 23,918 | ||||
4,312 | Perdoceo Education Corp. (a) | 48,683 | ||||
542 | Service Corp. International | 25,100 | ||||
338,433 | ||||||
Diversified Financial Services — 1.0% | ||||||
636 | Berkshire Hathaway, Inc., Class B (a) | 128,409 | ||||
3,070 | Cannae Holdings, Inc. (a) | 113,529 | ||||
6,270 | Equitable Holdings, Inc. | 134,742 | ||||
6,353 | Jefferies Financial Group, Inc. | 123,947 | ||||
954 | Voya Financial, Inc. | 45,725 | ||||
546,352 | ||||||
Diversified Telecommunication Services — 1.2% | ||||||
8,131 | AT&T, Inc. | 219,700 | ||||
258 | ATN International, Inc. | 11,532 | ||||
22,974 | CenturyLink, Inc. | 198,036 | ||||
4,771 | Liberty Latin America Ltd., Class C (a) | 46,374 | ||||
3,117 | Verizon Communications, Inc. | 177,638 | ||||
653,280 | ||||||
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Electric Utilities — 5.7% | ||||||
2,210 | ALLETE, Inc. | $ | 113,992 | |||
3,590 | Alliant Energy Corp. | 198,455 | ||||
2,269 | American Electric Power Co., Inc. | 204,051 | ||||
1,530 | Duke Energy Corp. | 140,928 | ||||
3,648 | Edison International | 204,434 | ||||
1,882 | Entergy Corp. | 190,496 | ||||
4,561 | Evergy, Inc. | 251,767 | ||||
1,621 | Eversource Energy | 141,465 | ||||
6,482 | Exelon Corp. | 258,567 | ||||
4,717 | FirstEnergy Corp. | 140,189 | ||||
2,064 | Hawaiian Electric Industries, Inc. | 68,195 | ||||
859 | IDACORP, Inc. | 75,360 | ||||
654 | NextEra Energy, Inc. | 47,879 | ||||
3,720 | NRG Energy, Inc. | 117,627 | ||||
1,074 | Otter Tail Corp. | 41,188 | ||||
1,227 | Pinnacle West Capital Corp. | 100,086 | ||||
3,221 | Portland General Electric Co. | 126,585 | ||||
8,519 | PPL Corp. | 234,273 | ||||
3,420 | Southern (The) Co. | 196,479 | ||||
1,962 | Xcel Energy, Inc. | 137,399 | ||||
2,989,415 | ||||||
Electrical Equipment — 1.2% | ||||||
894 | Acuity Brands, Inc. | 79,691 | ||||
933 | AMETEK, Inc. | 91,621 | ||||
2,322 | Atkore International Group, Inc. (a) | 48,042 | ||||
773 | AZZ, Inc. | 25,965 | ||||
909 | Eaton Corp. PLC | 94,345 | ||||
2,065 | Emerson Electric Co. | 133,792 | ||||
837 | Encore Wire Corp. | 38,678 | ||||
682 | EnerSys | 48,831 | ||||
731 | Regal Beloit Corp. | 72,113 | ||||
633,078 | ||||||
Electronic Equipment, Instruments & Components — 1.4% | ||||||
872 | Arrow Electronics, Inc. (a) | 67,920 | ||||
4,426 | Avnet, Inc. | 109,189 | ||||
378 | CDW Corp. | 46,343 | ||||
1,393 | Corning, Inc. | 44,534 | ||||
361 | ePlus, Inc. (a) | 24,371 | ||||
638 | FLIR Systems, Inc. | 22,132 | ||||
686 | Insight Enterprises, Inc. (a) | 36,598 | ||||
135 | IPG Photonics Corp. (a) | 25,105 | ||||
668 | Jabil, Inc. | 22,138 | ||||
870 | Knowles Corp. (a) | 12,398 | ||||
2,315 | Methode Electronics, Inc. | 71,233 | ||||
340 | OSI Systems, Inc. (a) | 26,234 | ||||
643 | PC Connection, Inc. | 29,289 | ||||
1,951 | Sanmina Corp. (a) | 47,682 | ||||
653 | SYNNEX Corp. | 85,961 | ||||
2,313 | TTM Technologies, Inc. (a) | 27,455 | ||||
2,494 | Vishay Intertechnology, Inc. | 40,453 | ||||
739,035 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Energy Equipment & Services — 0.1% | ||||||
7,219 | Archrock, Inc. | $ | 42,809 | |||
675 | Cactus, Inc., Class A | 11,475 | ||||
884 | Helmerich & Payne, Inc. | 13,145 | ||||
67,429 | ||||||
Entertainment — 0.1% | ||||||
386 | Madison Square Garden Entertainment Corp. (a) | 25,090 | ||||
Equity Real Estate Investment Trusts — 4.4% | ||||||
6,283 | Acadia Realty Trust | 58,620 | ||||
1,310 | American Campus Communities, Inc. | 49,073 | ||||
8,418 | American Finance Trust, Inc. | 48,530 | ||||
2,746 | Apple Hospitality REIT, Inc. | 27,185 | ||||
907 | AvalonBay Communities, Inc. | 126,191 | ||||
2,309 | Boston Properties, Inc. | 167,195 | ||||
3,756 | Brandywine Realty Trust | 32,903 | ||||
7,826 | Brixmor Property Group, Inc. | 85,773 | ||||
1,187 | Columbia Property Trust, Inc. | 12,558 | ||||
8,247 | CoreCivic, Inc. | 52,863 | ||||
13,014 | DiamondRock Hospitality Co. | 64,289 | ||||
18,743 | Diversified Healthcare Trust | 54,261 | ||||
8,624 | Empire State Realty Trust, Inc., Class A | 46,397 | ||||
960 | EPR Properties | 22,886 | ||||
4,294 | Equity Commonwealth | 113,448 | ||||
5,818 | GEO Group (The), Inc. | 51,547 | ||||
4,239 | Host Hotels & Resorts, Inc. | 44,425 | ||||
4,172 | Hudson Pacific Properties, Inc. | 80,353 | ||||
855 | JBG SMITH Properties | 19,964 | ||||
10,156 | Kimco Realty Corp. | 104,201 | ||||
2,279 | Kite Realty Group Trust | 23,610 | ||||
9,717 | Macerich (The) Co. (b) | 67,630 | ||||
1,325 | National Retail Properties, Inc. | 42,413 | ||||
5,486 | Paramount Group, Inc. | 31,709 | ||||
4,212 | Pebblebrook Hotel Trust | 50,460 | ||||
1,203 | Regency Centers Corp. | 42,815 | ||||
2,534 | Retail Opportunity Investments Corp. | 24,656 | ||||
9,084 | Retail Properties of America, Inc., Class A | 47,600 | ||||
3,048 | RLJ Lodging Trust | 24,933 | ||||
6,637 | Sabra Health Care REIT, Inc. | 87,343 | ||||
8,299 | Service Properties Trust | 59,836 | ||||
698 | Simon Property Group, Inc. | 43,841 | ||||
9,164 | SITE Centers Corp. | 62,407 | ||||
2,466 | SL Green Realty Corp. | 105,569 | ||||
1,355 | Spirit Realty Capital, Inc. | 40,718 | ||||
6,788 | Urban Edge Properties | 63,807 | ||||
3,227 | Ventas, Inc. | 127,370 | ||||
3,890 | Weingarten Realty Investors | 61,695 | ||||
819 | Welltower, Inc. | 44,038 | ||||
1,475 | Xenia Hotels & Resorts, Inc. | 12,154 | ||||
2,327,266 |
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food & Staples Retailing — 1.1% | ||||||
258 | Casey’s General Stores, Inc. | $ | 43,491 | |||
6,836 | Kroger (The) Co. | 220,188 | ||||
195 | PriceSmart, Inc. | 13,455 | ||||
1,029 | US Foods Holding Corp. (a) | 21,506 | ||||
3,770 | Walgreens Boots Alliance, Inc. | 128,331 | ||||
663 | Walmart, Inc. | 91,991 | ||||
1,374 | Weis Markets, Inc. | 62,393 | ||||
581,355 | ||||||
Food Products — 3.1% | ||||||
4,986 | Archer-Daniels-Midland Co. | 230,553 | ||||
337 | Cal-Maine Foods, Inc. (a) | 12,924 | ||||
933 | Campbell Soup Co. | 43,543 | ||||
3,792 | Conagra Brands, Inc. | 133,061 | ||||
1,695 | Fresh Del Monte Produce, Inc. | 36,493 | ||||
2,196 | General Mills, Inc. | 129,828 | ||||
315 | Hershey (The) Co. | 43,300 | ||||
1,897 | Hormel Foods Corp. | 92,365 | ||||
2,140 | Hostess Brands, Inc. (a) | 27,050 | ||||
1,209 | Ingredion, Inc. | 85,706 | ||||
2,007 | J.M. Smucker (The) Co. | 225,185 | ||||
699 | Kellogg Co. | 43,960 | ||||
1,508 | Kraft Heinz (The) Co. | 46,130 | ||||
1,614 | Mondelez International, Inc., Class A | 85,736 | ||||
7,642 | Pilgrim’s Pride Corp. (a) | 127,927 | ||||
8 | Seaboard Corp. | 27,560 | ||||
3,897 | Tyson Foods, Inc., Class A | 223,025 | ||||
1,614,346 | ||||||
Gas Utilities — 1.4% | ||||||
1,940 | Atmos Energy Corp. | 177,840 | ||||
154 | Chesapeake Utilities Corp. | 14,970 | ||||
1,690 | National Fuel Gas Co. | 67,532 | ||||
3,386 | New Jersey Resources Corp. | 98,804 | ||||
994 | ONE Gas, Inc. | 68,626 | ||||
1,450 | Southwest Gas Holdings, Inc. | 95,294 | ||||
860 | Spire, Inc. | 48,194 | ||||
2,774 | UGI Corp. | 89,711 | ||||
660,971 | ||||||
Health Care Equipment & Supplies — 0.3% | ||||||
125 | ICU Medical, Inc. (a) | 22,224 | ||||
447 | Integer Holdings Corp. (a) | 26,127 | ||||
1,022 | Lantheus Holdings, Inc. (a) | 11,099 | ||||
892 | Medtronic PLC | 89,708 | ||||
149,158 | ||||||
Health Care Providers & Services — 3.8% | ||||||
3,103 | Acadia Healthcare Co., Inc. (a) | 110,622 | ||||
958 | AmerisourceBergen Corp. | 92,035 | ||||
221 | AMN Healthcare Services, Inc. (a) | 14,427 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Providers & Services (Continued) | ||||||
863 | Anthem, Inc. | $ | 235,426 | |||
3,950 | Cardinal Health, Inc. | 180,871 | ||||
3,180 | Centene Corp. (a) | 187,938 | ||||
3,969 | CVS Health Corp. | 222,621 | ||||
352 | Encompass Health Corp. | 21,581 | ||||
1,086 | HCA Healthcare, Inc. | 134,599 | ||||
778 | Henry Schein, Inc. (a) | 49,465 | ||||
240 | Laboratory Corp. of America Holdings (a) | 47,945 | ||||
871 | Magellan Health, Inc. (a) | 62,947 | ||||
303 | McKesson Corp. | 44,689 | ||||
740 | Molina Healthcare, Inc. (a) | 137,988 | ||||
424 | National HealthCare Corp. | 26,839 | ||||
1,183 | Quest Diagnostics, Inc. | 144,492 | ||||
1,268 | Select Medical Holdings Corp. (a) | 26,603 | ||||
434 | UnitedHealth Group, Inc. | 132,431 | ||||
1,069 | Universal Health Services, Inc., Class B | 117,109 | ||||
1,990,628 | ||||||
Health Care Technology — 0.1% | ||||||
3,242 | Allscripts Healthcare Solutions, Inc. (a) | 32,680 | ||||
624 | Cerner Corp. | 43,736 | ||||
76,416 | ||||||
Hotels, Restaurants & Leisure — 0.3% | ||||||
1,508 | Carnival Corp. (b) | 20,675 | ||||
728 | Hyatt Hotels Corp., Class A | 40,142 | ||||
5,258 | MGM Resorts International | 108,157 | ||||
168,974 | ||||||
Household Durables — 2.9% | ||||||
1,247 | Century Communities, Inc. (a) | 48,433 | ||||
3,065 | D.R. Horton, Inc. | 204,773 | ||||
2,383 | KB Home | 76,852 | ||||
409 | La-Z-Boy, Inc. | 14,000 | ||||
556 | Leggett & Platt, Inc. | 23,202 | ||||
2,838 | Lennar Corp., Class A | 199,313 | ||||
1,942 | M.D.C. Holdings, Inc. | 84,516 | ||||
1,433 | M/I Homes, Inc. (a) | 58,638 | ||||
829 | Meritage Homes Corp. (a) | 72,198 | ||||
1,172 | Mohawk Industries, Inc. (a) | 120,939 | ||||
23 | NVR, Inc. (a) | 90,921 | ||||
5,008 | PulteGroup, Inc. | 204,126 | ||||
1,860 | Taylor Morrison Home Corp. (a) | 40,176 | ||||
1,880 | Toll Brothers, Inc. | 79,486 | ||||
3,637 | TRI Pointe Group, Inc. (a) | 59,756 | ||||
736 | Whirlpool Corp. | 136,130 | ||||
1,513,459 | ||||||
Household Products — 0.0% | ||||||
747 | Reynolds Consumer Products, Inc. | 21,095 | ||||
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Independent Power and Renewable Electricity Producers — 0.2% | ||||||
387 | Ormat Technologies, Inc. | $ | 27,427 | |||
6,064 | Vistra Corp. | 105,331 | ||||
132,758 | ||||||
Industrial Conglomerates — 0.7% | ||||||
579 | 3M Co. | 92,617 | ||||
562 | Carlisle Cos., Inc. | 69,615 | ||||
29,767 | General Electric Co. | 220,871 | ||||
383,103 | ||||||
Insurance — 7.5% | ||||||
5,102 | Aflac, Inc. | 173,213 | ||||
44 | Alleghany Corp. | 24,065 | ||||
2,462 | Allstate (The) Corp. | 218,503 | ||||
2,400 | American Equity Investment Life Holding Co. | 59,568 | ||||
683 | American Financial Group, Inc. | 51,184 | ||||
1,640 | American International Group, Inc. | 51,644 | ||||
977 | American National Group, Inc. | 67,218 | ||||
7,925 | Arch Capital Group Ltd. (a) | 239,414 | ||||
428 | Arthur J. Gallagher & Co. | 44,388 | ||||
377 | Assurant, Inc. | 46,887 | ||||
3,072 | Assured Guaranty Ltd. | 78,428 | ||||
2,014 | Athene Holding Ltd., Class A (a) | 64,609 | ||||
519 | Axis Capital Holdings Ltd. | 22,156 | ||||
4,250 | Brighthouse Financial, Inc. (a) | 140,675 | ||||
799 | Chubb Ltd. | 103,798 | ||||
1,189 | Cincinnati Financial Corp. | 84,110 | ||||
4,113 | CNO Financial Group, Inc. | 73,006 | ||||
1,745 | Employers Holdings, Inc. | 55,857 | ||||
708 | Enstar Group Ltd. (a) | 121,684 | ||||
347 | Everest Re Group Ltd. | 68,387 | ||||
547 | FBL Financial Group, Inc., Class A | 27,180 | ||||
2,922 | Fidelity National Financial, Inc. | 91,429 | ||||
2,246 | First American Financial Corp. | 100,149 | ||||
859 | Globe Life, Inc. | 69,656 | ||||
736 | Hanover Insurance Group (The), Inc. | 70,406 | ||||
6,289 | Hartford Financial Services Group (The), Inc. | 242,252 | ||||
790 | Horace Mann Educators Corp. | 26,789 | ||||
1,711 | Kemper Corp. | 105,500 | ||||
1,460 | Lincoln National Corp. | 51,246 | ||||
638 | Mercury General Corp. | 25,973 | ||||
6,236 | MetLife, Inc. | 236,033 | ||||
3,103 | Old Republic International Corp. | 50,517 | ||||
404 | Primerica, Inc. | 44,537 | ||||
4,605 | Principal Financial Group, Inc. | 180,608 | ||||
828 | ProAssurance Corp. | 12,776 | ||||
1,959 | Progressive (The) Corp. | 180,032 | ||||
721 | Reinsurance Group of America, Inc. | 72,835 | ||||
562 | Safety Insurance Group, Inc. | 39,340 | ||||
888 | Selective Insurance Group, Inc. | 46,229 | ||||
1,207 | Stewart Information Services Corp. | 51,165 | ||||
1,714 | Travelers (The) Cos., Inc. | 206,897 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
6,795 | Unum Group | $ | 120,000 | |||
738 | W.R. Berkley Corp. | 44,369 | ||||
88 | White Mountains Insurance Group Ltd. | 79,933 | ||||
3,964,645 | ||||||
Internet & Direct Marketing Retail — 0.1% | ||||||
26 | Booking Holdings, Inc. (a) | 42,185 | ||||
3,185 | Qurate Retail, Inc., Series A | 21,562 | ||||
63,747 | ||||||
IT Services — 1.2% | ||||||
322 | CACI International, Inc., Class A (a) | 67,147 | ||||
1,951 | Cognizant Technology Solutions Corp., Class A | 139,340 | ||||
1,113 | International Business Machines Corp. | 124,278 | ||||
1,040 | Leidos Holdings, Inc. | 86,320 | ||||
383 | ManTech International Corp., Class A | 24,849 | ||||
669 | MAXIMUS, Inc. | 45,211 | ||||
292 | Science Applications International Corp. | 22,300 | ||||
1,135 | Sykes Enterprises, Inc. (a) | 38,862 | ||||
4,327 | Western Union (The) Co. | 84,117 | ||||
632,424 | ||||||
Leisure Products — 0.2% | ||||||
681 | Acushnet Holdings Corp. | 23,243 | ||||
1,121 | Hasbro, Inc. | 92,729 | ||||
115,972 | ||||||
Machinery — 3.5% | ||||||
120 | Alamo Group, Inc. | 14,440 | ||||
784 | Albany International Corp., Class A | 39,937 | ||||
1,953 | Allison Transmission Holdings, Inc. | 70,601 | ||||
1,477 | Barnes Group, Inc. | 54,206 | ||||
622 | Caterpillar, Inc. | 97,685 | ||||
184 | Chart Industries, Inc. (a) | 15,539 | ||||
641 | Cummins, Inc. | 140,949 | ||||
204 | Deere & Co. | 46,086 | ||||
856 | Dover Corp. | 94,768 | ||||
230 | EnPro Industries, Inc. | 13,575 | ||||
1,676 | Flowserve Corp. | 48,805 | ||||
439 | Gorman-Rupp (The) Co. | 13,631 | ||||
2,244 | Greenbrier (The) Cos., Inc. | 60,543 | ||||
247 | IDEX Corp. | 42,086 | ||||
1,162 | ITT, Inc. | 70,313 | ||||
249 | John Bean Technologies Corp. | 20,908 | ||||
249 | Lincoln Electric Holdings, Inc. | 25,353 | ||||
2,521 | Meritor, Inc. (a) | 61,361 | ||||
510 | Middleby (The) Corp. (a) | 50,765 | ||||
1,435 | Mueller Industries, Inc. | 41,515 |
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Machinery (Continued) | ||||||
2,540 | Mueller Water Products, Inc., Class A | $ | 26,314 | |||
1,245 | Oshkosh Corp. | 83,863 | ||||
1,588 | PACCAR, Inc. | 135,583 | ||||
458 | Parker-Hannifin Corp. | 95,429 | ||||
466 | Snap-on, Inc. | 73,409 | ||||
279 | SPX Corp. (a) | 11,827 | ||||
278 | Stanley Black & Decker, Inc. | 46,204 | ||||
1,687 | Timken (The) Co. | 100,714 | ||||
1,703 | TriMas Corp. (a) | 41,434 | ||||
1,354 | Trinity Industries, Inc. | 25,509 | ||||
2,190 | Westinghouse Air Brake Technologies Corp. | 129,867 | ||||
571 | Woodward, Inc. | 45,423 | ||||
1,838,642 | ||||||
Marine — 0.1% | ||||||
969 | Matson, Inc. | 50,340 | ||||
Media — 2.3% | ||||||
2,136 | AMC Networks, Inc., Class A (a) (b) | 45,390 | ||||
72 | Charter Communications, Inc., Class A (a) | 43,475 | ||||
4,009 | Comcast Corp., Class A | 169,340 | ||||
5,253 | Discovery, Inc., Class A (a) | 106,321 | ||||
3,939 | DISH Network Corp., Class A (a) | 100,405 | ||||
3,332 | Fox Corp., Class A | 88,364 | ||||
4,791 | Gray Television, Inc. (a) | 60,750 | ||||
2,744 | Interpublic Group of (The) Cos., Inc. | 49,639 | ||||
1,017 | Nexstar Media Group, Inc., Class A | 83,801 | ||||
2,736 | Omnicom Group, Inc. | 129,139 | ||||
3,431 | Sinclair Broadcast Group, Inc., Class A (b) | 63,748 | ||||
4,492 | TEGNA, Inc. | 54,039 | ||||
6,621 | ViacomCBS, Inc., Class B | 189,162 | ||||
1,183,573 | ||||||
Metals & Mining — 1.3% | ||||||
2,771 | Arconic Corp. (a) | 60,242 | ||||
725 | Kaiser Aluminum Corp. | 45,624 | ||||
249 | Materion Corp. | 12,746 | ||||
4,134 | Nucor Corp. | 197,440 | ||||
1,121 | Reliance Steel & Aluminum Co. | 122,178 | ||||
3,994 | Steel Dynamics, Inc. | 125,731 | ||||
3,863 | Warrior Met Coal, Inc. | 57,945 | ||||
1,618 | Worthington Industries, Inc. | 79,622 | ||||
701,528 | ||||||
Mortgage Real Estate Investment Trusts — 0.4% | ||||||
1,437 | Apollo Commercial Real Estate Finance, Inc. | 12,502 | ||||
1,129 | Arbor Realty Trust, Inc. | 13,345 | ||||
1,041 | Blackstone Mortgage Trust, Inc., Class A | 22,590 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Mortgage Real Estate Investment Trusts (Continued) | ||||||
2,677 | Broadmark Realty Capital, Inc. | $ | 26,690 | |||
1,579 | Chimera Investment Corp. | 13,185 | ||||
5,455 | Ladder Capital Corp. | 40,912 | ||||
4,547 | Starwood Property Trust, Inc. | 63,521 | ||||
192,745 | ||||||
Multiline Retail — 0.6% | ||||||
1,015 | Dollar Tree, Inc. (a) | 91,675 | ||||
6,172 | Kohl’s Corp. | 131,402 | ||||
589 | Target Corp. | 89,657 | ||||
312,734 | ||||||
Multi-Utilities — 2.9% | ||||||
1,712 | Ameren Corp. | 138,877 | ||||
1,547 | Avista Corp. | 51,391 | ||||
1,710 | Black Hills Corp. | 96,889 | ||||
1,510 | CMS Energy Corp. | 95,628 | ||||
2,384 | Consolidated Edison, Inc. | 187,120 | ||||
1,612 | DTE Energy Co. | 198,953 | ||||
5,083 | MDU Resources Group, Inc. | 120,772 | ||||
1,040 | NiSource, Inc. | 23,889 | ||||
1,882 | NorthWestern Corp. | 98,109 | ||||
3,378 | Public Service Enterprise Group, Inc. | 196,431 | ||||
1,959 | Sempra Energy | 245,580 | ||||
958 | WEC Energy Group, Inc. | 96,327 | ||||
1,549,966 | ||||||
Oil, Gas & Consumable Fuels — 3.9% | ||||||
1,882 | Chevron Corp. | 130,799 | ||||
7,059 | ConocoPhillips | 202,029 | ||||
5,329 | CVR Energy, Inc. | 58,672 | ||||
3,490 | Delek US Holdings, Inc. | 35,110 | ||||
6,450 | EOG Resources, Inc. | 220,848 | ||||
6,752 | Exxon Mobil Corp. | 220,250 | ||||
3,481 | HollyFrontier Corp. | 64,433 | ||||
10,983 | Kinder Morgan, Inc. | 130,698 | ||||
22,368 | Marathon Oil Corp. | 88,577 | ||||
6,390 | Matador Resources Co. (a) | 45,177 | ||||
7,396 | Murphy Oil Corp. | 57,097 | ||||
5,213 | ONEOK, Inc. | 151,177 | ||||
4,258 | PDC Energy, Inc. (a) | 50,755 | ||||
2,696 | Pioneer Natural Resources Co. | 214,494 | ||||
1,235 | Renewable Energy Group, Inc. (a) | 69,654 | ||||
5,351 | Valero Energy Corp. | 206,602 | ||||
2,297 | Williams (The) Cos., Inc. | 44,080 | ||||
3,114 | World Fuel Services Corp. | 65,550 | ||||
2,056,002 | ||||||
Paper & Forest Products — 0.3% | ||||||
973 | Boise Cascade Co. | 37,344 | ||||
2,009 | Domtar Corp. | 47,975 |
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Paper & Forest Products (Continued) | ||||||
2,171 | Schweitzer-Mauduit International, Inc. | $ | 72,077 | |||
157,396 | ||||||
Personal Products — 0.2% | ||||||
1,393 | Edgewell Personal Care Co. (a) | 36,525 | ||||
347 | Inter Parfums, Inc. | 14,248 | ||||
527 | Nu Skin Enterprises, Inc., Class A | 26,007 | ||||
76,780 | ||||||
Pharmaceuticals — 0.8% | ||||||
160 | Jazz Pharmaceuticals PLC (a) | 23,056 | ||||
7,712 | Mylan N.V. (a) | 112,133 | ||||
1,495 | Perrigo Co. PLC | 65,586 | ||||
5,053 | Pfizer, Inc. | 179,280 | ||||
1,066 | Prestige Consumer Healthcare, Inc. (a) | 35,210 | ||||
415,265 | ||||||
Professional Services — 0.7% | ||||||
1,080 | ASGN, Inc. (a) | 72,015 | ||||
1,154 | CBIZ, Inc. (a) | 26,161 | ||||
631 | ICF International, Inc. | 41,261 | ||||
698 | Insperity, Inc. | 53,453 | ||||
446 | Korn Ferry | 13,465 | ||||
624 | ManpowerGroup, Inc. | 42,351 | ||||
864 | Robert Half International, Inc. | 43,796 | ||||
771 | TriNet Group, Inc. (a) | 53,137 | ||||
345,639 | ||||||
Real Estate Management & Development — 1.0% | ||||||
4,935 | CBRE Group, Inc., Class A (a) | 248,724 | ||||
2,194 | Forestar Group, Inc. (a) | 36,508 | ||||
397 | Howard Hughes (The) Corp. (a) | 24,689 | ||||
1,195 | Jones Lang LaSalle, Inc. | 134,868 | ||||
2,675 | Kennedy-Wilson Holdings, Inc. | 35,256 | ||||
959 | Marcus & Millichap, Inc. (a) | 29,950 | ||||
509,995 | ||||||
Road & Rail — 1.6% | ||||||
257 | AMERCO | 89,220 | ||||
1,194 | CSX Corp. | 94,254 | ||||
2,088 | Heartland Express, Inc. | 38,231 | ||||
1,072 | J.B. Hunt Transport Services, Inc. | 130,505 | ||||
250 | Kansas City Southern | 44,035 | ||||
2,248 | Knight-Swift Transportation Holdings, Inc. | 85,402 | ||||
182 | Landstar System, Inc. | 22,695 | ||||
2,380 | Marten Transport Ltd. | 36,521 | ||||
433 | Norfolk Southern Corp. | 90,549 | ||||
919 | Ryder System, Inc. | 45,270 | ||||
1,068 | Schneider National, Inc., Class B | 23,560 | ||||
229 | Union Pacific Corp. | 40,577 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Road & Rail (Continued) | ||||||
2,179 | Werner Enterprises, Inc. | $ | 82,846 | |||
823,665 | ||||||
Semiconductors & Semiconductor Equipment — 0.8% | ||||||
10,211 | Amkor Technology, Inc. (a) | 121,000 | ||||
1,200 | Axcelis Technologies, Inc. (a) | 26,484 | ||||
346 | First Solar, Inc. (a) | 30,118 | ||||
4,936 | Micron Technology, Inc. (a) | 248,478 | ||||
603 | Ultra Clean Holdings, Inc. (a) | 12,838 | ||||
438,918 | ||||||
Software — 0.4% | ||||||
8,900 | NortonLifeLock, Inc. | 183,073 | ||||
1,163 | Teradata Corp. (a) | 21,364 | ||||
204,437 | ||||||
Specialty Retail — 1.7% | ||||||
604 | Advance Auto Parts, Inc. | 88,957 | ||||
271 | Asbury Automotive Group, Inc. (a) | 27,908 | ||||
1,296 | AutoNation, Inc. (a) | 73,522 | ||||
1,217 | Best Buy Co., Inc. | 135,756 | ||||
1,905 | Buckle (The), Inc. | 45,644 | ||||
491 | CarMax, Inc. (a) | 42,442 | ||||
1,185 | Dick’s Sporting Goods, Inc. | 67,130 | ||||
2,770 | Foot Locker, Inc. | 102,158 | ||||
597 | Group 1 Automotive, Inc. | 63,330 | ||||
100 | Lithia Motors, Inc., Class A | 22,957 | ||||
320 | Monro, Inc. | 13,459 | ||||
713 | Murphy USA, Inc. (a) | 87,193 | ||||
1,440 | Penske Automotive Group, Inc. | 73,670 | ||||
4,469 | Sally Beauty Holdings, Inc. (a) | 37,406 | ||||
622 | Urban Outfitters, Inc. (a) | 13,895 | ||||
895,427 | ||||||
Technology Hardware, Storage & Peripherals — 1.6% | ||||||
667 | Dell Technologies, Inc., Class C (a) | 40,193 | ||||
19,792 | Hewlett Packard Enterprise Co. | 171,003 | ||||
7,131 | HP, Inc. | 128,073 | ||||
2,384 | NCR Corp. (a) | 48,443 | ||||
1,882 | Seagate Technology PLC | 89,997 | ||||
1,471 | Super Micro Computer, Inc. (a) | 33,421 | ||||
6,342 | Western Digital Corp. | 239,284 | ||||
6,093 | Xerox Holdings Corp. | 105,896 | ||||
856,310 | ||||||
Textiles, Apparel & Luxury Goods — 0.2% | ||||||
264 | Carter’s, Inc. | 21,503 | ||||
263 | Columbia Sportswear Co. | 19,617 | ||||
673 | Ralph Lauren Corp. | 44,990 | ||||
757 | Skechers U.S.A., Inc., Class A (a) | 24,004 | ||||
501 | Wolverine World Wide, Inc. | 13,362 | ||||
123,476 | ||||||
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Thrifts & Mortgage Finance — 1.5% | ||||||
2,264 | Axos Financial, Inc. (a) | $ | 61,717 | |||
1,398 | Capitol Federal Financial, Inc. | 16,049 | ||||
3,090 | Essent Group Ltd. | 123,136 | ||||
12,907 | MGIC Investment Corp. | 129,844 | ||||
11,063 | New York Community Bancorp, Inc. | 91,933 | ||||
1,407 | Northwest Bancshares, Inc. | 15,013 | ||||
3,184 | Provident Financial Services, Inc. | 43,207 | ||||
7,827 | Radian Group, Inc. | 140,495 | ||||
1,245 | Walker & Dunlop, Inc. | 78,286 | ||||
2,530 | Washington Federal, Inc. | 53,864 | ||||
1,440 | WSFS Financial Corp. | 45,633 | ||||
799,177 | ||||||
Tobacco — 0.1% | ||||||
1,575 | Universal Corp. | 62,764 | ||||
Trading Companies & Distributors — 1.6% | ||||||
3,887 | Air Lease Corp. | 105,882 | ||||
479 | Applied Industrial Technologies, Inc. | 29,243 | ||||
417 | Beacon Roofing Supply, Inc. (a) | 12,802 | ||||
1,035 | GATX Corp. | 70,670 | ||||
1,612 | GMS, Inc. (a) | 36,431 | ||||
981 | Herc Holdings, Inc. (a) | 43,517 | ||||
1,084 | MSC Industrial Direct Co., Inc., Class A | 75,511 | ||||
1,566 | Rush Enterprises, Inc., Class A | 56,125 | ||||
541 | Systemax, Inc. | 15,381 | ||||
1,622 | Triton International Ltd. | 59,819 | ||||
1,328 | United Rentals, Inc. (a) | 236,769 | ||||
1,355 | Univar Solutions, Inc. (a) | 22,480 | ||||
127 | W.W. Grainger, Inc. | 44,453 | ||||
882 | WESCO International, Inc. (a) | 36,374 | ||||
845,457 | ||||||
Transportation Infrastructure — 0.2% | ||||||
3,402 | Macquarie Infrastructure Corp. | 87,772 | ||||
Wireless Telecommunication Services — 0.5% | ||||||
3,578 | Telephone and Data Systems, Inc. | 60,826 | ||||
1,184 | T-Mobile US, Inc. (a) | 129,731 | ||||
2,234 | United States Cellular Corp. (a) | 65,054 | ||||
255,611 | ||||||
Total Common Stocks — 99.8% | 52,545,358 | |||||
(Cost $53,873,514) | ||||||
Money Market Funds — 0.3% | ||||||
35,279 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 35,279 | ||||
Shares | Description | Value | ||||
Money Market Funds (Continued) | ||||||
102,910 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | $ | 102,910 | |||
Total Money Market Funds — 0.3% | 138,189 | |||||
(Cost $138,189) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 0.4% | |||||||
$ | 202,405 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $202,406. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $206,336. (d) | 202,405 | ||||
(Cost $202,405) | |||||||
Total Investments — 100.5% | 52,885,952 | ||||||
(Cost $54,214,108) (e) | |||||||
Net Other Assets and Liabilities — (0.5)% | (239,862 | ) | |||||
Net Assets — 100.0% | $ | 52,646,090 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $234,583 and the total value of the collateral held by the Fund is $237,684. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $3,558,371 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $4,886,527. The net unrealized depreciation was $1,328,156. |
First Trust Multi Cap Value AlphaDEX® Fund (FAB) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 52,545,358 | $ | — | $ | — | ||||||
Money Market Funds | 138,189 | — | — | |||||||||
Repurchase Agreements | — | 202,405 | — | |||||||||
Total Investments | $ | 52,683,547 | $ | 202,405 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Aerospace & Defense — 0.9% | ||||||
1,952 | Aerojet Rocketdyne Holdings, Inc. (a) | $ | 63,284 | |||
734 | AeroVironment, Inc. (a) | 56,048 | ||||
1,717 | Axon Enterprise, Inc. (a) | 169,811 | ||||
2,765 | BWX Technologies, Inc. | 152,103 | ||||
6,858 | Kratos Defense & Security Solutions, Inc. (a) | 129,548 | ||||
905 | L3Harris Technologies, Inc. | 145,804 | ||||
401 | Lockheed Martin Corp. | 140,402 | ||||
9,005 | Maxar Technologies, Inc. | 232,059 | ||||
2,010 | Mercury Systems, Inc. (a) | 138,449 | ||||
664 | TransDigm Group, Inc. | 317,000 | ||||
1,544,508 | ||||||
Air Freight & Logistics — 0.2% | ||||||
7,170 | Air Transport Services Group, Inc. (a) | 201,047 | ||||
3,688 | Atlas Air Worldwide Holdings, Inc. (a) | 218,182 | ||||
419,229 | ||||||
Auto Components — 0.3% | ||||||
7,638 | American Axle & Manufacturing Holdings, Inc. (a) | 51,327 | ||||
2,095 | Fox Factory Holding Corp. (a) | 176,148 | ||||
3,124 | Patrick Industries, Inc. | 174,163 | ||||
7,107 | Workhorse Group, Inc. (a) (b) | 109,306 | ||||
510,944 | ||||||
Automobiles — 0.6% | ||||||
1,472 | Tesla, Inc. (a) | 571,195 | ||||
3,269 | Thor Industries, Inc. | 276,492 | ||||
2,559 | Winnebago Industries, Inc. | 120,145 | ||||
967,832 | ||||||
Banks — 0.6% | ||||||
765 | City Holding Co. | 46,229 | ||||
2,894 | First Republic Bank | 365,049 | ||||
841 | Independent Bank Corp. | 48,181 | ||||
1,070 | Lakeland Financial Corp. | 54,709 | ||||
3,422 | National Bank Holdings Corp., Class A | 103,173 | ||||
2,640 | ServisFirst Bancshares, Inc. | 97,416 | ||||
1,295 | Stock Yards Bancorp, Inc. | 49,495 | ||||
8,459 | Umpqua Holdings Corp. | 106,245 | ||||
7,764 | Veritex Holdings, Inc. | 153,184 | ||||
1,023,681 | ||||||
Beverages — 1.0% | ||||||
441 | Boston Beer (The) Co., Inc., Class A (a) | 458,278 | ||||
2,040 | Brown-Forman Corp., Class B | 142,208 | ||||
7,871 | Monster Beverage Corp. (a) | 602,683 | ||||
4,579 | National Beverage Corp. (a) (b) | 358,490 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Beverages (Continued) | ||||||
1,109 | PepsiCo, Inc. | $ | 147,819 | |||
1,709,478 | ||||||
Biotechnology — 6.8% | ||||||
2,768 | Acceleron Pharma, Inc. (a) | 289,477 | ||||
4,029 | Alexion Pharmaceuticals, Inc. (a) | 463,899 | ||||
4,699 | Alkermes PLC (a) | 76,359 | ||||
2,168 | Alnylam Pharmaceuticals, Inc. (a) | 266,599 | ||||
13,612 | Altimmune, Inc. (a) | 155,857 | ||||
1,242 | Amgen, Inc. | 269,439 | ||||
16,542 | Amicus Therapeutics, Inc. (a) | 294,944 | ||||
3,082 | Arcturus Therapeutics Holdings, Inc. (a) | 166,675 | ||||
5,241 | Arcus Biosciences, Inc. (a) | 114,254 | ||||
2,082 | Arena Pharmaceuticals, Inc. (a) | 178,469 | ||||
1,808 | Arrowhead Pharmaceuticals, Inc. (a) | 103,598 | ||||
10,927 | Athenex, Inc. (a) | 124,568 | ||||
1,113 | Biogen, Inc. (a) | 280,554 | ||||
3,360 | Blueprint Medicines Corp. (a) | 343,661 | ||||
4,736 | CareDx, Inc. (a) | 232,301 | ||||
4,262 | ChemoCentryx, Inc. (a) | 204,576 | ||||
7,209 | Coherus Biosciences, Inc. (a) | 120,174 | ||||
4,654 | CRISPR Therapeutics AG (a) | 427,330 | ||||
4,150 | Cytokinetics, Inc. (a) | 63,785 | ||||
3,690 | Denali Therapeutics, Inc. (a) | 157,858 | ||||
2,450 | Dicerna Pharmaceuticals, Inc. (a) | 51,425 | ||||
3,202 | Editas Medicine, Inc. (a) | 99,070 | ||||
3,767 | Emergent BioSolutions, Inc. (a) | 338,917 | ||||
2,417 | Esperion Therapeutics, Inc. (a) (b) | 72,437 | ||||
6,192 | Exact Sciences Corp. (a) | 766,755 | ||||
9,553 | Exelixis, Inc. (a) | 195,645 | ||||
7,792 | Fate Therapeutics, Inc. (a) | 345,965 | ||||
5,925 | Halozyme Therapeutics, Inc. (a) | 165,900 | ||||
2,974 | Heron Therapeutics, Inc. (a) | 48,506 | ||||
6,712 | Inovio Pharmaceuticals, Inc. (a) (b) | 66,113 | ||||
12,112 | Insmed, Inc. (a) | 398,969 | ||||
6,651 | Intellia Therapeutics, Inc. (a) | 159,225 | ||||
7,184 | Invitae Corp. (a) (b) | 281,685 | ||||
4,899 | Ironwood Pharmaceuticals, Inc. (a) | 48,402 | ||||
6,153 | Karyopharm Therapeutics, Inc. (a) | 91,187 | ||||
7,133 | MacroGenics, Inc. (a) | 138,452 | ||||
4,825 | Mersana Therapeutics, Inc. (a) | 86,946 | ||||
1,407 | Mirati Therapeutics, Inc. (a) | 305,516 | ||||
4,461 | Moderna, Inc. (a) | 300,984 | ||||
12,954 | NantKwest, Inc. (a) (b) | 97,285 | ||||
5,389 | Natera, Inc. (a) | 362,464 | ||||
2,874 | Novavax, Inc. (a) | 231,961 | ||||
84,400 | OPKO Health, Inc. (a) (b) | 297,088 | ||||
564 | Regeneron Pharmaceuticals, Inc. (a) | 306,568 | ||||
4,867 | Retrophin, Inc. (a) | 98,508 | ||||
13,991 | Sangamo Therapeutics, Inc. (a) | 144,667 | ||||
2,248 | Sarepta Therapeutics, Inc. (a) | 305,526 | ||||
3,226 | Seagen, Inc. (a) | 538,097 | ||||
16,114 | Sorrento Therapeutics, Inc. (a) (b) | 111,831 | ||||
6,714 | TG Therapeutics, Inc. (a) | 169,663 |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Biotechnology (Continued) | ||||||
6,601 | Translate Bio, Inc. (a) | $ | 84,691 | |||
2,956 | Twist Bioscience Corp. (a) | 226,548 | ||||
3,789 | Ultragenyx Pharmaceutical, Inc. (a) | 380,795 | ||||
4,069 | Veracyte, Inc. (a) | 141,032 | ||||
565 | Vertex Pharmaceuticals, Inc. (a) | 117,723 | ||||
1,136 | Xencor, Inc. (a) | 43,600 | ||||
11,954,523 | ||||||
Building Products — 1.1% | ||||||
3,877 | AAON, Inc. | 226,455 | ||||
6,235 | Advanced Drainage Systems, Inc. | 395,486 | ||||
1,712 | CSW Industrials, Inc. | 146,427 | ||||
3,448 | Gibraltar Industries, Inc. (a) | 198,088 | ||||
9,195 | Griffon Corp. | 197,141 | ||||
10,255 | PGT Innovations, Inc. (a) | 170,028 | ||||
3,205 | Simpson Manufacturing Co., Inc. | 284,348 | ||||
4,350 | Trex Co., Inc. (a) | 302,499 | ||||
1,920,472 | ||||||
Capital Markets — 3.1% | ||||||
7,054 | Apollo Global Management, Inc. | 260,010 | ||||
1,926 | Ares Management Corp., Class A | 81,470 | ||||
4,608 | Artisan Partners Asset Management, Inc., Class A | 184,597 | ||||
2,027 | Assetmark Financial Holdings, Inc. (a) | 42,871 | ||||
560 | BlackRock, Inc. | 335,558 | ||||
13,928 | Brightsphere Investment Group, Inc. | 192,206 | ||||
459 | FactSet Research Systems, Inc. | 140,684 | ||||
5,480 | Focus Financial Partners, Inc., Class A (a) | 200,075 | ||||
682 | Hamilton Lane, Inc., Class A | 47,535 | ||||
2,637 | Houlihan Lokey, Inc. | 165,340 | ||||
1,536 | Intercontinental Exchange, Inc. | 144,998 | ||||
3,047 | LPL Financial Holdings, Inc. | 243,547 | ||||
655 | MarketAxess Holdings, Inc. | 352,947 | ||||
2,557 | Moelis & Co., Class A | 95,120 | ||||
1,590 | Moody’s Corp. | 418,011 | ||||
1,454 | Morningstar, Inc. | 276,813 | ||||
885 | MSCI, Inc. | 309,608 | ||||
3,757 | Nasdaq, Inc. | 454,559 | ||||
3,705 | PJT Partners, Inc., Class A | 250,680 | ||||
1,278 | S&P Global, Inc. | 412,449 | ||||
3,512 | StoneX Group, Inc. (a) | 186,066 | ||||
2,462 | T. Rowe Price Group, Inc. | 311,837 | ||||
1,342 | Tradeweb Markets, Inc., Class A | 73,112 | ||||
1,296 | Virtus Investment Partners, Inc. | 206,777 | ||||
5,386,870 | ||||||
Chemicals — 1.5% | ||||||
1,548 | Air Products and Chemicals, Inc. | 427,620 | ||||
2,616 | Albemarle Corp. | 243,838 | ||||
797 | Balchem Corp. | 79,660 | ||||
462 | Chase Corp. | 43,964 | ||||
2,980 | FMC Corp. | 306,165 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Chemicals (Continued) | ||||||
4,288 | GCP Applied Technologies, Inc. (a) | $ | 93,521 | |||
1,300 | Quaker Chemical Corp. | 248,027 | ||||
2,546 | Scotts Miracle-Gro (The) Co. | 382,027 | ||||
906 | Sherwin-Williams (The) Co. | 623,310 | ||||
8,178 | Valvoline, Inc. | 160,861 | ||||
2,608,993 | ||||||
Commercial Services & Supplies — 1.9% | ||||||
38,119 | ADT, Inc. | 251,204 | ||||
1,072 | Brink’s (The) Co. | 45,914 | ||||
5,576 | Casella Waste Systems, Inc., Class A (a) | 301,048 | ||||
2,072 | Cimpress PLC (a) | 152,085 | ||||
1,897 | Cintas Corp. | 596,701 | ||||
4,384 | Copart, Inc. (a) | 483,818 | ||||
5,981 | IAA, Inc. (a) | 338,465 | ||||
1,741 | MSA Safety, Inc. | 229,673 | ||||
14,562 | Rollins, Inc. | 842,412 | ||||
1,349 | US Ecology, Inc. | 41,171 | ||||
3,282,491 | ||||||
Communications Equipment — 0.6% | ||||||
12,632 | Calix, Inc. (a) | 295,715 | ||||
1,962 | Ciena Corp. (a) | 77,283 | ||||
14,690 | CommScope Holding Co., Inc. (a) | 130,741 | ||||
29,168 | Infinera Corp. (a) | 182,592 | ||||
12,811 | Inseego Corp. (a) (b) | 111,456 | ||||
2,073 | Lumentum Holdings, Inc. (a) | 171,416 | ||||
980 | Motorola Solutions, Inc. | 154,899 | ||||
1,124,102 | ||||||
Construction & Engineering — 0.4% | ||||||
6,724 | Ameresco, Inc., Class A (a) | 258,134 | ||||
4,360 | Comfort Systems USA, Inc. | 199,688 | ||||
14,003 | WillScot Mobile Mini Holdings Corp. (a) | 260,176 | ||||
717,998 | ||||||
Construction Materials — 0.1% | ||||||
19,001 | Forterra, Inc. (a) | 247,963 | ||||
Consumer Finance — 0.2% | ||||||
230 | Credit Acceptance Corp. (a) (b) | 68,568 | ||||
761 | LendingTree, Inc. (a) | 246,252 | ||||
3,310 | PRA Group, Inc. (a) | 112,970 | ||||
427,790 | ||||||
Containers & Packaging — 0.7% | ||||||
1,827 | Avery Dennison Corp. | 252,839 | ||||
8,057 | Berry Global Group, Inc. (a) | 375,698 | ||||
3,039 | Crown Holdings, Inc. (a) | 260,746 | ||||
16,966 | O-I Glass, Inc. | 159,989 |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Containers & Packaging (Continued) | ||||||
6,018 | Sealed Air Corp. | $ | 238,253 | |||
1,287,525 | ||||||
Distributors — 0.5% | ||||||
2,359 | Pool Corp. | 825,249 | ||||
Diversified Consumer Services — 0.4% | ||||||
8,837 | Chegg, Inc. (a) | 648,989 | ||||
2,001 | frontdoor, Inc. (a) | 79,280 | ||||
728,269 | ||||||
Diversified Telecommunication Services — 0.3% | ||||||
2,230 | Bandwidth, Inc., Class A (a) | 357,592 | ||||
3,044 | Iridium Communications, Inc. (a) | 80,392 | ||||
437,984 | ||||||
Electric Utilities — 0.1% | ||||||
3,768 | PNM Resources, Inc. | 188,400 | ||||
Electrical Equipment — 1.1% | ||||||
12,498 | Bloom Energy Corp., Class A (a) | 157,975 | ||||
2,010 | Generac Holdings, Inc. (a) | 422,401 | ||||
1,138 | Hubbell, Inc. | 165,590 | ||||
13,398 | Plug Power, Inc. (a) | 187,572 | ||||
1,430 | Rockwell Automation, Inc. | 339,082 | ||||
5,051 | Sunrun, Inc. (a) | 262,753 | ||||
7,755 | TPI Composites, Inc. (a) | 256,846 | ||||
1,701 | Vicor Corp. (a) | 132,678 | ||||
1,924,897 | ||||||
Electronic Equipment, Instruments & Components — 1.2% | ||||||
2,915 | Amphenol Corp., Class A | 328,929 | ||||
1,374 | Badger Meter, Inc. | 100,769 | ||||
2,361 | Cognex Corp. | 155,590 | ||||
1,175 | Dolby Laboratories, Inc., Class A | 88,219 | ||||
2,168 | FARO Technologies, Inc. (a) | 130,600 | ||||
5,759 | II-VI, Inc. (a) | 261,862 | ||||
5,631 | nLight, Inc. (a) | 119,602 | ||||
1,872 | Plexus Corp. (a) | 130,179 | ||||
9,466 | Trimble, Inc. (a) | 455,599 | ||||
1,250 | Zebra Technologies Corp., Class A (a) | 354,550 | ||||
2,125,899 | ||||||
Energy Equipment & Services — 0.0% | ||||||
54,618 | Transocean Ltd. (a) | 36,621 | ||||
Entertainment — 1.8% | ||||||
1,898 | Activision Blizzard, Inc. | 143,736 | ||||
2,420 | Electronic Arts, Inc. (a) | 289,989 | ||||
11,705 | Glu Mobile, Inc. (a) | 83,808 | ||||
1,263 | Netflix, Inc. (a) | 600,860 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Entertainment (Continued) | ||||||
4,180 | Roku, Inc. (a) | $ | 846,032 | |||
3,821 | Take-Two Interactive Software, Inc. (a) | 591,949 | ||||
2,220 | World Wrestling Entertainment, Inc., Class A | 80,719 | ||||
50,549 | Zynga, Inc., Class A (a) | 454,435 | ||||
3,091,528 | ||||||
Equity Real Estate Investment Trusts — 1.7% | ||||||
5,468 | American Homes 4 Rent, Class A | 154,580 | ||||
2,178 | Americold Realty Trust | 78,909 | ||||
2,477 | CareTrust REIT, Inc. | 42,357 | ||||
1,921 | Community Healthcare Trust, Inc. | 88,942 | ||||
2,723 | Cousins Properties, Inc. | 69,382 | ||||
4,819 | CubeSmart | 163,509 | ||||
1,967 | Easterly Government Properties, Inc. | 41,110 | ||||
602 | EastGroup Properties, Inc. | 80,114 | ||||
202 | Equinix, Inc. | 147,711 | ||||
2,406 | Essential Properties Realty Trust, Inc. | 39,747 | ||||
1,956 | First Industrial Realty Trust, Inc. | 77,868 | ||||
3,511 | Four Corners Property Trust, Inc. | 88,969 | ||||
2,108 | Gaming and Leisure Properties, Inc. | 76,626 | ||||
2,772 | Global Net Lease, Inc. | 39,446 | ||||
3,803 | Independence Realty Trust, Inc. (b) | 46,206 | ||||
6,045 | Industrial Logistics Properties Trust | 115,943 | ||||
1,448 | Innovative Industrial Properties, Inc. | 168,880 | ||||
676 | Investors Real Estate Trust | 45,569 | ||||
2,906 | Iron Mountain, Inc. | 75,730 | ||||
3,732 | iStar, Inc. | 44,038 | ||||
1,177 | Lamar Advertising Co., Class A | 72,927 | ||||
740 | Life Storage, Inc. | 84,471 | ||||
3,182 | Monmouth Real Estate Investment Corp. | 44,071 | ||||
2,747 | National Storage Affiliates Trust | 93,096 | ||||
4,051 | NexPoint Residential Trust, Inc. | 179,540 | ||||
2,127 | Office Properties Income Trust | 39,158 | ||||
1,527 | Prologis, Inc. | 151,478 | ||||
1,702 | Rexford Industrial Realty, Inc. | 79,075 | ||||
2,129 | Safehold, Inc. | 146,518 | ||||
2,554 | STAG Industrial, Inc. | 79,481 | ||||
5,677 | STORE Capital Corp. | 145,899 | ||||
1,422 | Terreno Realty Corp. | 80,030 | ||||
17,055 | Uniti Group, Inc. | 150,425 | ||||
3,031,805 | ||||||
Food & Staples Retailing — 0.6% | ||||||
9,369 | BJ’s Wholesale Club Holdings, Inc. (a) | 358,739 | ||||
5,940 | Grocery Outlet Holding Corp. (a) | 261,479 | ||||
9,466 | Rite Aid Corp. (a) (b) | 86,519 | ||||
7,440 | Sprouts Farmers Market, Inc. (a) | 141,732 |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Food & Staples Retailing (Continued) | ||||||
12,083 | United Natural Foods, Inc. (a) | $ | 176,049 | |||
1,024,518 | ||||||
Food Products — 1.3% | ||||||
8,088 | B&G Foods, Inc. (b) | 214,817 | ||||
1,875 | Beyond Meat, Inc. (a) | 267,056 | ||||
10,805 | Darling Ingredients, Inc. (a) | 464,615 | ||||
3,487 | Freshpet, Inc. (a) | 399,261 | ||||
6,810 | Hain Celestial Group (The), Inc. (a) | 209,408 | ||||
2,350 | Lamb Weston Holdings, Inc. | 149,108 | ||||
871 | Lancaster Colony Corp. | 144,708 | ||||
2,375 | McCormick & Co., Inc. | 428,711 | ||||
2,277,684 | ||||||
Health Care Equipment & Supplies — 6.6% | ||||||
4,236 | Abbott Laboratories | 445,246 | ||||
1,664 | ABIOMED, Inc. (a) | 419,128 | ||||
1,928 | Align Technology, Inc. (a) | 821,482 | ||||
1,105 | AtriCure, Inc. (a) | 38,189 | ||||
4,400 | Axonics Modulation Technologies, Inc. (a) | 206,316 | ||||
1,120 | Cardiovascular Systems, Inc. (a) | 39,928 | ||||
7,040 | Cerus Corp. (a) | 36,960 | ||||
456 | Cooper (The) Cos., Inc. | 145,487 | ||||
4,738 | CryoPort, Inc. (a) | 190,183 | ||||
2,141 | Danaher Corp. | 491,445 | ||||
1,118 | DexCom, Inc. (a) | 357,290 | ||||
1,925 | Edwards Lifesciences Corp. (a) | 138,003 | ||||
15,816 | GenMark Diagnostics, Inc. (a) | 193,272 | ||||
1,814 | Glaukos Corp. (a) | 101,439 | ||||
1,572 | Globus Medical, Inc., Class A (a) | 81,933 | ||||
1,338 | Heska Corp. (a) | 156,988 | ||||
9,497 | Hologic, Inc. (a) | 653,584 | ||||
1,606 | IDEXX Laboratories, Inc. (a) | 682,261 | ||||
2,668 | Insulet Corp. (a) | 592,963 | ||||
650 | Intuitive Surgical, Inc. (a) | 433,602 | ||||
1,635 | iRhythm Technologies, Inc. (a) | 345,721 | ||||
1,337 | Masimo Corp. (a) | 299,247 | ||||
10,582 | Meridian Bioscience, Inc. (a) | 181,481 | ||||
3,039 | Merit Medical Systems, Inc. (a) | 152,102 | ||||
173 | Mesa Laboratories, Inc. | 45,224 | ||||
995 | Neogen Corp. (a) | 69,391 | ||||
1,118 | Nevro Corp. (a) | 166,817 | ||||
2,798 | Novocure Ltd. (a) | 341,636 | ||||
7,382 | OraSure Technologies, Inc. (a) | 110,287 | ||||
960 | OrthoPediatrics Corp. (a) | 42,816 | ||||
801 | Penumbra, Inc. (a) | 209,085 | ||||
2,878 | Quidel Corp. (a) | 772,139 | ||||
2,963 | Shockwave Medical, Inc. (a) | 202,432 | ||||
3,342 | Silk Road Medical, Inc. (a) | 202,525 | ||||
11,320 | SmileDirectClub, Inc. (a) (b) | 100,748 | ||||
4,130 | STAAR Surgical Co. (a) | 299,425 | ||||
1,791 | STERIS PLC | 317,347 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Equipment & Supplies (Continued) | ||||||
738 | Stryker Corp. | $ | 149,083 | |||
3,430 | Tandem Diabetes Care, Inc. (a) | 373,870 | ||||
4,559 | Vapotherm, Inc. (a) | 136,542 | ||||
2,871 | West Pharmaceutical Services, Inc. | 781,113 | ||||
11,524,730 | ||||||
Health Care Providers & Services — 3.0% | ||||||
1,399 | Addus HomeCare Corp. (a) | 136,500 | ||||
1,317 | Amedisys, Inc. (a) | 341,103 | ||||
1,971 | BioTelemetry, Inc. (a) | 83,925 | ||||
324 | Chemed Corp. | 154,976 | ||||
1,863 | Cigna Corp. | 311,065 | ||||
1,548 | CorVel Corp. (a) | 141,209 | ||||
9,205 | Covetrus, Inc. (a) | 227,271 | ||||
7,371 | DaVita, Inc. (a) | 635,749 | ||||
3,936 | Ensign Group (The), Inc. | 231,594 | ||||
3,483 | Guardant Health, Inc. (a) | 371,497 | ||||
1,516 | HealthEquity, Inc. (a) | 78,059 | ||||
1,907 | Humana, Inc. | 761,427 | ||||
1,465 | LHC Group, Inc. (a) | 317,246 | ||||
5,518 | MEDNAX, Inc. (a) | 70,355 | ||||
6,719 | Option Care Health, Inc. (a) | 89,564 | ||||
8,944 | Owens & Minor, Inc. | 224,673 | ||||
7,454 | Patterson Cos., Inc. | 185,418 | ||||
5,458 | PetIQ, Inc. (a) | 155,881 | ||||
2,736 | Premier, Inc., Class A | 89,549 | ||||
13,096 | R1 RCM, Inc. (a) | 234,680 | ||||
8,613 | RadNet, Inc. (a) | 124,975 | ||||
12,706 | Tenet Healthcare Corp. (a) | 311,805 | ||||
507 | US Physical Therapy, Inc. | 40,220 | ||||
5,318,741 | ||||||
Health Care Technology — 1.7% | ||||||
18,098 | Evolent Health, Inc., Class A (a) | 179,894 | ||||
3,612 | Health Catalyst, Inc. (a) | 124,542 | ||||
6,793 | Inovalon Holdings, Inc., Class A (a) | 128,999 | ||||
3,017 | Inspire Medical Systems, Inc. (a) | 360,320 | ||||
10,378 | NextGen Healthcare, Inc. (a) | 141,141 | ||||
2,086 | Omnicell, Inc. (a) | 180,543 | ||||
5,592 | Phreesia, Inc. (a) | 206,736 | ||||
2,980 | Simulations Plus, Inc. | 193,164 | ||||
1,081 | Tabula Rasa HealthCare, Inc. (a) | 37,338 | ||||
2,879 | Teladoc Health, Inc. (a) (b) | 565,608 | ||||
2,806 | Veeva Systems, Inc., Class A (a) | 757,760 | ||||
4,546 | Vocera Communications, Inc. (a) | 149,018 | ||||
3,025,063 | ||||||
Hotels, Restaurants & Leisure — 2.0% | ||||||
508 | Chipotle Mexican Grill, Inc. (a) | 610,352 | ||||
906 | Choice Hotels International, Inc. | 79,139 | ||||
1,426 | Churchill Downs, Inc. | 212,688 | ||||
1,484 | Domino’s Pizza, Inc. | 561,427 |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Hotels, Restaurants & Leisure (Continued) | ||||||
2,852 | Dunkin’ Brands Group, Inc. | $ | 284,373 | |||
2,265 | Jack in the Box, Inc. | 181,336 | ||||
700 | McDonald’s Corp. | 149,100 | ||||
3,785 | Papa John’s International, Inc. | 289,931 | ||||
5,355 | Penn National Gaming, Inc. (a) | 289,063 | ||||
6,433 | Scientific Games Corp. (a) | 205,084 | ||||
1,393 | Shake Shack, Inc., Class A (a) | 94,055 | ||||
4,425 | Six Flags Entertainment Corp. | 95,669 | ||||
10,477 | Wendy’s (The) Co. | 228,922 | ||||
1,709 | Wingstop, Inc. | 198,808 | ||||
2,921 | Wyndham Destinations, Inc. | 95,312 | ||||
3,575,259 | ||||||
Household Durables — 1.3% | ||||||
498 | Cavco Industries, Inc. (a) | 85,726 | ||||
1,620 | Garmin Ltd. | 168,512 | ||||
1,207 | Helen of Troy Ltd. (a) | 228,847 | ||||
2,207 | Installed Building Products, Inc. (a) | 199,822 | ||||
1,742 | iRobot Corp. (a) | 138,628 | ||||
3,351 | LGI Homes, Inc. (a) | 358,155 | ||||
4,939 | Skyline Champion Corp. (a) | 126,685 | ||||
11,836 | Sonos, Inc. (a) | 172,806 | ||||
4,365 | Tempur Sealy International, Inc. (a) | 388,485 | ||||
2,281 | TopBuild Corp. (a) | 349,472 | ||||
2,217,138 | ||||||
Household Products — 1.1% | ||||||
4,972 | Central Garden & Pet Co., Class A (a) | 175,959 | ||||
6,737 | Church & Dwight Co., Inc. | 595,484 | ||||
2,193 | Clorox (The) Co. | 454,499 | ||||
1,992 | Colgate-Palmolive Co. | 157,149 | ||||
3,978 | Energizer Holdings, Inc. | 156,534 | ||||
1,041 | Kimberly-Clark Corp. | 138,026 | ||||
2,271 | Procter & Gamble (The) Co. | 311,354 | ||||
1,989,005 | ||||||
Independent Power and Renewable Electricity Producers — 0.3% | ||||||
11,552 | Clearway Energy, Inc., Class C | 325,304 | ||||
7,386 | Sunnova Energy International, Inc. (a) | 177,707 | ||||
503,011 | ||||||
Industrial Conglomerates — 0.1% | ||||||
934 | Honeywell International, Inc. | 154,063 | ||||
Insurance — 1.4% | ||||||
745 | Aon PLC, Class A | 137,087 | ||||
10,184 | Brown & Brown, Inc. | 443,106 | ||||
1,137 | eHealth, Inc. (a) | 76,304 | ||||
1,111 | Erie Indemnity Co., Class A | 258,719 | ||||
2,075 | Goosehead Insurance, Inc., Class A | 254,271 | ||||
2,047 | Kinsale Capital Group, Inc. | 383,751 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
4,019 | Marsh & McLennan Cos., Inc. | $ | 415,806 | |||
2,155 | Palomar Holdings, Inc. (a) | 192,161 | ||||
917 | RenaissanceRe Holdings Ltd. | 148,297 | ||||
2,847 | Trupanion, Inc. (a) | 203,674 | ||||
2,513,176 | ||||||
Interactive Media & Services — 2.3% | ||||||
215 | Alphabet, Inc., Class A (a) | 347,464 | ||||
16,194 | ANGI Homeservices, Inc., Class A (a) | 171,656 | ||||
3,422 | EverQuote, Inc., Class A (a) | 114,603 | ||||
2,410 | Facebook, Inc., Class A (a) | 634,095 | ||||
19,010 | Pinterest, Inc., Class A (a) | 1,120,640 | ||||
24,178 | Snap, Inc., Class A (a) | 952,371 | ||||
7,768 | Zillow Group, Inc., Class C (a) | 688,400 | ||||
4,029,229 | ||||||
Internet & Direct Marketing Retail — 2.7% | ||||||
9,005 | 1-800-Flowers.com, Inc., Class A (a) | 178,569 | ||||
251 | Amazon.com, Inc. (a) | 762,074 | ||||
7,100 | Chewy, Inc., Class A (a) | 437,360 | ||||
12,117 | eBay, Inc. | 577,133 | ||||
6,488 | Etsy, Inc. (a) | 788,876 | ||||
5,358 | Overstock.com, Inc. (a) | 300,584 | ||||
12,417 | RealReal (The), Inc. (a) | 156,330 | ||||
3,453 | Shutterstock, Inc. | 225,999 | ||||
1,616 | Stamps.com, Inc. (a) | 360,756 | ||||
8,278 | Stitch Fix, Inc., Class A (a) (b) | 285,011 | ||||
2,712 | Wayfair, Inc., Class A (a) | 672,657 | ||||
4,745,349 | ||||||
IT Services — 5.2% | ||||||
1,397 | Accenture PLC, Class A | 303,023 | ||||
1,390 | Akamai Technologies, Inc. (a) | 132,217 | ||||
5,296 | Black Knight, Inc. (a) | 465,783 | ||||
5,556 | Booz Allen Hamilton Holding Corp. | 436,146 | ||||
3,492 | Broadridge Financial Solutions, Inc. | 480,499 | ||||
2,194 | CSG Systems International, Inc. | 83,109 | ||||
39,128 | Endurance International Group Holdings, Inc. (a) | 227,334 | ||||
2,441 | EPAM Systems, Inc. (a) | 754,147 | ||||
3,809 | EVERTEC, Inc. | 126,763 | ||||
3,615 | Evo Payments, Inc., Class A (a) | 76,168 | ||||
2,004 | ExlService Holdings, Inc. (a) | 151,783 | ||||
4,155 | Fastly, Inc., Class A (a) (b) | 263,884 | ||||
3,063 | Fiserv, Inc. (a) | 292,425 | ||||
1,230 | Gartner, Inc. (a) | 147,723 | ||||
5,997 | Genpact Ltd. | 206,117 | ||||
6,068 | GoDaddy, Inc., Class A (a) | 429,250 | ||||
454 | Mastercard, Inc., Class A | 131,043 | ||||
2,727 | MongoDB, Inc. (a) | 623,038 | ||||
2,237 | NIC, Inc. | 50,154 |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
IT Services (Continued) | ||||||
2,952 | Okta, Inc. (a) | $ | 619,418 | |||
1,926 | Paychex, Inc. | 158,413 | ||||
4,005 | PayPal Holdings, Inc. (a) | 745,451 | ||||
4,204 | Perficient, Inc. (a) | 164,629 | ||||
4,003 | Perspecta, Inc. | 71,774 | ||||
4,855 | Square, Inc., Class A (a) | 751,942 | ||||
3,294 | TTEC Holdings, Inc. | 180,445 | ||||
3,194 | Twilio, Inc., Class A (a) | 891,030 | ||||
9,300 | Verra Mobility Corp. (a) | 89,373 | ||||
9,053,081 | ||||||
Leisure Products — 1.4% | ||||||
9,387 | Callaway Golf Co. | 145,405 | ||||
3,625 | Malibu Boats, Inc., Class A (a) | 184,259 | ||||
19,964 | Mattel, Inc. (a) | 274,904 | ||||
7,952 | Peloton Interactive, Inc., Class A (a) | 876,390 | ||||
14,471 | Smith & Wesson Brands, Inc. | 240,074 | ||||
1,469 | Sturm Ruger & Co., Inc. | 98,217 | ||||
11,129 | Vista Outdoor, Inc. (a) | 220,020 | ||||
8,590 | YETI Holdings, Inc. (a) | 425,033 | ||||
2,464,302 | ||||||
Life Sciences Tools & Services — 3.8% | ||||||
3,122 | 10X Genomics, Inc., Class A (a) | 427,402 | ||||
4,803 | Adaptive Biotechnologies Corp. (a) | 221,322 | ||||
4,567 | Agilent Technologies, Inc. | 466,245 | ||||
35,087 | Avantor, Inc. (a) | 816,475 | ||||
894 | Bio-Rad Laboratories, Inc., Class A (a) | 524,259 | ||||
1,959 | Bruker Corp. | 83,336 | ||||
1,719 | Charles River Laboratories International, Inc. (a) | 391,416 | ||||
3,422 | Luminex Corp. | 75,421 | ||||
2,787 | Medpace Holdings, Inc. (a) | 309,190 | ||||
477 | Mettler-Toledo International, Inc. (a) | 476,003 | ||||
4,020 | NanoString Technologies, Inc. (a) | 147,333 | ||||
8,442 | NeoGenomics, Inc. (a) | 331,180 | ||||
6,287 | PerkinElmer, Inc. | 814,481 | ||||
2,303 | PRA Health Sciences, Inc. (a) | 224,404 | ||||
5,325 | Quanterix Corp. (a) | 194,948 | ||||
2,111 | Repligen Corp. (a) | 351,629 | ||||
2,929 | Syneos Health, Inc. (a) | 155,471 | ||||
1,430 | Thermo Fisher Scientific, Inc. | 676,562 | ||||
6,687,077 | ||||||
Machinery — 1.8% | ||||||
6,075 | Altra Industrial Motion Corp. | 259,767 | ||||
3,312 | Astec Industries, Inc. | 168,250 | ||||
1,677 | Donaldson Co., Inc. | 79,658 | ||||
1,289 | Douglas Dynamics, Inc. | 43,968 | ||||
547 | ESCO Technologies, Inc. | 45,778 | ||||
8,467 | Evoqua Water Technologies Corp. (a) | 194,148 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Machinery (Continued) | ||||||
3,071 | Federal Signal Corp. | $ | 88,076 | |||
2,247 | Franklin Electric Co., Inc. | 134,213 | ||||
2,538 | Graco, Inc. | 157,102 | ||||
1,211 | Helios Technologies, Inc. | 50,668 | ||||
1,634 | Illinois Tool Works, Inc. | 320,068 | ||||
1,206 | Kadant, Inc. | 138,835 | ||||
929 | Lindsay Corp. | 97,824 | ||||
8,941 | Navistar International Corp. (a) | 385,447 | ||||
801 | Nordson Corp. | 154,937 | ||||
1,804 | Proto Labs, Inc. (a) | 213,016 | ||||
5,218 | Rexnord Corp. | 167,394 | ||||
730 | Tennant Co. | 43,523 | ||||
3,710 | Toro (The) Co. | 304,591 | ||||
1,320 | Watts Water Technologies, Inc., Class A | 146,216 | ||||
3,193,479 | ||||||
Media — 0.5% | ||||||
81 | Cable One, Inc. | 140,281 | ||||
1,874 | Cardlytics, Inc. (a) | 138,339 | ||||
5,459 | New York Times (The) Co., Class A | 216,504 | ||||
28,669 | Sirius XM Holdings, Inc. | 164,273 | ||||
5,109 | TechTarget, Inc. (a) | 223,774 | ||||
883,171 | ||||||
Metals & Mining — 0.9% | ||||||
30,433 | Coeur Mining, Inc. (a) | 215,162 | ||||
6,617 | Commercial Metals Co. | 136,641 | ||||
3,027 | Compass Minerals International, Inc. | 182,770 | ||||
76,633 | Hecla Mining Co. | 350,979 | ||||
9,949 | Newmont Corp. | 625,195 | ||||
1,510,747 | ||||||
Mortgage Real Estate Investment Trusts — 0.3% | ||||||
4,251 | Hannon Armstrong Sustainable Infrastructure Capital, Inc. | 177,904 | ||||
5,435 | KKR Real Estate Finance Trust, Inc. | 90,819 | ||||
17,283 | New York Mortgage Trust, Inc. | 43,899 | ||||
2,742 | PennyMac Mortgage Investment Trust | 41,048 | ||||
11,946 | Redwood Trust, Inc. | 101,541 | ||||
455,211 | ||||||
Multiline Retail — 0.8% | ||||||
5,036 | Big Lots, Inc. | 239,714 | ||||
3,764 | Dollar General Corp. | 785,584 | ||||
3,565 | Ollie’s Bargain Outlet Holdings, Inc. (a) | 310,476 | ||||
1,335,774 | ||||||
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Oil, Gas & Consumable Fuels — 0.8% | ||||||
57,995 | Antero Midstream Corp. | $ | 332,311 | |||
8,222 | Apache Corp. | 68,243 | ||||
6,822 | Cheniere Energy, Inc. (a) | 326,569 | ||||
1,811 | Cimarex Energy Co. | 45,945 | ||||
10,062 | Comstock Resources, Inc. (a) | 53,429 | ||||
2,585 | Diamondback Energy, Inc. | 67,107 | ||||
9,203 | Equitrans Midstream Corp. | 66,814 | ||||
8,318 | Parsley Energy, Inc., Class A | 83,263 | ||||
33,926 | Range Resources Corp. | 223,233 | ||||
38,228 | Southwestern Energy Co. (a) | 102,069 | ||||
1,368,983 | ||||||
Personal Products — 0.4% | ||||||
7,197 | elf Beauty, Inc. (a) | 145,883 | ||||
6,676 | Herbalife Nutrition Ltd. (a) | 301,355 | ||||
1,366 | Medifast, Inc. | 191,909 | ||||
1,795 | USANA Health Sciences, Inc. (a) | 135,792 | ||||
774,939 | ||||||
Pharmaceuticals — 1.9% | ||||||
2,350 | Amphastar Pharmaceuticals, Inc. (a) | 46,037 | ||||
1,867 | Arvinas, Inc. (a) | 39,039 | ||||
2,549 | Bristol-Myers Squibb Co. | 148,989 | ||||
9,212 | Catalent, Inc. (a) | 808,537 | ||||
7,596 | Corcept Therapeutics, Inc. (a) | 127,461 | ||||
27,223 | Endo International PLC (a) | 124,409 | ||||
10,158 | Horizon Therapeutics PLC (a) | 761,139 | ||||
4,217 | Innoviva, Inc. (a) | 45,586 | ||||
1,853 | Merck & Co., Inc. | 139,364 | ||||
1,713 | MyoKardia, Inc. (a) | 382,907 | ||||
2,989 | Pacira BioSciences, Inc. (a) | 156,325 | ||||
3,574 | Revance Therapeutics, Inc. (a) | 92,495 | ||||
2,115 | Supernus Pharmaceuticals, Inc. (a) | 38,831 | ||||
2,788 | Zoetis, Inc. | 442,037 | ||||
3,353,156 | ||||||
Professional Services — 0.8% | ||||||
4,602 | CoreLogic, Inc. | 354,032 | ||||
543 | CoStar Group, Inc. (a) | 447,220 | ||||
979 | Equifax, Inc. | 133,731 | ||||
1,469 | FTI Consulting, Inc. (a) | 144,638 | ||||
10,302 | Upwork, Inc. (a) | 190,072 | ||||
829 | Verisk Analytics, Inc. | 147,537 | ||||
1,417,230 | ||||||
Real Estate Management & Development — 0.6% | ||||||
5,567 | eXp World Holdings, Inc. (a) | 235,985 | ||||
23,792 | Realogy Holdings Corp. (a) | 265,519 | ||||
7,797 | Redfin Corp. (a) | 325,681 | ||||
6,409 | St Joe (The) Co. (a) | 173,299 | ||||
1,000,484 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Road & Rail — 0.8% | ||||||
6,826 | Avis Budget Group, Inc. (a) | $ | 229,831 | |||
1,745 | Old Dominion Freight Line, Inc. | 332,196 | ||||
2,469 | Saia, Inc. (a) | 364,573 | ||||
12,637 | Uber Technologies, Inc. (a) | 422,202 | ||||
1,348,802 | ||||||
Semiconductors & Semiconductor Equipment — 6.1% | ||||||
3,250 | ACM Research, Inc., Class A (a) | 228,703 | ||||
3,711 | Advanced Energy Industries, Inc. (a) | 250,381 | ||||
9,625 | Advanced Micro Devices, Inc. (a) | 724,666 | ||||
1,722 | Ambarella, Inc. (a) | 94,142 | ||||
5,309 | Applied Materials, Inc. | 314,452 | ||||
4,564 | CEVA, Inc. (a) | 184,020 | ||||
3,463 | Cirrus Logic, Inc. (a) | 238,497 | ||||
1,090 | CMC Materials, Inc. | 154,987 | ||||
2,443 | Cree, Inc. (a) | 155,375 | ||||
4,138 | Diodes, Inc. (a) | 239,301 | ||||
4,714 | Enphase Energy, Inc. (a) | 462,396 | ||||
4,189 | Entegris, Inc. | 313,212 | ||||
5,303 | FormFactor, Inc. (a) | 150,340 | ||||
2,081 | Inphi Corp. (a) | 290,841 | ||||
793 | KLA Corp. | 156,364 | ||||
1,390 | Lam Research Corp. | 475,491 | ||||
5,377 | Lattice Semiconductor Corp. (a) | 187,657 | ||||
6,868 | MACOM Technology Solutions Holdings, Inc. (a) | 250,682 | ||||
11,612 | Marvell Technology Group Ltd. | 435,566 | ||||
3,866 | MaxLinear, Inc. (a) | 102,217 | ||||
1,426 | MKS Instruments, Inc. | 154,564 | ||||
2,258 | Monolithic Power Systems, Inc. | 721,657 | ||||
1,458 | NVIDIA Corp. | 730,983 | ||||
7,066 | PDF Solutions, Inc. (a) | 132,417 | ||||
2,811 | Power Integrations, Inc. | 169,250 | ||||
6,117 | Qorvo, Inc. (a) | 779,061 | ||||
5,364 | QUALCOMM, Inc. | 661,703 | ||||
3,219 | Rambus, Inc. (a) | 44,390 | ||||
1,470 | Semtech Corp. (a) | 80,688 | ||||
3,168 | Skyworks Solutions, Inc. | 447,607 | ||||
3,873 | Synaptics, Inc. (a) | 296,943 | ||||
7,945 | Teradyne, Inc. | 697,968 | ||||
1,076 | Texas Instruments, Inc. | 155,579 | ||||
862 | Universal Display Corp. | 170,943 | ||||
10,653,043 | ||||||
Software — 15.4% | ||||||
9,198 | 2U, Inc. (a) | 338,946 | ||||
5,777 | 8x8, Inc. (a) | 99,827 | ||||
5,959 | ACI Worldwide, Inc. (a) | 173,824 | ||||
1,287 | Adobe, Inc. (a) | 575,418 | ||||
2,818 | Alarm.com Holdings, Inc. (a) | 164,374 | ||||
3,149 | Altair Engineering, Inc., Class A (a) | 135,501 | ||||
686 | Alteryx, Inc., Class A (a) | 85,990 | ||||
6,221 | Anaplan, Inc. (a) | 344,332 |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
965 | ANSYS, Inc. (a) | $ | 293,717 | |||
633 | Appfolio, Inc., Class A (a) | 90,437 | ||||
2,775 | Appian Corp. (a) (b) | 175,658 | ||||
1,230 | Aspen Technology, Inc. (a) | 135,066 | ||||
1,366 | Autodesk, Inc. (a) | 321,748 | ||||
3,620 | Avalara, Inc. (a) | 539,561 | ||||
14,776 | Avaya Holdings Corp. (a) | 254,147 | ||||
3,475 | Blackline, Inc. (a) | 339,438 | ||||
1,045 | Bottomline Technologies DE, Inc. (a) | 41,507 | ||||
4,485 | Box, Inc., Class A (a) | 69,518 | ||||
4,323 | Cadence Design Systems, Inc. (a) | 472,807 | ||||
3,572 | CDK Global, Inc. | 153,953 | ||||
4,596 | Cerence, Inc. (a) | 250,850 | ||||
3,819 | Ceridian HCM Holding, Inc. (a) | 329,274 | ||||
1,116 | Citrix Systems, Inc. | 126,409 | ||||
14,299 | Cloudera, Inc. (a) | 138,986 | ||||
7,585 | Cloudflare, Inc., Class A (a) | 394,192 | ||||
1,080 | CommVault Systems, Inc. (a) | 42,757 | ||||
1,212 | Cornerstone OnDemand, Inc. (a) | 46,044 | ||||
2,302 | Coupa Software, Inc. (a) | 616,245 | ||||
5,746 | Crowdstrike Holdings, Inc., Class A (a) | 711,585 | ||||
7,724 | Datadog, Inc., Class A (a) | 700,953 | ||||
6,860 | Digital Turbine, Inc. (a) | 196,608 | ||||
3,666 | DocuSign, Inc. (a) | 741,449 | ||||
5,859 | Domo, Inc., Class B (a) | 186,140 | ||||
4,043 | Dropbox, Inc., Class A (a) | 73,825 | ||||
15,390 | Dynatrace, Inc. (a) | 543,421 | ||||
2,887 | Elastic N.V. (a) | 292,771 | ||||
4,036 | Envestnet, Inc. (a) | 309,723 | ||||
1,239 | Everbridge, Inc. (a) | 129,711 | ||||
361 | Fair Isaac Corp. (a) | 141,313 | ||||
6,307 | FireEye, Inc. (a) | 87,289 | ||||
2,402 | Five9, Inc. (a) | 364,431 | ||||
1,304 | Fortinet, Inc. (a) | 143,923 | ||||
2,700 | HubSpot, Inc. (a) | 783,189 | ||||
1,413 | Intuit, Inc. | 444,643 | ||||
2,250 | J2 Global, Inc. (a) | 152,730 | ||||
7,488 | LivePerson, Inc. (a) | 400,308 | ||||
1,631 | Manhattan Associates, Inc. (a) | 139,451 | ||||
5,679 | Medallia, Inc. (a) | 161,568 | ||||
731 | Microsoft Corp. | 148,006 | ||||
4,978 | Mimecast Ltd. (a) | 190,209 | ||||
3,747 | Model N, Inc. (a) | 132,007 | ||||
1,381 | New Relic, Inc. (a) | 83,771 | ||||
9,383 | Nuance Communications, Inc. (a) | 299,412 | ||||
3,510 | Nutanix, Inc., Class A (a) | 85,433 | ||||
4,286 | OneSpan, Inc. (a) | 93,992 | ||||
5,287 | Oracle Corp. | 296,654 | ||||
4,877 | PagerDuty, Inc. (a) | 132,167 | ||||
1,884 | Palo Alto Networks, Inc. (a) | 416,722 | ||||
1,014 | Paycom Software, Inc. (a) | 369,187 | ||||
1,929 | Paylocity Holding Corp. (a) | 357,868 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
2,573 | Pegasystems, Inc. | $ | 298,159 | |||
7,484 | Ping Identity Holding Corp. (a) | 207,232 | ||||
7,718 | Pluralsight, Inc., Class A (a) | 121,173 | ||||
2,449 | Progress Software Corp. | 89,070 | ||||
738 | Proofpoint, Inc. (a) | 70,656 | ||||
2,824 | PTC, Inc. (a) | 236,877 | ||||
2,559 | Q2 Holdings, Inc. (a) | 233,483 | ||||
794 | Qualys, Inc. (a) | 69,753 | ||||
5,086 | Rapid7, Inc. (a) | 314,976 | ||||
1,149 | RingCentral, Inc., Class A (a) | 296,833 | ||||
9,838 | Sailpoint Technologies Holdings, Inc. (a) | 408,375 | ||||
3,140 | salesforce.com, Inc. (a) | 729,328 | ||||
1,627 | ServiceNow, Inc. (a) | 809,546 | ||||
3,151 | Smartsheet, Inc., Class A (a) | 157,077 | ||||
11,484 | SolarWinds Corp. (a) | 234,618 | ||||
1,678 | Splunk, Inc. (a) | 332,311 | ||||
3,999 | SPS Commerce, Inc. (a) | 342,274 | ||||
7,617 | SS&C Technologies Holdings, Inc. | 451,079 | ||||
10,564 | SVMK, Inc. (a) | 221,105 | ||||
2,154 | Synopsys, Inc. (a) | 460,654 | ||||
10,312 | Tenable Holdings, Inc. (a) | 351,742 | ||||
1,521 | Trade Desk (The), Inc., Class A (a) | 861,570 | ||||
4,766 | Upland Software, Inc. (a) | 198,838 | ||||
2,024 | Varonis Systems, Inc. (a) | 233,914 | ||||
3,232 | Verint Systems, Inc. (a) | 156,817 | ||||
2,934 | Workday, Inc., Class A (a) | 616,492 | ||||
2,371 | Workiva, Inc. (a) | 131,140 | ||||
5,918 | Yext, Inc. (a) | 98,120 | ||||
6,134 | Zendesk, Inc. (a) | 680,506 | ||||
1,679 | Zoom Video Communications, Inc., Class A (a) | 773,868 | ||||
5,609 | Zscaler, Inc. (a) | 761,422 | ||||
4,262 | Zuora, Inc., Class A (a) | 41,000 | ||||
27,050,993 | ||||||
Specialty Retail — 3.7% | ||||||
15,114 | At Home Group, Inc. (a) | 246,207 | ||||
392 | AutoZone, Inc. (a) | 442,560 | ||||
7,549 | Camping World Holdings, Inc., Class A | 199,596 | ||||
3,538 | Carvana Co. (a) | 655,768 | ||||
1,839 | Five Below, Inc. (a) | 245,212 | ||||
5,204 | Floor & Decor Holdings, Inc., Class A (a) | 379,892 | ||||
2,273 | Home Depot (The), Inc. | 606,232 | ||||
4,758 | Lowe’s Cos., Inc. | 752,240 | ||||
23,262 | Michaels (The) Cos., Inc. (a) | 188,655 | ||||
4,699 | National Vision Holdings, Inc. (a) | 189,511 | ||||
1,369 | O’Reilly Automotive, Inc. (a) | 597,705 | ||||
6,011 | Rent-A-Center, Inc. | 185,740 | ||||
1,017 | RH (a) | 340,929 | ||||
4,592 | Sleep Number Corp. (a) | 290,949 | ||||
5,505 | Tractor Supply Co. | 733,321 |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Specialty Retail (Continued) | ||||||
4,304 | Williams-Sonoma, Inc. | $ | 392,568 | |||
6,447,085 | ||||||
Technology Hardware, Storage & Peripherals — 0.5% | ||||||
6,814 | Apple, Inc. | 741,772 | ||||
1,776 | NetApp, Inc. | 77,948 | ||||
5,059 | Pure Storage, Inc., Class A (a) | 81,450 | ||||
901,170 | ||||||
Textiles, Apparel & Luxury Goods — 0.9% | ||||||
5,256 | Crocs, Inc. (a) | 275,046 | ||||
1,415 | Deckers Outdoor Corp. (a) | 358,519 | ||||
24,717 | Hanesbrands, Inc. | 397,202 | ||||
5,029 | NIKE, Inc., Class B | 603,882 | ||||
1,634,649 | ||||||
Thrifts & Mortgage Finance — 0.5% | ||||||
4,462 | Flagstar Bancorp, Inc. | 130,960 | ||||
10,062 | Mr. Cooper Group, Inc. (a) | 212,107 | ||||
7,428 | NMI Holdings, Inc., Class A (a) | 159,628 | ||||
6,698 | PennyMac Financial Services, Inc. | 340,392 | ||||
843,087 | ||||||
Tobacco — 0.0% | ||||||
4,548 | Vector Group Ltd. | 41,796 | ||||
Trading Companies & Distributors — 0.9% | ||||||
10,224 | Fastenal Co. | 441,983 | ||||
7,552 | HD Supply Holdings, Inc. (a) | 301,023 | ||||
3,192 | SiteOne Landscape Supply, Inc. (a) | 381,412 | ||||
1,672 | Watsco, Inc. | 374,762 | ||||
1,499,180 | ||||||
Water Utilities — 0.3% | ||||||
2,179 | American Water Works Co., Inc. | 327,961 | ||||
1,014 | California Water Service Group | 45,194 | ||||
1,476 | SJW Group | 89,579 | ||||
462,734 | ||||||
Wireless Telecommunication Services — 0.0% | ||||||
992 | Shenandoah Telecommunications Co. | 43,271 | ||||
Total Common Stocks — 99.8% | $ | 174,845,461 | ||||
(Cost $146,330,538) | ||||||
Shares | Description | Value | ||||
Money Market Funds — 0.5% | ||||||
486,570 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | $ | 486,570 | |||
344,825 | Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c) | 344,825 | ||||
Total Money Market Funds — 0.5% | 831,395 | |||||
(Cost $831,395) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 1.6% | |||||||
$ | 2,791,572 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $2,791,584. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $2,845,783. (d) | 2,791,572 | ||||
(Cost $2,791,572) | |||||||
Total Investments — 101.9% | 178,468,428 | ||||||
(Cost $149,953,505) (e) | |||||||
Net Other Assets and Liabilities — (1.9)% | (3,354,422 | ) | |||||
Net Assets — 100.0% | $ | 175,114,006 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $2,952,164 and the total value of the collateral held by the Fund is $3,278,142. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $33,503,312 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $4,988,389. The net unrealized appreciation was $28,514,923. |
First Trust Multi Cap Growth AlphaDEX® Fund (FAD) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 174,845,461 | $ | — | $ | — | ||||||
Money Market Funds | 831,395 | — | — | |||||||||
Repurchase Agreements | — | 2,791,572 | — | |||||||||
Total Investments | $ | 175,676,856 | $ | 2,791,572 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Mid Cap Value AlphaDEX® Fund (FNK) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Aerospace & Defense — 2.5% | ||||||
1,448 | Curtiss-Wright Corp. | $ | 122,153 | |||
5,366 | Hexcel Corp. | 179,654 | ||||
8,075 | Howmet Aerospace, Inc. | 139,294 | ||||
959 | Huntington Ingalls Industries, Inc. | 141,433 | ||||
2,684 | Parsons Corp. (a) | 84,600 | ||||
3,741 | Textron, Inc. | 133,928 | ||||
801,062 | ||||||
Air Freight & Logistics — 0.2% | ||||||
532 | XPO Logistics, Inc. (a) | 47,880 | ||||
Airlines — 0.7% | ||||||
2,457 | Alaska Air Group, Inc. | 93,096 | ||||
7,944 | JetBlue Airways Corp. (a) | 95,089 | ||||
1,295 | United Airlines Holdings, Inc. (a) | 43,849 | ||||
232,034 | ||||||
Auto Components — 1.6% | ||||||
4,647 | BorgWarner, Inc. | 162,552 | ||||
498 | Dorman Products, Inc. (a) | 44,456 | ||||
3,495 | Gentex Corp. | 96,707 | ||||
847 | LCI Industries | 92,882 | ||||
825 | Lear Corp. | 99,668 | ||||
496,265 | ||||||
Automobiles — 0.2% | ||||||
1,834 | Harley-Davidson, Inc. | 60,302 | ||||
Banks — 13.3% | ||||||
8,443 | Bank OZK | 209,218 | ||||
3,495 | BOK Financial Corp. | 205,296 | ||||
4,706 | Comerica, Inc. | 214,170 | ||||
800 | Commerce Bancshares, Inc. | 49,800 | ||||
826 | Community Bank System, Inc. | 47,900 | ||||
2,111 | Cullen/Frost Bankers, Inc. | 148,340 | ||||
6,873 | East West Bancorp, Inc. | 250,727 | ||||
706 | First Citizens BancShares, Inc., Class A | 326,666 | ||||
9,545 | First Horizon National Corp. | 99,363 | ||||
8,906 | Home BancShares, Inc. | 147,840 | ||||
19,632 | Huntington Bancshares, Inc. | 204,958 | ||||
17,460 | People’s United Financial, Inc. | 186,298 | ||||
5,058 | Pinnacle Financial Partners, Inc. | 231,606 | ||||
6,204 | Popular, Inc. | 261,809 | ||||
2,605 | Prosperity Bancshares, Inc. | 143,562 | ||||
1,627 | Signature Bank | 131,364 | ||||
935 | South State Corp. | 57,409 | ||||
10,630 | Synovus Financial Corp. | 276,380 | ||||
7,707 | TCF Financial Corp. | 209,707 | ||||
6,288 | United Bankshares, Inc. | 164,934 | ||||
26,280 | Valley National Bancorp | 200,779 | ||||
5,693 | Western Alliance Bancorp | 234,552 | ||||
6,161 | Zions Bancorp N.A. | 198,815 | ||||
4,201,493 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Beverages — 0.5% | ||||||
4,023 | Molson Coors Beverage Co., Class B | $ | 141,851 | |||
Biotechnology — 0.9% | ||||||
2,228 | United Therapeutics Corp. (a) | 299,064 | ||||
Building Products — 0.8% | ||||||
852 | A.O. Smith Corp. | 44,040 | ||||
2,760 | Builders FirstSource, Inc. (a) | 83,628 | ||||
2,389 | UFP Industries, Inc. | 119,235 | ||||
246,903 | ||||||
Capital Markets — 4.3% | ||||||
1,974 | Affiliated Managers Group, Inc. | 148,780 | ||||
1,026 | Cboe Global Markets, Inc. | 83,403 | ||||
2,360 | Eaton Vance Corp. | 141,104 | ||||
10,461 | Federated Hermes, Inc. | 250,018 | ||||
19,722 | Invesco Ltd. | 258,555 | ||||
1,362 | Lazard Ltd., Class A | 45,859 | ||||
1,856 | Raymond James Financial, Inc. | 141,873 | ||||
3,560 | Stifel Financial Corp. | 208,118 | ||||
3,912 | Virtu Financial, Inc., Class A | 83,639 | ||||
1,361,349 | ||||||
Chemicals — 2.1% | ||||||
5,862 | CF Industries Holdings, Inc. | 161,850 | ||||
12,846 | Element Solutions, Inc. (a) | 150,555 | ||||
2,026 | Huntsman Corp. | 49,212 | ||||
263 | NewMarket Corp. | 94,072 | ||||
2,848 | Westlake Chemical Corp. | 192,582 | ||||
648,271 | ||||||
Commercial Services & Supplies — 0.8% | ||||||
1,606 | Clean Harbors, Inc. (a) | 85,070 | ||||
472 | Tetra Tech, Inc. | 47,629 | ||||
713 | UniFirst Corp. | 116,797 | ||||
249,496 | ||||||
Communications Equipment — 0.4% | ||||||
6,280 | Juniper Networks, Inc. | 123,842 | ||||
Construction & Engineering — 2.1% | ||||||
1,330 | EMCOR Group, Inc. | 90,693 | ||||
5,333 | MasTec, Inc. (a) | 264,730 | ||||
2,554 | Quanta Services, Inc. | 159,446 | ||||
1,088 | Valmont Industries, Inc. | 154,442 | ||||
669,311 | ||||||
Construction Materials — 0.1% | ||||||
521 | Eagle Materials, Inc. | 44,415 | ||||
Consumer Finance — 1.7% | ||||||
8,976 | Ally Financial, Inc. | 239,480 | ||||
7,201 | OneMain Holdings, Inc. | 251,243 |
First Trust Mid Cap Value AlphaDEX® Fund (FNK) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Consumer Finance (Continued) | ||||||
2,475 | Santander Consumer USA Holdings, Inc. | $ | 50,341 | |||
541,064 | ||||||
Containers & Packaging — 2.2% | ||||||
398 | AptarGroup, Inc. | 45,408 | ||||
6,389 | Graphic Packaging Holding Co. | 84,910 | ||||
825 | Packaging Corp. of America | 94,454 | ||||
2,448 | Silgan Holdings, Inc. | 84,334 | ||||
2,644 | Sonoco Products Co. | 129,265 | ||||
6,478 | WestRock Co. | 243,249 | ||||
681,620 | ||||||
Distributors — 0.7% | ||||||
6,492 | LKQ Corp. (a) | 207,679 | ||||
Diversified Consumer Services — 0.9% | ||||||
1,689 | Grand Canyon Education, Inc. (a) | 132,367 | ||||
5,526 | H&R Block, Inc. | 95,378 | ||||
1,067 | Service Corp. International | 49,413 | ||||
277,158 | ||||||
Diversified Financial Services — 2.6% | ||||||
6,039 | Cannae Holdings, Inc. (a) | 223,322 | ||||
12,337 | Equitable Holdings, Inc. | 265,122 | ||||
12,502 | Jefferies Financial Group, Inc. | 243,914 | ||||
1,878 | Voya Financial, Inc. | 90,013 | ||||
822,371 | ||||||
Electric Utilities — 3.7% | ||||||
4,349 | ALLETE, Inc. | 224,321 | ||||
4,061 | Hawaiian Electric Industries, Inc. | 134,176 | ||||
1,690 | IDACORP, Inc. | 148,264 | ||||
7,320 | NRG Energy, Inc. | 231,458 | ||||
2,414 | Pinnacle West Capital Corp. | 196,910 | ||||
6,339 | Portland General Electric Co. | 249,123 | ||||
1,184,252 | ||||||
Electrical Equipment — 1.2% | ||||||
1,759 | Acuity Brands, Inc. | 156,797 | ||||
1,341 | EnerSys | 96,016 | ||||
1,439 | Regal Beloit Corp. | 141,957 | ||||
394,770 | ||||||
Electronic Equipment, Instruments & Components — 2.1% | ||||||
1,716 | Arrow Electronics, Inc. (a) | 133,659 | ||||
8,708 | Avnet, Inc. | 214,826 | ||||
1,255 | FLIR Systems, Inc. | 43,536 | ||||
265 | IPG Photonics Corp. (a) | 49,280 | ||||
1,313 | Jabil, Inc. | 43,513 | ||||
1,286 | SYNNEX Corp. | 169,289 | ||||
654,103 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Equity Real Estate Investment Trusts — 5.1% | ||||||
2,578 | American Campus Communities, Inc. | $ | 96,572 | |||
15,399 | Brixmor Property Group, Inc. | 168,773 | ||||
8,450 | Equity Commonwealth | 223,249 | ||||
8,342 | Host Hotels & Resorts, Inc. | 87,424 | ||||
8,209 | Hudson Pacific Properties, Inc. | 158,105 | ||||
1,683 | JBG SMITH Properties | 39,298 | ||||
19,985 | Kimco Realty Corp. | 205,046 | ||||
2,608 | National Retail Properties, Inc. | 83,482 | ||||
2,367 | Regency Centers Corp. | 84,242 | ||||
13,059 | Sabra Health Care REIT, Inc. | 171,857 | ||||
4,852 | SL Green Realty Corp. | 207,714 | ||||
2,667 | Spirit Realty Capital, Inc. | 80,143 | ||||
1,605,905 | ||||||
Food & Staples Retailing — 0.4% | ||||||
507 | Casey’s General Stores, Inc. | 85,465 | ||||
2,025 | US Foods Holding Corp. (a) | 42,322 | ||||
127,787 | ||||||
Food Products — 1.5% | ||||||
2,379 | Ingredion, Inc. | 168,647 | ||||
15,037 | Pilgrim’s Pride Corp. (a) | 251,720 | ||||
16 | Seaboard Corp. | 55,120 | ||||
475,487 | ||||||
Gas Utilities — 2.9% | ||||||
3,326 | National Fuel Gas Co. | 132,907 | ||||
6,662 | New Jersey Resources Corp. | 194,397 | ||||
1,956 | ONE Gas, Inc. | 135,042 | ||||
2,853 | Southwest Gas Holdings, Inc. | 187,499 | ||||
1,692 | Spire, Inc. | 94,820 | ||||
5,459 | UGI Corp. | 176,544 | ||||
921,209 | ||||||
Health Care Equipment & Supplies — 0.1% | ||||||
246 | ICU Medical, Inc. (a) | 43,736 | ||||
Health Care Providers & Services — 1.9% | ||||||
6,106 | Acadia Healthcare Co., Inc. (a) | 217,679 | ||||
693 | Encompass Health Corp. | 42,488 | ||||
1,531 | Henry Schein, Inc. (a) | 97,341 | ||||
2,102 | Universal Health Services, Inc., Class B | 230,274 | ||||
587,782 | ||||||
Hotels, Restaurants & Leisure — 0.8% | ||||||
2,964 | Carnival Corp. (b) | 40,637 | ||||
10,346 | MGM Resorts International | 212,817 | ||||
253,454 | ||||||
Household Durables — 3.1% | ||||||
4,689 | KB Home | 151,220 |
First Trust Mid Cap Value AlphaDEX® Fund (FNK) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Household Durables (Continued) | ||||||
1,093 | Leggett & Platt, Inc. | $ | 45,611 | |||
3,822 | M.D.C. Holdings, Inc. | 166,333 | ||||
1,631 | Meritage Homes Corp. (a) | 142,044 | ||||
2,306 | Mohawk Industries, Inc. (a) | 237,956 | ||||
3,661 | Taylor Morrison Home Corp. (a) | 79,078 | ||||
3,700 | Toll Brothers, Inc. | 156,436 | ||||
978,678 | ||||||
Household Products — 0.1% | ||||||
1,470 | Reynolds Consumer Products, Inc. | 41,513 | ||||
Independent Power and Renewable Electricity Producers — 0.8% | ||||||
761 | Ormat Technologies, Inc. | 53,932 | ||||
11,932 | Vistra Corp. | 207,259 | ||||
261,191 | ||||||
Industrial Conglomerates — 0.4% | ||||||
1,103 | Carlisle Cos., Inc. | 136,629 | ||||
Insurance — 9.0% | ||||||
86 | Alleghany Corp. | 47,036 | ||||
1,344 | American Financial Group, Inc. | 100,719 | ||||
742 | Assurant, Inc. | 92,283 | ||||
3,962 | Athene Holding Ltd., Class A (a) | 127,101 | ||||
1,022 | Axis Capital Holdings Ltd. | 43,629 | ||||
8,362 | Brighthouse Financial, Inc. (a) | 276,782 | ||||
1,394 | Enstar Group Ltd. (a) | 239,587 | ||||
684 | Everest Re Group Ltd. | 134,803 | ||||
5,750 | Fidelity National Financial, Inc. | 179,918 | ||||
4,420 | First American Financial Corp. | 197,088 | ||||
1,690 | Globe Life, Inc. | 137,042 | ||||
1,449 | Hanover Insurance Group (The), Inc. | 138,611 | ||||
3,367 | Kemper Corp. | 207,609 | ||||
2,873 | Lincoln National Corp. | 100,842 | ||||
6,106 | Old Republic International Corp. | 99,406 | ||||
796 | Primerica, Inc. | 87,751 | ||||
1,419 | Reinsurance Group of America, Inc. | 143,347 | ||||
1,749 | Selective Insurance Group, Inc. | 91,053 | ||||
13,370 | Unum Group | 236,114 | ||||
173 | White Mountains Insurance Group Ltd. | 157,141 | ||||
2,837,862 | ||||||
Internet & Direct Marketing Retail — 0.1% | ||||||
6,268 | Qurate Retail, Inc., Series A | 42,434 | ||||
IT Services — 0.8% | ||||||
633 | CACI International, Inc., Class A (a) | 132,000 | ||||
1,316 | MAXIMUS, Inc. | 88,935 | ||||
574 | Science Applications International Corp. | 43,836 | ||||
264,771 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Leisure Products — 0.1% | ||||||
1,339 | Acushnet Holdings Corp. | $ | 45,700 | |||
Machinery — 3.7% | ||||||
3,842 | Allison Transmission Holdings, Inc. | 138,888 | ||||
3,298 | Flowserve Corp. | 96,038 | ||||
2,286 | ITT, Inc. | 138,326 | ||||
490 | John Bean Technologies Corp. | 41,145 | ||||
489 | Lincoln Electric Holdings, Inc. | 49,790 | ||||
1,003 | Middleby (The) Corp. (a) | 99,838 | ||||
2,450 | Oshkosh Corp. | 165,032 | ||||
917 | Snap-on, Inc. | 144,455 | ||||
3,320 | Timken (The) Co. | 198,204 | ||||
1,123 | Woodward, Inc. | 89,335 | ||||
1,161,051 | ||||||
Media — 2.1% | ||||||
10,336 | Discovery, Inc., Class A (a) | 209,201 | ||||
7,752 | DISH Network Corp., Class A (a) | 197,598 | ||||
5,400 | Interpublic Group of (The) Cos., Inc. | 97,686 | ||||
2,002 | Nexstar Media Group, Inc., Class A | 164,965 | ||||
669,450 | ||||||
Metals & Mining — 1.5% | ||||||
2,205 | Reliance Steel & Aluminum Co. | 240,323 | ||||
7,860 | Steel Dynamics, Inc. | 247,433 | ||||
487,756 | ||||||
Mortgage Real Estate Investment Trusts — 0.5% | ||||||
2,049 | Blackstone Mortgage Trust, Inc., Class A | 44,463 | ||||
8,947 | Starwood Property Trust, Inc. | 124,990 | ||||
169,453 | ||||||
Multiline Retail — 0.8% | ||||||
12,144 | Kohl’s Corp. | 258,546 | ||||
Multi-Utilities — 2.1% | ||||||
3,365 | Black Hills Corp. | 190,661 | ||||
10,001 | MDU Resources Group, Inc. | 237,624 | ||||
2,046 | NiSource, Inc. | 46,996 | ||||
3,701 | NorthWestern Corp. | 192,933 | ||||
668,214 | ||||||
Oil, Gas & Consumable Fuels — 1.0% | ||||||
6,850 | HollyFrontier Corp. | 126,794 | ||||
44,014 | Marathon Oil Corp. | 174,295 | ||||
301,089 | ||||||
Pharmaceuticals — 1.3% | ||||||
316 | Jazz Pharmaceuticals PLC (a) | 45,536 | ||||
15,173 | Mylan N.V. (a) | 220,615 | ||||
2,941 | Perrigo Co. PLC | 129,022 | ||||
395,173 | ||||||
First Trust Mid Cap Value AlphaDEX® Fund (FNK) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Professional Services — 1.6% | ||||||
2,124 | ASGN, Inc. (a) | $ | 141,628 | |||
1,375 | Insperity, Inc. | 105,298 | ||||
1,227 | ManpowerGroup, Inc. | 83,276 | ||||
1,700 | Robert Half International, Inc. | 86,173 | ||||
1,517 | TriNet Group, Inc. (a) | 104,552 | ||||
520,927 | ||||||
Real Estate Management & Development — 1.0% | ||||||
781 | Howard Hughes (The) Corp. (a) | 48,570 | ||||
2,352 | Jones Lang LaSalle, Inc. | 265,447 | ||||
314,017 | ||||||
Road & Rail — 1.7% | ||||||
506 | AMERCO | 175,663 | ||||
4,423 | Knight-Swift Transportation Holdings, Inc. | 168,030 | ||||
359 | Landstar System, Inc. | 44,767 | ||||
4,287 | Werner Enterprises, Inc. | 162,992 | ||||
551,452 | ||||||
Semiconductors & Semiconductor Equipment — 0.9% | ||||||
20,092 | Amkor Technology, Inc. (a) | 238,090 | ||||
680 | First Solar, Inc. (a) | 59,191 | ||||
297,281 | ||||||
Specialty Retail — 2.7% | ||||||
2,551 | AutoNation, Inc. (a) | 144,718 | ||||
2,333 | Dick’s Sporting Goods, Inc. | 132,165 | ||||
5,450 | Foot Locker, Inc. | 200,996 | ||||
197 | Lithia Motors, Inc., Class A | 45,225 | ||||
1,403 | Murphy USA, Inc. (a) | 171,573 | ||||
2,833 | Penske Automotive Group, Inc. | 144,936 | ||||
839,613 | ||||||
Technology Hardware, Storage & Peripherals — 0.7% | ||||||
11,988 | Xerox Holdings Corp. | 208,351 | ||||
Textiles, Apparel & Luxury Goods — 0.7% | ||||||
519 | Carter’s, Inc. | 42,273 | ||||
517 | Columbia Sportswear Co. | 38,563 | ||||
1,324 | Ralph Lauren Corp. | 88,509 | ||||
1,489 | Skechers U.S.A., Inc., Class A (a) | 47,216 | ||||
216,561 | ||||||
Thrifts & Mortgage Finance — 3.0% | ||||||
6,080 | Essent Group Ltd. | 242,288 | ||||
25,398 | MGIC Investment Corp. | 255,504 | ||||
21,768 | New York Community Bancorp, Inc. | 180,892 | ||||
15,402 | Radian Group, Inc. | 276,466 | ||||
955,150 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Trading Companies & Distributors — 1.3% | ||||||
7,648 | Air Lease Corp. | $ | 208,332 | |||
2,134 | MSC Industrial Direct Co., Inc., Class A | 148,654 | ||||
2,666 | Univar Solutions, Inc. (a) | 44,229 | ||||
401,215 | ||||||
Transportation Infrastructure — 0.5% | ||||||
6,695 | Macquarie Infrastructure Corp. | 172,731 | ||||
Total Common Stocks — 99.8% | 31,598,723 | |||||
(Cost $32,984,324) | ||||||
Money Market Funds — 0.0% | ||||||
5,212 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 5,212 | ||||
(Cost $5,212) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 0.1% | |||||||
$ | 29,901 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $29,901. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $30,481. (d) | 29,901 | ||||
(Cost $29,901) | |||||||
Total Investments — 99.9% | 31,633,836 | ||||||
(Cost $33,019,437) (e) | |||||||
Net Other Assets and Liabilities — 0.1% | 40,887 | ||||||
Net Assets — 100.0% | $ | 31,674,723 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $36,332 and the total value of the collateral held by the Fund is $35,113. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
First Trust Mid Cap Value AlphaDEX® Fund (FNK) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $1,449,146 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $2,834,747. The net unrealized depreciation was $1,385,601. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 31,598,723 | $ | — | $ | — | ||||||
Money Market Funds | 5,212 | — | — | |||||||||
Repurchase Agreements | — | 29,901 | — | |||||||||
Total Investments | $ | 31,603,935 | $ | 29,901 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Mid Cap Growth AlphaDEX® Fund (FNY) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.8% | ||||||
Aerospace & Defense — 1.0% | ||||||
14,290 | Aerojet Rocketdyne Holdings, Inc. (a) | $ | 463,282 | |||
12,569 | Axon Enterprise, Inc. (a) | 1,243,074 | ||||
20,245 | BWX Technologies, Inc. | 1,113,678 | ||||
14,714 | Mercury Systems, Inc. (a) | 1,013,500 | ||||
3,833,534 | ||||||
Auto Components — 0.3% | ||||||
15,336 | Fox Factory Holding Corp. (a) | 1,289,451 | ||||
Automobiles — 0.5% | ||||||
23,932 | Thor Industries, Inc. | 2,024,169 | ||||
Beverages — 1.5% | ||||||
3,225 | Boston Beer (The) Co., Inc., Class A (a) | 3,351,355 | ||||
33,520 | National Beverage Corp. (a) (b) | 2,624,281 | ||||
5,975,636 | ||||||
Biotechnology — 10.0% | ||||||
20,260 | Acceleron Pharma, Inc. (a) | 2,118,791 | ||||
34,395 | Alkermes PLC (a) | 558,919 | ||||
121,091 | Amicus Therapeutics, Inc. (a) | 2,159,053 | ||||
15,241 | Arena Pharmaceuticals, Inc. (a) | 1,306,459 | ||||
13,235 | Arrowhead Pharmaceuticals, Inc. (a) | 758,365 | ||||
24,595 | Blueprint Medicines Corp. (a) | 2,515,577 | ||||
31,200 | ChemoCentryx, Inc. (a) | 1,497,600 | ||||
34,071 | CRISPR Therapeutics AG (a) | 3,128,399 | ||||
27,578 | Emergent BioSolutions, Inc. (a) | 2,481,193 | ||||
69,930 | Exelixis, Inc. (a) | 1,432,166 | ||||
57,035 | Fate Therapeutics, Inc. (a) | 2,532,354 | ||||
43,374 | Halozyme Therapeutics, Inc. (a) | 1,214,472 | ||||
49,133 | Inovio Pharmaceuticals, Inc. (a) (b) | 483,960 | ||||
88,667 | Insmed, Inc. (a) | 2,920,691 | ||||
52,591 | Invitae Corp. (a) (b) | 2,062,093 | ||||
10,297 | Mirati Therapeutics, Inc. (a) | 2,235,891 | ||||
39,448 | Natera, Inc. (a) | 2,653,272 | ||||
21,040 | Novavax, Inc. (a) | 1,698,138 | ||||
617,822 | OPKO Health, Inc. (a) (b) | 2,174,733 | ||||
27,736 | Ultragenyx Pharmaceutical, Inc. (a) | 2,787,468 | ||||
38,719,594 | ||||||
Building Products — 2.3% | ||||||
28,380 | AAON, Inc. | 1,657,676 | ||||
45,640 | Advanced Drainage Systems, Inc. | 2,894,945 | ||||
23,465 | Simpson Manufacturing Co., Inc. | 2,081,815 | ||||
31,842 | Trex Co., Inc. (a) | 2,214,292 | ||||
8,848,728 | ||||||
Capital Markets — 1.6% | ||||||
14,099 | Ares Management Corp., Class A | 596,388 | ||||
19,303 | Houlihan Lokey, Inc. | 1,210,298 | ||||
22,302 | LPL Financial Holdings, Inc. | 1,782,599 | ||||
10,644 | Morningstar, Inc. | 2,026,405 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Capital Markets (Continued) | ||||||
9,828 | Tradeweb Markets, Inc., Class A | $ | 535,429 | |||
6,151,119 | ||||||
Chemicals — 2.1% | ||||||
19,151 | Albemarle Corp. | 1,785,065 | ||||
5,837 | Balchem Corp. | 583,408 | ||||
9,516 | Quaker Chemical Corp. | 1,815,558 | ||||
18,638 | Scotts Miracle-Gro (The) Co. | 2,796,632 | ||||
59,868 | Valvoline, Inc. | 1,177,603 | ||||
8,158,266 | ||||||
Commercial Services & Supplies — 2.4% | ||||||
279,048 | ADT, Inc. | 1,838,926 | ||||
40,821 | Casella Waste Systems, Inc., Class A (a) | 2,203,926 | ||||
15,168 | Cimpress PLC (a) | 1,113,331 | ||||
43,783 | IAA, Inc. (a) | 2,477,680 | ||||
12,744 | MSA Safety, Inc. | 1,681,189 | ||||
9,315,052 | ||||||
Communications Equipment — 0.5% | ||||||
14,360 | Ciena Corp. (a) | 565,640 | ||||
15,174 | Lumentum Holdings, Inc. (a) | 1,254,738 | ||||
1,820,378 | ||||||
Construction & Engineering — 0.5% | ||||||
102,508 | WillScot Mobile Mini Holdings Corp. (a) | 1,904,599 | ||||
Consumer Finance — 0.6% | ||||||
1,685 | Credit Acceptance Corp. (a) (b) | 502,332 | ||||
5,570 | LendingTree, Inc. (a) | 1,802,396 | ||||
2,304,728 | ||||||
Containers & Packaging — 2.1% | ||||||
13,374 | Avery Dennison Corp. | 1,850,828 | ||||
58,977 | Berry Global Group, Inc. (a) | 2,750,097 | ||||
22,244 | Crown Holdings, Inc. (a) | 1,908,535 | ||||
44,057 | Sealed Air Corp. | 1,744,217 | ||||
8,253,677 | ||||||
Diversified Consumer Services — 0.1% | ||||||
14,648 | frontdoor, Inc. (a) | 580,354 | ||||
Diversified Telecommunication Services — 0.8% | ||||||
16,326 | Bandwidth, Inc., Class A (a) | 2,617,956 | ||||
22,282 | Iridium Communications, Inc. (a) | 588,467 | ||||
3,206,423 | ||||||
Electric Utilities — 0.4% | ||||||
27,579 | PNM Resources, Inc. | 1,378,950 | ||||
First Trust Mid Cap Growth AlphaDEX® Fund (FNY) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Electrical Equipment — 1.6% | ||||||
14,714 | Generac Holdings, Inc. (a) | $ | 3,092,147 | |||
8,328 | Hubbell, Inc. | 1,211,807 | ||||
36,976 | Sunrun, Inc. (a) | 1,923,492 | ||||
6,227,446 | ||||||
Electronic Equipment, Instruments & Components — 0.7% | ||||||
8,598 | Dolby Laboratories, Inc., Class A | 645,538 | ||||
42,156 | II-VI, Inc. (a) | 1,916,833 | ||||
2,562,371 | ||||||
Equity Real Estate Investment Trusts — 2.5% | ||||||
40,024 | American Homes 4 Rent, Class A | 1,131,478 | ||||
15,943 | Americold Realty Trust | 577,615 | ||||
19,933 | Cousins Properties, Inc. | 507,893 | ||||
35,278 | CubeSmart | 1,196,983 | ||||
4,405 | EastGroup Properties, Inc. | 586,217 | ||||
14,321 | First Industrial Realty Trust, Inc. | 570,119 | ||||
15,431 | Gaming and Leisure Properties, Inc. | 560,917 | ||||
21,276 | Iron Mountain, Inc. | 554,453 | ||||
8,612 | Lamar Advertising Co., Class A | 533,599 | ||||
5,413 | Life Storage, Inc. | 617,894 | ||||
12,455 | Rexford Industrial Realty, Inc. | 578,659 | ||||
18,693 | STAG Industrial, Inc. | 581,726 | ||||
41,558 | STORE Capital Corp. | 1,068,041 | ||||
10,409 | Terreno Realty Corp. | 585,819 | ||||
9,651,413 | ||||||
Food & Staples Retailing — 1.4% | ||||||
68,585 | BJ’s Wholesale Club Holdings, Inc. (a) | 2,626,119 | ||||
43,485 | Grocery Outlet Holding Corp. (a) | 1,914,210 | ||||
54,463 | Sprouts Farmers Market, Inc. (a) | 1,037,520 | ||||
5,577,849 | ||||||
Food Products — 3.1% | ||||||
13,730 | Beyond Meat, Inc. (a) | 1,955,564 | ||||
79,100 | Darling Ingredients, Inc. (a) | 3,401,300 | ||||
25,523 | Freshpet, Inc. (a) | 2,922,383 | ||||
49,850 | Hain Celestial Group (The), Inc. (a) | 1,532,887 | ||||
17,202 | Lamb Weston Holdings, Inc. | 1,091,467 | ||||
6,375 | Lancaster Colony Corp. | 1,059,143 | ||||
11,962,744 | ||||||
Health Care Equipment & Supplies — 3.6% | ||||||
11,508 | Globus Medical, Inc., Class A (a) | 599,797 | ||||
11,970 | iRhythm Technologies, Inc. (a) | 2,531,057 | ||||
7,283 | Neogen Corp. (a) | 507,916 | ||||
8,181 | Nevro Corp. (a) | 1,220,687 | ||||
20,480 | Novocure Ltd. (a) | 2,500,608 | ||||
5,862 | Penumbra, Inc. (a) | 1,530,158 | ||||
30,228 | STAAR Surgical Co. (a) | 2,191,530 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Equipment & Supplies (Continued) | ||||||
25,107 | Tandem Diabetes Care, Inc. (a) | $ | 2,736,663 | |||
13,818,416 | ||||||
Health Care Providers & Services — 3.0% | ||||||
9,644 | Amedisys, Inc. (a) | 2,497,796 | ||||
2,371 | Chemed Corp. | 1,134,097 | ||||
25,495 | Guardant Health, Inc. (a) | 2,719,297 | ||||
11,097 | HealthEquity, Inc. (a) | 571,384 | ||||
10,725 | LHC Group, Inc. (a) | 2,322,499 | ||||
93,016 | Tenet Healthcare Corp. (a) | 2,282,612 | ||||
11,527,685 | ||||||
Health Care Technology — 1.0% | ||||||
22,081 | Inspire Medical Systems, Inc. (a) | 2,637,134 | ||||
15,266 | Omnicell, Inc. (a) | 1,321,272 | ||||
3,958,406 | ||||||
Hotels, Restaurants & Leisure — 3.0% | ||||||
6,632 | Choice Hotels International, Inc. | 579,305 | ||||
10,437 | Churchill Downs, Inc. | 1,556,679 | ||||
20,874 | Dunkin’ Brands Group, Inc. | 2,081,347 | ||||
27,707 | Papa John’s International, Inc. | 2,122,356 | ||||
39,197 | Penn National Gaming, Inc. (a) | 2,115,854 | ||||
76,691 | Wendy’s (The) Co. | 1,675,698 | ||||
12,511 | Wingstop, Inc. | 1,455,405 | ||||
11,586,644 | ||||||
Household Durables — 2.5% | ||||||
8,836 | Helen of Troy Ltd. (a) | 1,675,306 | ||||
24,530 | LGI Homes, Inc. (a) | 2,621,766 | ||||
31,949 | Tempur Sealy International, Inc. (a) | 2,843,461 | ||||
16,695 | TopBuild Corp. (a) | 2,557,841 | ||||
9,698,374 | ||||||
Household Products — 0.3% | ||||||
29,124 | Energizer Holdings, Inc. | 1,146,029 | ||||
Independent Power and Renewable Electricity Producers — 0.6% | ||||||
84,560 | Clearway Energy, Inc., Class C | 2,381,210 | ||||
Insurance — 1.5% | ||||||
8,131 | Erie Indemnity Co., Class A | 1,893,466 | ||||
14,983 | Kinsale Capital Group, Inc. | 2,808,863 | ||||
6,714 | RenaissanceRe Holdings Ltd. | 1,085,788 | ||||
5,788,117 | ||||||
Internet & Direct Marketing Retail — 2.1% | ||||||
51,972 | Chewy, Inc., Class A (a) (b) | 3,201,475 | ||||
39,227 | Overstock.com, Inc. (a) | 2,200,635 | ||||
11,829 | Stamps.com, Inc. (a) | 2,640,706 | ||||
8,042,816 | ||||||
First Trust Mid Cap Growth AlphaDEX® Fund (FNY) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
IT Services — 1.0% | ||||||
30,420 | Fastly, Inc., Class A (a) | $ | 1,931,974 | |||
43,899 | Genpact Ltd. | 1,508,809 | ||||
29,303 | Perspecta, Inc. | 525,403 | ||||
3,966,186 | ||||||
Leisure Products — 1.3% | ||||||
146,139 | Mattel, Inc. (a) | 2,012,334 | ||||
62,881 | YETI Holdings, Inc. (a) | 3,111,352 | ||||
5,123,686 | ||||||
Life Sciences Tools & Services — 4.7% | ||||||
22,857 | 10X Genomics, Inc., Class A (a) | 3,129,123 | ||||
35,162 | Adaptive Biotechnologies Corp. (a) | 1,620,265 | ||||
14,339 | Bruker Corp. | 609,981 | ||||
12,585 | Charles River Laboratories International, Inc. (a) | 2,865,605 | ||||
20,402 | Medpace Holdings, Inc. (a) | 2,263,398 | ||||
61,798 | NeoGenomics, Inc. (a) | 2,424,336 | ||||
16,855 | PRA Health Sciences, Inc. (a) | 1,642,351 | ||||
15,454 | Repligen Corp. (a) | 2,574,173 | ||||
21,443 | Syneos Health, Inc. (a) | 1,138,194 | ||||
18,267,426 | ||||||
Machinery — 2.5% | ||||||
12,279 | Donaldson Co., Inc. | 583,253 | ||||
18,579 | Graco, Inc. | 1,150,040 | ||||
65,449 | Navistar International Corp. (a) | 2,821,506 | ||||
13,203 | Proto Labs, Inc. (a) | 1,559,010 | ||||
38,198 | Rexnord Corp. | 1,225,392 | ||||
27,155 | Toro (The) Co. | 2,229,426 | ||||
9,568,627 | ||||||
Media — 0.4% | ||||||
39,960 | New York Times (The) Co., Class A | 1,584,814 | ||||
Metals & Mining — 0.7% | ||||||
560,966 | Hecla Mining Co. | 2,569,224 | ||||
Multiline Retail — 0.6% | ||||||
26,099 | Ollie’s Bargain Outlet Holdings, Inc. (a) | 2,272,962 | ||||
Oil, Gas & Consumable Fuels — 1.2% | ||||||
424,537 | Antero Midstream Corp. | 2,432,597 | ||||
60,183 | Apache Corp. | 499,519 | ||||
18,924 | Diamondback Energy, Inc. | 491,267 | ||||
67,370 | Equitrans Midstream Corp. | 489,106 | ||||
60,891 | Parsley Energy, Inc., Class A | 609,519 | ||||
4,522,008 | ||||||
Personal Products — 0.6% | ||||||
48,869 | Herbalife Nutrition Ltd. (a) | 2,205,947 | ||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Pharmaceuticals — 0.7% | ||||||
12,544 | MyoKardia, Inc. (a) | $ | 2,803,960 | |||
Professional Services — 0.9% | ||||||
33,688 | CoreLogic, Inc. | 2,591,618 | ||||
10,756 | FTI Consulting, Inc. (a) | 1,059,036 | ||||
3,650,654 | ||||||
Real Estate Management & Development — 0.6% | ||||||
57,076 | Redfin Corp. (a) | 2,384,064 | ||||
Road & Rail — 0.7% | ||||||
18,075 | Saia, Inc. (a) | 2,668,954 | ||||
Semiconductors & Semiconductor Equipment — 6.4% | ||||||
27,164 | Advanced Energy Industries, Inc. (a) | 1,832,755 | ||||
25,350 | Cirrus Logic, Inc. (a) | 1,745,854 | ||||
7,982 | CMC Materials, Inc. | 1,134,961 | ||||
17,882 | Cree, Inc. (a) | 1,137,295 | ||||
30,289 | Diodes, Inc. (a) | 1,751,613 | ||||
34,504 | Enphase Energy, Inc. (a) | 3,384,497 | ||||
30,669 | Entegris, Inc. | 2,293,121 | ||||
15,232 | Inphi Corp. (a) | 2,128,824 | ||||
39,359 | Lattice Semiconductor Corp. (a) | 1,373,629 | ||||
50,275 | MACOM Technology Solutions Holdings, Inc. (a) | 1,835,038 | ||||
10,436 | MKS Instruments, Inc. | 1,131,158 | ||||
20,576 | Power Integrations, Inc. | 1,238,881 | ||||
10,761 | Semtech Corp. (a) | 590,671 | ||||
28,350 | Synaptics, Inc. (a) | 2,173,595 | ||||
6,305 | Universal Display Corp. | 1,250,345 | ||||
25,002,237 | ||||||
Software — 17.0% | ||||||
67,328 | 2U, Inc. (a) | 2,481,037 | ||||
43,624 | ACI Worldwide, Inc. (a) | 1,272,512 | ||||
20,630 | Alarm.com Holdings, Inc. (a) | 1,203,348 | ||||
5,021 | Alteryx, Inc., Class A (a) | 629,382 | ||||
45,537 | Anaplan, Inc. (a) | 2,520,473 | ||||
9,004 | Aspen Technology, Inc. (a) | 988,729 | ||||
25,433 | Blackline, Inc. (a) | 2,484,296 | ||||
32,829 | Box, Inc., Class A (a) | 508,850 | ||||
26,148 | CDK Global, Inc. | 1,126,979 | ||||
104,673 | Cloudera, Inc. (a) | 1,017,422 | ||||
55,523 | Cloudflare, Inc., Class A (a) | 2,885,530 | ||||
29,592 | Dropbox, Inc., Class A (a) | 540,350 | ||||
21,132 | Elastic N.V. (a) | 2,142,996 | ||||
29,547 | Envestnet, Inc. (a) | 2,267,437 | ||||
9,068 | Everbridge, Inc. (a) | 949,329 | ||||
46,166 | FireEye, Inc. (a) | 638,938 | ||||
17,579 | Five9, Inc. (a) | 2,667,086 | ||||
16,469 | J2 Global, Inc. (a) | 1,117,916 | ||||
54,813 | LivePerson, Inc. (a) | 2,930,303 | ||||
11,936 | Manhattan Associates, Inc. (a) | 1,020,528 |
First Trust Mid Cap Growth AlphaDEX® Fund (FNY) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
41,572 | Medallia, Inc. (a) | $ | 1,182,723 | |||
36,440 | Mimecast Ltd. (a) | 1,392,372 | ||||
10,114 | New Relic, Inc. (a) | 613,515 | ||||
68,689 | Nuance Communications, Inc. (a) | 2,191,866 | ||||
25,695 | Nutanix, Inc., Class A (a) | 625,416 | ||||
14,121 | Paylocity Holding Corp. (a) | 2,619,728 | ||||
18,835 | Pegasystems, Inc. | 2,182,600 | ||||
54,785 | Ping Identity Holding Corp. (a) | 1,516,997 | ||||
5,399 | Proofpoint, Inc. (a) | 516,900 | ||||
20,672 | PTC, Inc. (a) | 1,733,967 | ||||
18,735 | Q2 Holdings, Inc. (a) | 1,709,381 | ||||
5,815 | Qualys, Inc. (a) | 510,848 | ||||
37,228 | Rapid7, Inc. (a) | 2,305,530 | ||||
72,018 | Sailpoint Technologies Holdings, Inc. (a) | 2,989,467 | ||||
23,065 | Smartsheet, Inc., Class A (a) | 1,149,790 | ||||
84,063 | SolarWinds Corp. (a) | 1,717,407 | ||||
29,277 | SPS Commerce, Inc. (a) | 2,505,818 | ||||
77,331 | SVMK, Inc. (a) | 1,618,538 | ||||
75,490 | Tenable Holdings, Inc. (a) | 2,574,964 | ||||
14,813 | Varonis Systems, Inc. (a) | 1,711,938 | ||||
23,658 | Verint Systems, Inc. (a) | 1,147,886 | ||||
65,911,092 | ||||||
Specialty Retail — 2.6% | ||||||
13,464 | Five Below, Inc. (a) | 1,795,290 | ||||
38,099 | Floor & Decor Holdings, Inc., Class A (a) | 2,781,227 | ||||
7,447 | RH (a) | 2,496,458 | ||||
31,508 | Williams-Sonoma, Inc. | 2,873,844 | ||||
9,946,819 | ||||||
Technology Hardware, Storage & Peripherals — 0.3% | ||||||
13,002 | NetApp, Inc. | 570,658 | ||||
37,032 | Pure Storage, Inc., Class A (a) | 596,215 | ||||
1,166,873 | ||||||
Textiles, Apparel & Luxury Goods — 1.4% | ||||||
10,360 | Deckers Outdoor Corp. (a) | 2,624,913 | ||||
180,934 | Hanesbrands, Inc. | 2,907,610 | ||||
5,532,523 | ||||||
Thrifts & Mortgage Finance — 0.6% | ||||||
49,031 | PennyMac Financial Services, Inc. | 2,491,755 | ||||
Trading Companies & Distributors — 2.0% | ||||||
55,279 | HD Supply Holdings, Inc. (a) | 2,203,421 | ||||
23,367 | SiteOne Landscape Supply, Inc. (a) | 2,792,123 | ||||
12,235 | Watsco, Inc. | 2,742,353 | ||||
7,737,897 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Total Common Stocks — 99.8% | $ | 387,071,886 | ||||
(Cost $356,468,402) | ||||||
Money Market Funds — 0.4% | ||||||
1,597,662 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 1,597,662 | ||||
(Cost $1,597,662) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 2.4% | |||||||
$ | 9,166,175 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $9,166,213. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $9,344,178. (d) | 9,166,175 | ||||
(Cost $9,166,175) | |||||||
Total Investments — 102.6% | 397,835,723 | ||||||
(Cost $367,232,239) (e) | |||||||
Net Other Assets and Liabilities — (2.6)% | (10,228,144 | ) | |||||
Net Assets — 100.0% | $ | 387,607,579 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $9,528,761 and the total value of the collateral held by the Fund is $10,763,837. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $50,105,123 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $19,501,639. The net unrealized appreciation was $30,603,484. |
First Trust Mid Cap Growth AlphaDEX® Fund (FNY) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 387,071,886 | $ | — | $ | — | ||||||
Money Market Funds | 1,597,662 | — | — | |||||||||
Repurchase Agreements | — | 9,166,175 | — | |||||||||
Total Investments | $ | 388,669,548 | $ | 9,166,175 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Small Cap Value AlphaDEX® Fund (FYT) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.7% | ||||||
Aerospace & Defense — 0.6% | ||||||
3,950 | Kaman Corp. | $ | 156,657 | |||
3,565 | Moog, Inc., Class A | 222,420 | ||||
379,077 | ||||||
Air Freight & Logistics — 0.5% | ||||||
1,317 | Forward Air Corp. | 82,931 | ||||
4,513 | Hub Group, Inc., Class A (a) | 226,237 | ||||
309,168 | ||||||
Airlines — 1.1% | ||||||
12,886 | SkyWest, Inc. | 374,081 | ||||
19,121 | Spirit Airlines, Inc. (a) | 335,956 | ||||
710,037 | ||||||
Auto Components — 1.2% | ||||||
7,146 | Cooper Tire & Rubber Co. | 245,751 | ||||
24,988 | Dana, Inc. | 349,582 | ||||
3,447 | Standard Motor Products, Inc. | 157,873 | ||||
753,206 | ||||||
Banks — 24.7% | ||||||
9,982 | 1st Source Corp. | 334,297 | ||||
13,513 | Ameris Bancorp | 395,931 | ||||
30,492 | Associated Banc-Corp. | 417,436 | ||||
10,601 | Atlantic Union Bankshares Corp. | 268,099 | ||||
3,769 | BancFirst Corp. | 167,532 | ||||
15,885 | BancorpSouth Bank | 371,868 | ||||
1,494 | Bank of Hawaii Corp. | 90,596 | ||||
14,050 | BankUnited, Inc. | 354,763 | ||||
9,543 | Banner Corp. | 351,850 | ||||
17,750 | Cathay General Bancorp | 417,658 | ||||
4,263 | CIT Group, Inc. | 125,545 | ||||
9,499 | Columbia Banking System, Inc. | 269,867 | ||||
9,256 | CVB Financial Corp. | 161,980 | ||||
14,364 | Eagle Bancorp, Inc. | 429,771 | ||||
56,757 | F.N.B. Corp. | 429,083 | ||||
3,006 | FB Financial Corp. | 88,677 | ||||
58,975 | First BanCorp | 382,748 | ||||
19,374 | First Busey Corp. | 348,538 | ||||
32,054 | First Financial Bancorp | 458,372 | ||||
21,276 | First Hawaiian, Inc. | 367,224 | ||||
4,833 | First Interstate BancSystem, Inc., Class A | 170,605 | ||||
13,293 | First Merchants Corp. | 347,080 | ||||
35,696 | First Midwest Bancorp, Inc. | 447,985 | ||||
32,995 | Fulton Financial Corp. | 362,615 | ||||
4,015 | Hancock Whitney Corp. | 91,823 | ||||
10,263 | Heartland Financial USA, Inc. | 338,063 | ||||
18,698 | Hilltop Holdings, Inc. | 426,501 | ||||
50,734 | Hope Bancorp, Inc. | 409,423 | ||||
6,968 | Independent Bank Group, Inc. | 359,409 | ||||
11,813 | International Bancshares Corp. | 326,984 | ||||
42,404 | Investors Bancorp, Inc. | 358,738 | ||||
5,739 | NBT Bancorp, Inc. | 157,134 | ||||
22,488 | OceanFirst Financial Corp. | 336,645 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Banks (Continued) | ||||||
18,036 | Old National Bancorp | $ | 252,143 | |||
3,749 | Pacific Premier Bancorp, Inc. | 95,600 | ||||
1,878 | Park National Corp. | 172,119 | ||||
6,775 | Renasant Corp. | 193,155 | ||||
4,268 | S&T Bancorp, Inc. | 84,464 | ||||
3,272 | Sandy Spring Bancorp, Inc. | 82,945 | ||||
8,537 | Seacoast Banking Corp. of Florida (a) | 183,375 | ||||
24,270 | Simmons First National Corp., Class A | 412,347 | ||||
6,301 | Southside Bancshares, Inc. | 169,875 | ||||
36,579 | Sterling Bancorp | 489,427 | ||||
7,277 | Texas Capital Bancshares, Inc. (a) | 327,465 | ||||
2,709 | Tompkins Financial Corp. | 151,677 | ||||
18,771 | TowneBank | 341,257 | ||||
12,570 | TriCo Bancshares | 363,650 | ||||
10,580 | Trustmark Corp. | 247,466 | ||||
3,141 | UMB Financial Corp. | 191,193 | ||||
13,380 | United Community Banks, Inc. | 280,177 | ||||
11,657 | Webster Financial Corp. | 375,472 | ||||
10,605 | WesBanco, Inc. | 257,595 | ||||
7,686 | Wintrust Financial Corp. | 378,382 | ||||
15,414,624 | ||||||
Beverages — 0.1% | ||||||
314 | Coca-Cola Consolidated, Inc. | 71,890 | ||||
Building Products — 0.4% | ||||||
2,885 | American Woodmark Corp. (a) | 238,330 | ||||
Capital Markets — 1.5% | ||||||
64,135 | BGC Partners, Inc., Class A | 189,198 | ||||
3,460 | Evercore, Inc., Class A | 275,208 | ||||
1,033 | Piper Sandler Cos. | 86,204 | ||||
25,913 | Waddell & Reed Financial, Inc., Class A | 397,765 | ||||
948,375 | ||||||
Chemicals — 3.3% | ||||||
5,817 | Avient Corp. | 180,734 | ||||
2,096 | Cabot Corp. | 79,669 | ||||
3,362 | H.B. Fuller Co. | 152,131 | ||||
4,581 | Ingevity Corp. (a) | 251,405 | ||||
1,192 | Innospec, Inc. | 78,839 | ||||
6,024 | Minerals Technologies, Inc. | 329,453 | ||||
18,298 | Olin Corp. | 302,832 | ||||
37,507 | PQ Group Holdings, Inc. (a) | 433,581 | ||||
1,308 | Sensient Technologies Corp. | 85,582 | ||||
1,412 | Stepan Co. | 164,413 | ||||
2,058,639 | ||||||
Commercial Services & Supplies — 2.1% | ||||||
6,624 | BrightView Holdings, Inc. (a) | 81,012 | ||||
9,743 | Covanta Holding Corp. | 88,466 | ||||
3,508 | Healthcare Services Group, Inc. | 80,263 |
First Trust Small Cap Value AlphaDEX® Fund (FYT) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Commercial Services & Supplies (Continued) | ||||||
7,218 | HNI Corp. | $ | 234,946 | |||
10,689 | KAR Auction Services, Inc. | 155,632 | ||||
5,166 | McGrath RentCorp | 294,875 | ||||
38,063 | Steelcase, Inc., Class A | 397,378 | ||||
1,332,572 | ||||||
Communications Equipment — 0.9% | ||||||
9,101 | EchoStar Corp., Class A (a) | 210,779 | ||||
1,324 | InterDigital, Inc. | 74,118 | ||||
2,451 | NETGEAR, Inc. (a) | 75,540 | ||||
3,459 | NetScout Systems, Inc. (a) | 70,979 | ||||
4,476 | ViaSat, Inc. (a) | 151,736 | ||||
583,152 | ||||||
Construction & Engineering — 1.3% | ||||||
6,982 | Arcosa, Inc. | 322,359 | ||||
1,430 | Dycom Industries, Inc. (a) | 92,864 | ||||
21,851 | Granite Construction, Inc. | 421,943 | ||||
837,166 | ||||||
Construction Materials — 0.5% | ||||||
18,613 | Summit Materials, Inc., Class A (a) | 329,264 | ||||
Consumer Finance — 1.9% | ||||||
9,972 | Encore Capital Group, Inc. (a) | 318,406 | ||||
2,691 | FirstCash, Inc. | 140,040 | ||||
36,432 | Navient Corp. | 291,820 | ||||
2,554 | Nelnet, Inc., Class A | 155,896 | ||||
28,002 | SLM Corp. | 257,338 | ||||
1,163,500 | ||||||
Containers & Packaging — 0.6% | ||||||
8,502 | Greif, Inc., Class A | 345,096 | ||||
Distributors — 0.1% | ||||||
2,610 | Core-Mark Holding Co., Inc. | 71,383 | ||||
Diversified Consumer Services — 1.8% | ||||||
15,681 | Adtalem Global Education, Inc. (a) | 367,562 | ||||
952 | Graham Holdings Co., Class B | 362,084 | ||||
5,844 | K12, Inc. (a) | 139,496 | ||||
25,151 | Perdoceo Education Corp. (a) | 283,955 | ||||
1,153,097 | ||||||
Diversified Telecommunication Services — 0.5% | ||||||
1,506 | ATN International, Inc. | 67,318 | ||||
27,830 | Liberty Latin America Ltd., Class C (a) | 270,508 | ||||
337,826 | ||||||
Electric Utilities — 0.4% | ||||||
6,263 | Otter Tail Corp. | 240,186 | ||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Electrical Equipment — 1.1% | ||||||
13,543 | Atkore International Group, Inc. (a) | $ | 280,205 | |||
4,511 | AZZ, Inc. | 151,524 | ||||
4,880 | Encore Wire Corp. | 225,505 | ||||
657,234 | ||||||
Electronic Equipment, Instruments & Components — 3.0% | ||||||
2,103 | ePlus, Inc. (a) | 141,973 | ||||
4,004 | Insight Enterprises, Inc. (a) | 213,613 | ||||
5,068 | Knowles Corp. (a) | 72,219 | ||||
13,502 | Methode Electronics, Inc. | 415,457 | ||||
1,984 | OSI Systems, Inc. (a) | 153,085 | ||||
3,749 | PC Connection, Inc. | 170,767 | ||||
11,381 | Sanmina Corp. (a) | 278,152 | ||||
13,491 | TTM Technologies, Inc. (a) | 160,138 | ||||
14,549 | Vishay Intertechnology, Inc. | 235,985 | ||||
1,841,389 | ||||||
Energy Equipment & Services — 0.6% | ||||||
42,106 | Archrock, Inc. | 249,689 | ||||
3,935 | Cactus, Inc., Class A | 66,895 | ||||
5,154 | Helmerich & Payne, Inc. | 76,640 | ||||
393,224 | ||||||
Entertainment — 0.2% | ||||||
2,247 | Madison Square Garden Entertainment Corp. (a) | 146,055 | ||||
Equity Real Estate Investment Trusts — 9.4% | ||||||
36,649 | Acadia Realty Trust | 341,935 | ||||
49,099 | American Finance Trust, Inc. | 283,056 | ||||
16,017 | Apple Hospitality REIT, Inc. | 158,568 | ||||
21,909 | Brandywine Realty Trust | 191,923 | ||||
6,921 | Columbia Property Trust, Inc. | 73,224 | ||||
48,101 | CoreCivic, Inc. | 308,328 | ||||
75,900 | DiamondRock Hospitality Co. | 374,946 | ||||
109,322 | Diversified Healthcare Trust | 316,487 | ||||
50,303 | Empire State Realty Trust, Inc., Class A | 270,630 | ||||
5,598 | EPR Properties | 133,456 | ||||
33,934 | GEO Group (The), Inc. | 300,655 | ||||
13,293 | Kite Realty Group Trust | 137,716 | ||||
56,673 | Macerich (The) Co. (b) | 394,444 | ||||
31,996 | Paramount Group, Inc. | 184,937 | ||||
24,569 | Pebblebrook Hotel Trust | 294,337 | ||||
14,779 | Retail Opportunity Investments Corp. | 143,800 | ||||
52,986 | Retail Properties of America, Inc., Class A | 277,647 | ||||
17,774 | RLJ Lodging Trust | 145,391 | ||||
48,404 | Service Properties Trust | 348,993 | ||||
53,446 | SITE Centers Corp. | 363,967 | ||||
39,590 | Urban Edge Properties | 372,146 |
First Trust Small Cap Value AlphaDEX® Fund (FYT) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Equity Real Estate Investment Trusts (Continued) | ||||||
22,690 | Weingarten Realty Investors | $ | 359,863 | |||
8,601 | Xenia Hotels & Resorts, Inc. | 70,872 | ||||
5,847,321 | ||||||
Food & Staples Retailing — 0.7% | ||||||
1,136 | PriceSmart, Inc. | 78,384 | ||||
8,017 | Weis Markets, Inc. | 364,052 | ||||
442,436 | ||||||
Food Products — 0.7% | ||||||
1,967 | Cal-Maine Foods, Inc. (a) | 75,434 | ||||
9,884 | Fresh Del Monte Produce, Inc. | 212,803 | ||||
12,484 | Hostess Brands, Inc. (a) | 157,798 | ||||
446,035 | ||||||
Gas Utilities — 0.1% | ||||||
896 | Chesapeake Utilities Corp. | 87,100 | ||||
Health Care Equipment & Supplies — 0.3% | ||||||
2,609 | Integer Holdings Corp. (a) | 152,496 | ||||
5,960 | Lantheus Holdings, Inc. (a) | 64,726 | ||||
217,222 | ||||||
Health Care Providers & Services — 1.2% | ||||||
1,292 | AMN Healthcare Services, Inc. (a) | 84,342 | ||||
5,078 | Magellan Health, Inc. (a) | 366,987 | ||||
2,470 | National HealthCare Corp. | 156,351 | ||||
7,394 | Select Medical Holdings Corp. (a) | 155,126 | ||||
762,806 | ||||||
Health Care Technology — 0.3% | ||||||
18,910 | Allscripts Healthcare Solutions, Inc. (a) | 190,613 | ||||
Hotels, Restaurants & Leisure — 0.4% | ||||||
4,244 | Hyatt Hotels Corp., Class A | 234,014 | ||||
Household Durables — 1.7% | ||||||
7,272 | Century Communities, Inc. (a) | 282,445 | ||||
2,387 | La-Z-Boy, Inc. | 81,707 | ||||
8,357 | M/I Homes, Inc. (a) | 341,968 | ||||
21,213 | TRI Pointe Group, Inc. (a) | 348,530 | ||||
1,054,650 | ||||||
Insurance — 4.8% | ||||||
14,000 | American Equity Investment Life Holding Co. | 347,480 | ||||
5,699 | American National Group, Inc. | 392,091 | ||||
17,915 | Assured Guaranty Ltd. | 457,370 | ||||
23,990 | CNO Financial Group, Inc. | 425,823 | ||||
10,177 | Employers Holdings, Inc. | 325,766 | ||||
3,194 | FBL Financial Group, Inc., Class A | 158,710 | ||||
4,609 | Horace Mann Educators Corp. | 156,291 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Insurance (Continued) | ||||||
3,720 | Mercury General Corp. | $ | 151,441 | |||
4,828 | ProAssurance Corp. | 74,496 | ||||
3,279 | Safety Insurance Group, Inc. | 229,530 | ||||
7,039 | Stewart Information Services Corp. | 298,383 | ||||
3,017,381 | ||||||
IT Services — 0.6% | ||||||
2,234 | ManTech International Corp., Class A | 144,942 | ||||
6,622 | Sykes Enterprises, Inc. (a) | 226,737 | ||||
371,679 | ||||||
Machinery — 3.9% | ||||||
699 | Alamo Group, Inc. | 84,111 | ||||
4,575 | Albany International Corp., Class A | 233,050 | ||||
8,614 | Barnes Group, Inc. | 316,134 | ||||
1,075 | Chart Industries, Inc. (a) | 90,784 | ||||
1,338 | EnPro Industries, Inc. | 78,969 | ||||
2,564 | Gorman-Rupp (The) Co. | 79,612 | ||||
13,090 | Greenbrier (The) Cos., Inc. | 353,168 | ||||
14,702 | Meritor, Inc. (a) | 357,847 | ||||
8,372 | Mueller Industries, Inc. | 242,202 | ||||
14,815 | Mueller Water Products, Inc., Class A | 153,483 | ||||
1,629 | SPX Corp. (a) | 69,053 | ||||
9,936 | TriMas Corp. (a) | 241,743 | ||||
7,893 | Trinity Industries, Inc. | 148,704 | ||||
2,448,860 | ||||||
Marine — 0.5% | ||||||
5,650 | Matson, Inc. | 293,517 | ||||
Media — 2.1% | ||||||
12,458 | AMC Networks, Inc., Class A (a) (b) | 264,733 | ||||
27,946 | Gray Television, Inc. (a) | 354,355 | ||||
20,011 | Sinclair Broadcast Group, Inc., Class A (b) | 371,804 | ||||
26,201 | TEGNA, Inc. | 315,198 | ||||
1,306,090 | ||||||
Metals & Mining — 2.4% | ||||||
16,160 | Arconic Corp. (a) | 351,318 | ||||
4,227 | Kaiser Aluminum Corp. | 266,005 | ||||
1,451 | Materion Corp. | 74,277 | ||||
22,530 | Warrior Met Coal, Inc. | 337,950 | ||||
9,436 | Worthington Industries, Inc. | 464,346 | ||||
1,493,896 | ||||||
Mortgage Real Estate Investment Trusts — 1.0% | ||||||
8,381 | Apollo Commercial Real Estate Finance, Inc. | 72,915 | ||||
6,583 | Arbor Realty Trust, Inc. | 77,811 | ||||
15,611 | Broadmark Realty Capital, Inc. | 155,641 | ||||
9,208 | Chimera Investment Corp. | 76,887 |
First Trust Small Cap Value AlphaDEX® Fund (FYT) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Mortgage Real Estate Investment Trusts (Continued) | ||||||
31,816 | Ladder Capital Corp. | $ | 238,620 | |||
621,874 | ||||||
Multi-Utilities — 0.5% | ||||||
9,023 | Avista Corp. | 299,744 | ||||
Oil, Gas & Consumable Fuels — 3.6% | ||||||
31,083 | CVR Energy, Inc. | 342,224 | ||||
20,353 | Delek US Holdings, Inc. | 204,751 | ||||
37,270 | Matador Resources Co. (a) | 263,499 | ||||
43,141 | Murphy Oil Corp. | 333,048 | ||||
24,837 | PDC Energy, Inc. (a) | 296,057 | ||||
7,204 | Renewable Energy Group, Inc. (a) | 406,306 | ||||
18,160 | World Fuel Services Corp. | 382,268 | ||||
2,228,153 | ||||||
Paper & Forest Products — 1.5% | ||||||
5,674 | Boise Cascade Co. | 217,768 | ||||
11,718 | Domtar Corp. | 279,826 | ||||
12,663 | Schweitzer-Mauduit International, Inc. | 420,412 | ||||
918,006 | ||||||
Personal Products — 0.7% | ||||||
8,125 | Edgewell Personal Care Co. (a) | 213,038 | ||||
2,022 | Inter Parfums, Inc. | 83,023 | ||||
3,074 | Nu Skin Enterprises, Inc., Class A | 151,702 | ||||
447,763 | ||||||
Pharmaceuticals — 0.3% | ||||||
6,220 | Prestige Consumer Healthcare, Inc. (a) | 205,447 | ||||
Professional Services — 0.8% | ||||||
6,731 | CBIZ, Inc. (a) | 152,592 | ||||
3,681 | ICF International, Inc. | 240,700 | ||||
2,605 | Korn Ferry | 78,645 | ||||
471,937 | ||||||
Real Estate Management & Development — 1.0% | ||||||
12,798 | Forestar Group, Inc. (a) | 212,959 | ||||
15,602 | Kennedy-Wilson Holdings, Inc. | 205,634 | ||||
5,593 | Marcus & Millichap, Inc. (a) | 174,669 | ||||
593,262 | ||||||
Road & Rail — 1.3% | ||||||
12,179 | Heartland Express, Inc. | 222,997 | ||||
13,881 | Marten Transport Ltd. | 213,004 | ||||
5,362 | Ryder System, Inc. | 264,132 | ||||
6,225 | Schneider National, Inc., Class B | 137,324 | ||||
837,457 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Semiconductors & Semiconductor Equipment — 0.4% | ||||||
6,996 | Axcelis Technologies, Inc. (a) | $ | 154,402 | |||
3,518 | Ultra Clean Holdings, Inc. (a) | 74,898 | ||||
229,300 | ||||||
Software — 0.2% | ||||||
6,781 | Teradata Corp. (a) | 124,567 | ||||
Specialty Retail — 1.9% | ||||||
1,579 | Asbury Automotive Group, Inc. (a) | 162,605 | ||||
11,110 | Buckle (The), Inc. | 266,195 | ||||
3,483 | Group 1 Automotive, Inc. | 369,477 | ||||
1,862 | Monro, Inc. | 78,316 | ||||
26,067 | Sally Beauty Holdings, Inc. (a) | 218,181 | ||||
3,629 | Urban Outfitters, Inc. (a) | 81,072 | ||||
1,175,846 | ||||||
Technology Hardware, Storage & Peripherals — 0.8% | ||||||
13,905 | NCR Corp. (a) | 282,549 | ||||
8,580 | Super Micro Computer, Inc. (a) | 194,938 | ||||
477,487 | ||||||
Textiles, Apparel & Luxury Goods — 0.1% | ||||||
2,923 | Wolverine World Wide, Inc. | 77,956 | ||||
Thrifts & Mortgage Finance — 2.9% | ||||||
13,208 | Axos Financial, Inc. (a) | 360,050 | ||||
8,150 | Capitol Federal Financial, Inc. | 93,562 | ||||
8,207 | Northwest Bancshares, Inc. | 87,569 | ||||
18,568 | Provident Financial Services, Inc. | 251,968 | ||||
7,261 | Walker & Dunlop, Inc. | 456,572 | ||||
14,757 | Washington Federal, Inc. | 314,176 | ||||
8,399 | WSFS Financial Corp. | 266,164 | ||||
1,830,061 | ||||||
Tobacco — 0.6% | ||||||
9,189 | Universal Corp. | 366,182 | ||||
Trading Companies & Distributors — 3.4% | ||||||
2,794 | Applied Industrial Technologies, Inc. | 170,574 | ||||
2,430 | Beacon Roofing Supply, Inc. (a) | 74,601 | ||||
6,036 | GATX Corp. | 412,138 | ||||
9,399 | GMS, Inc. (a) | 212,417 | ||||
5,719 | Herc Holdings, Inc. (a) | 253,695 | ||||
9,136 | Rush Enterprises, Inc., Class A | 327,434 | ||||
3,155 | Systemax, Inc. | 89,697 | ||||
9,462 | Triton International Ltd. | 348,959 | ||||
5,147 | WESCO International, Inc. (a) | 212,262 | ||||
2,101,777 | ||||||
Wireless Telecommunication Services — 1.2% | ||||||
20,868 | Telephone and Data Systems, Inc. | 354,756 |
First Trust Small Cap Value AlphaDEX® Fund (FYT) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Wireless Telecommunication Services (Continued) | ||||||
13,031 | United States Cellular Corp. (a) | $ | 379,463 | |||
734,219 | ||||||
Total Common Stocks — 99.7% | 62,269,148 | |||||
(Cost $62,464,491) | ||||||
Money Market Funds — 0.2% | ||||||
139,513 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 139,513 | ||||
(Cost $139,513) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 1.3% | |||||||
$ | 800,437 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $800,440. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $815,981. (d) | 800,437 | ||||
(Cost $800,437) | |||||||
Total Investments — 101.2% | 63,209,098 | ||||||
(Cost $63,404,441) (e) | |||||||
Net Other Assets and Liabilities — (1.2)% | (762,681 | ) | |||||
Net Assets — 100.0% | $ | 62,446,417 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $926,670 and the total value of the collateral held by the Fund is $939,950. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $4,191,054 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $4,386,397. The net unrealized depreciation was $195,343. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 62,269,148 | $ | — | $ | — | ||||||
Money Market Funds | 139,513 | — | — | |||||||||
Repurchase Agreements | — | 800,437 | — | |||||||||
Total Investments | $ | 62,408,661 | $ | 800,437 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Small Cap Growth AlphaDEX® Fund (FYC) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 100.0% | ||||||
Aerospace & Defense — 1.2% | ||||||
3,290 | AeroVironment, Inc. (a) | $ | 251,225 | |||
30,726 | Kratos Defense & Security Solutions, Inc. (a) | 580,414 | ||||
40,347 | Maxar Technologies, Inc. | 1,039,742 | ||||
1,871,381 | ||||||
Air Freight & Logistics — 1.2% | ||||||
32,122 | Air Transport Services Group, Inc. (a) | 900,701 | ||||
16,525 | Atlas Air Worldwide Holdings, Inc. (a) | 977,619 | ||||
1,878,320 | ||||||
Auto Components — 0.9% | ||||||
34,222 | American Axle & Manufacturing Holdings, Inc. (a) | 229,972 | ||||
13,996 | Patrick Industries, Inc. | 780,277 | ||||
31,843 | Workhorse Group, Inc. (a) (b) | 489,745 | ||||
1,499,994 | ||||||
Automobiles — 0.3% | ||||||
11,464 | Winnebago Industries, Inc. | 538,235 | ||||
Banks — 1.9% | ||||||
3,427 | City Holding Co. | 207,094 | ||||
3,769 | Independent Bank Corp. | 215,926 | ||||
4,794 | Lakeland Financial Corp. | 245,117 | ||||
15,334 | National Bank Holdings Corp., Class A | 462,320 | ||||
11,829 | ServisFirst Bancshares, Inc. | 436,490 | ||||
5,802 | Stock Yards Bancorp, Inc. | 221,752 | ||||
37,902 | Umpqua Holdings Corp. | 476,049 | ||||
34,783 | Veritex Holdings, Inc. | 686,269 | ||||
2,951,017 | ||||||
Biotechnology — 8.7% | ||||||
60,985 | Altimmune, Inc. (a) | 698,278 | ||||
13,808 | Arcturus Therapeutics Holdings, Inc. (a) | 746,737 | ||||
23,482 | Arcus Biosciences, Inc. (a) | 511,908 | ||||
48,957 | Athenex, Inc. (a) | 558,110 | ||||
21,219 | CareDx, Inc. (a) | 1,040,792 | ||||
32,299 | Coherus Biosciences, Inc. (a) | 538,424 | ||||
18,590 | Cytokinetics, Inc. (a) | 285,728 | ||||
16,534 | Denali Therapeutics, Inc. (a) | 707,325 | ||||
10,976 | Dicerna Pharmaceuticals, Inc. (a) | 230,386 | ||||
14,344 | Editas Medicine, Inc. (a) | 443,803 | ||||
10,830 | Esperion Therapeutics, Inc. (a) (b) | 324,575 | ||||
13,324 | Heron Therapeutics, Inc. (a) | 217,314 | ||||
29,798 | Intellia Therapeutics, Inc. (a) | 713,364 | ||||
21,953 | Ironwood Pharmaceuticals, Inc. (a) | 216,896 | ||||
27,568 | Karyopharm Therapeutics, Inc. (a) | 408,558 | ||||
31,958 | MacroGenics, Inc. (a) | 620,305 | ||||
21,618 | Mersana Therapeutics, Inc. (a) | 389,556 | ||||
58,039 | NantKwest, Inc. (a) (b) | 435,873 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Biotechnology (Continued) | ||||||
21,803 | Retrophin, Inc. (a) | $ | 441,293 | |||
62,686 | Sangamo Therapeutics, Inc. (a) | 648,173 | ||||
72,200 | Sorrento Therapeutics, Inc. (a) (b) | 501,068 | ||||
30,083 | TG Therapeutics, Inc. (a) | 760,197 | ||||
29,573 | Translate Bio, Inc. (a) | 379,422 | ||||
13,247 | Twist Bioscience Corp. (a) | 1,015,250 | ||||
18,232 | Veracyte, Inc. (a) | 631,921 | ||||
5,090 | Xencor, Inc. (a) | 195,354 | ||||
13,660,610 | ||||||
Building Products — 2.0% | ||||||
7,667 | CSW Industrials, Inc. | 655,759 | ||||
15,449 | Gibraltar Industries, Inc. (a) | 887,545 | ||||
41,199 | Griffon Corp. | 883,307 | ||||
45,949 | PGT Innovations, Inc. (a) | 761,834 | ||||
3,188,445 | ||||||
Capital Markets — 4.0% | ||||||
20,646 | Artisan Partners Asset Management, Inc., Class A | 827,079 | ||||
9,084 | Assetmark Financial Holdings, Inc. (a) | 192,126 | ||||
62,403 | Brightsphere Investment Group, Inc. | 861,161 | ||||
24,549 | Focus Financial Partners, Inc., Class A (a) | 896,284 | ||||
3,058 | Hamilton Lane, Inc., Class A | 213,143 | ||||
11,454 | Moelis & Co., Class A | 426,089 | ||||
16,603 | PJT Partners, Inc., Class A | 1,123,359 | ||||
15,736 | StoneX Group, Inc. (a) | 833,693 | ||||
5,807 | Virtus Investment Partners, Inc. | 926,507 | ||||
6,299,441 | ||||||
Chemicals — 0.4% | ||||||
2,070 | Chase Corp. | 196,981 | ||||
19,214 | GCP Applied Technologies, Inc. (a) | 419,058 | ||||
616,039 | ||||||
Commercial Services & Supplies — 0.2% | ||||||
4,806 | Brink’s (The) Co. | 205,841 | ||||
6,043 | US Ecology, Inc. | 184,432 | ||||
390,273 | ||||||
Communications Equipment — 2.0% | ||||||
56,596 | Calix, Inc. (a) | 1,324,913 | ||||
65,818 | CommScope Holding Co., Inc. (a) | 585,780 | ||||
130,686 | Infinera Corp. (a) | 818,094 | ||||
57,401 | Inseego Corp. (a) (b) | 499,389 | ||||
3,228,176 | ||||||
Construction & Engineering — 1.3% | ||||||
30,129 | Ameresco, Inc., Class A (a) | 1,156,652 |
First Trust Small Cap Growth AlphaDEX® Fund (FYC) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Construction & Engineering (Continued) | ||||||
19,537 | Comfort Systems USA, Inc. | $ | 894,795 | |||
2,051,447 | ||||||
Construction Materials — 0.7% | ||||||
85,134 | Forterra, Inc. (a) | 1,110,999 | ||||
Consumer Finance — 0.3% | ||||||
14,827 | PRA Group, Inc. (a) | 506,045 | ||||
Containers & Packaging — 0.5% | ||||||
76,018 | O-I Glass, Inc. | 716,850 | ||||
Electrical Equipment — 2.1% | ||||||
55,998 | Bloom Energy Corp., Class A (a) | 707,814 | ||||
60,031 | Plug Power, Inc. (a) | 840,434 | ||||
34,748 | TPI Composites, Inc. (a) | 1,150,854 | ||||
7,622 | Vicor Corp. (a) | 594,516 | ||||
3,293,618 | ||||||
Electronic Equipment, Instruments & Components — 1.4% | ||||||
6,158 | Badger Meter, Inc. | 451,628 | ||||
9,714 | FARO Technologies, Inc. (a) | 585,171 | ||||
25,230 | nLight, Inc. (a) | 535,885 | ||||
8,386 | Plexus Corp. (a) | 583,163 | ||||
2,155,847 | ||||||
Energy Equipment & Services — 0.1% | ||||||
244,709 | Transocean Ltd. (a) | 164,077 | ||||
Entertainment — 0.5% | ||||||
52,445 | Glu Mobile, Inc. (a) | 375,506 | ||||
9,944 | World Wrestling Entertainment, Inc., Class A | 361,564 | ||||
737,070 | ||||||
Equity Real Estate Investment Trusts — 4.0% | ||||||
11,097 | CareTrust REIT, Inc. | 189,759 | ||||
8,606 | Community Healthcare Trust, Inc. | 398,458 | ||||
8,813 | Easterly Government Properties, Inc. | 184,192 | ||||
10,779 | Essential Properties Realty Trust, Inc. | 178,069 | ||||
15,730 | Four Corners Property Trust, Inc. | 398,598 | ||||
12,418 | Global Net Lease, Inc. | 176,708 | ||||
17,036 | Independence Realty Trust, Inc. (b) | 206,987 | ||||
27,085 | Industrial Logistics Properties Trust | 519,490 | ||||
6,487 | Innovative Industrial Properties, Inc. | 756,579 | ||||
3,029 | Investors Real Estate Trust | 204,185 | ||||
16,721 | iStar, Inc. | 197,308 | ||||
14,257 | Monmouth Real Estate Investment Corp. | 197,459 | ||||
12,306 | National Storage Affiliates Trust | 417,050 | ||||
18,152 | NexPoint Residential Trust, Inc. | 804,497 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Equity Real Estate Investment Trusts (Continued) | ||||||
9,529 | Office Properties Income Trust | $ | 175,429 | |||
9,538 | Safehold, Inc. | 656,405 | ||||
76,412 | Uniti Group, Inc. | 673,954 | ||||
6,335,127 | ||||||
Food & Staples Retailing — 0.7% | ||||||
42,414 | Rite Aid Corp. (a) (b) | 387,664 | ||||
54,137 | United Natural Foods, Inc. (a) | 788,776 | ||||
1,176,440 | ||||||
Food Products — 0.6% | ||||||
36,236 | B&G Foods, Inc. (b) | 962,428 | ||||
Health Care Equipment & Supplies — 6.1% | ||||||
4,949 | AtriCure, Inc. (a) | 171,037 | ||||
19,715 | Axonics Modulation Technologies, Inc. (a) | 924,436 | ||||
5,018 | Cardiovascular Systems, Inc. (a) | 178,892 | ||||
31,543 | Cerus Corp. (a) | 165,601 | ||||
21,230 | CryoPort, Inc. (a) | 852,172 | ||||
70,865 | GenMark Diagnostics, Inc. (a) | 865,970 | ||||
8,127 | Glaukos Corp. (a) | 454,462 | ||||
5,995 | Heska Corp. (a) | 703,393 | ||||
47,411 | Meridian Bioscience, Inc. (a) | 813,099 | ||||
13,617 | Merit Medical Systems, Inc. (a) | 681,531 | ||||
776 | Mesa Laboratories, Inc. | 202,854 | ||||
33,075 | OraSure Technologies, Inc. (a) | 494,141 | ||||
4,299 | OrthoPediatrics Corp. (a) | 191,735 | ||||
13,275 | Shockwave Medical, Inc. (a) | 906,948 | ||||
14,971 | Silk Road Medical, Inc. (a) | 907,243 | ||||
50,717 | SmileDirectClub, Inc. (a) (b) | 451,381 | ||||
20,427 | Vapotherm, Inc. (a) | 611,789 | ||||
9,576,684 | ||||||
Health Care Providers & Services — 5.8% | ||||||
6,269 | Addus HomeCare Corp. (a) | 611,666 | ||||
8,831 | BioTelemetry, Inc. (a) | 376,024 | ||||
6,933 | CorVel Corp. (a) | 632,428 | ||||
41,242 | Covetrus, Inc. (a) | 1,018,265 | ||||
17,635 | Ensign Group (The), Inc. | 1,037,643 | ||||
24,724 | MEDNAX, Inc. (a) | 315,231 | ||||
30,104 | Option Care Health, Inc. (a) | 401,286 | ||||
40,074 | Owens & Minor, Inc. | 1,006,659 | ||||
33,395 | Patterson Cos., Inc. | 830,701 | ||||
24,454 | PetIQ, Inc. (a) | 698,406 | ||||
12,260 | Premier, Inc., Class A | 401,270 | ||||
58,675 | R1 RCM, Inc. (a) | 1,051,456 | ||||
38,591 | RadNet, Inc. (a) | 559,956 | ||||
2,273 | US Physical Therapy, Inc. | 180,317 | ||||
9,121,308 | ||||||
Health Care Technology — 3.3% | ||||||
81,085 | Evolent Health, Inc., Class A (a) | 805,985 |
First Trust Small Cap Growth AlphaDEX® Fund (FYC) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Health Care Technology (Continued) | ||||||
16,186 | Health Catalyst, Inc. (a) | $ | 558,093 | |||
30,435 | Inovalon Holdings, Inc., Class A (a) | 577,961 | ||||
46,497 | NextGen Healthcare, Inc. (a) | 632,359 | ||||
25,055 | Phreesia, Inc. (a) | 926,283 | ||||
13,352 | Simulations Plus, Inc. | 865,477 | ||||
4,842 | Tabula Rasa HealthCare, Inc. (a) | 167,243 | ||||
20,370 | Vocera Communications, Inc. (a) | 667,728 | ||||
5,201,129 | ||||||
Hotels, Restaurants & Leisure — 1.9% | ||||||
10,149 | Jack in the Box, Inc. | 812,529 | ||||
28,824 | Scientific Games Corp. (a) | 918,909 | ||||
6,242 | Shake Shack, Inc., Class A (a) | 421,460 | ||||
19,828 | Six Flags Entertainment Corp. | 428,681 | ||||
13,084 | Wyndham Destinations, Inc. | 426,931 | ||||
3,008,510 | ||||||
Household Durables — 2.1% | ||||||
2,231 | Cavco Industries, Inc. (a) | 384,044 | ||||
9,891 | Installed Building Products, Inc. (a) | 895,531 | ||||
7,803 | iRobot Corp. (a) | 620,963 | ||||
22,127 | Skyline Champion Corp. (a) | 567,558 | ||||
53,033 | Sonos, Inc. (a) | 774,282 | ||||
3,242,378 | ||||||
Household Products — 0.5% | ||||||
22,273 | Central Garden & Pet Co., Class A (a) | 788,241 | ||||
Independent Power and Renewable Electricity Producers — 0.5% | ||||||
33,090 | Sunnova Energy International, Inc. (a) | 796,145 | ||||
Insurance — 2.1% | ||||||
5,095 | eHealth, Inc. (a) | 341,925 | ||||
9,298 | Goosehead Insurance, Inc., Class A | 1,139,377 | ||||
9,653 | Palomar Holdings, Inc. (a) | 860,758 | ||||
12,753 | Trupanion, Inc. (a) | 912,350 | ||||
3,254,410 | ||||||
Interactive Media & Services — 0.8% | ||||||
72,557 | ANGI Homeservices, Inc., Class A (a) | 769,104 | ||||
15,331 | EverQuote, Inc., Class A (a) | 513,435 | ||||
1,282,539 | ||||||
Internet & Direct Marketing Retail — 2.4% | ||||||
40,347 | 1-800-Flowers.com, Inc., Class A (a) | 800,081 | ||||
55,632 | RealReal (The), Inc. (a) | 700,407 | ||||
15,470 | Shutterstock, Inc. | 1,012,511 |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Internet & Direct Marketing Retail (Continued) | ||||||
37,092 | Stitch Fix, Inc., Class A (a) (b) | $ | 1,277,078 | |||
3,790,077 | ||||||
IT Services — 3.3% | ||||||
9,830 | CSG Systems International, Inc. | 372,360 | ||||
175,310 | Endurance International Group Holdings, Inc. (a) | 1,018,551 | ||||
17,067 | EVERTEC, Inc. | 567,990 | ||||
16,198 | Evo Payments, Inc., Class A (a) | 341,292 | ||||
8,979 | ExlService Holdings, Inc. (a) | 680,069 | ||||
10,024 | NIC, Inc. | 224,738 | ||||
18,835 | Perficient, Inc. (a) | 737,579 | ||||
14,757 | TTEC Holdings, Inc. | 808,388 | ||||
41,668 | Verra Mobility Corp. (a) | 400,430 | ||||
5,151,397 | ||||||
Leisure Products — 2.5% | ||||||
42,060 | Callaway Golf Co. | 651,509 | ||||
16,242 | Malibu Boats, Inc., Class A (a) | 825,581 | ||||
64,838 | Smith & Wesson Brands, Inc. | 1,075,663 | ||||
6,581 | Sturm Ruger & Co., Inc. | 440,006 | ||||
49,864 | Vista Outdoor, Inc. (a) | 985,811 | ||||
3,978,570 | ||||||
Life Sciences Tools & Services — 1.2% | ||||||
15,334 | Luminex Corp. | 337,961 | ||||
18,010 | NanoString Technologies, Inc. (a) | 660,067 | ||||
23,859 | Quanterix Corp. (a) | 873,478 | ||||
1,871,506 | ||||||
Machinery — 4.0% | ||||||
27,218 | Altra Industrial Motion Corp. | 1,163,842 | ||||
14,838 | Astec Industries, Inc. | 753,770 | ||||
5,773 | Douglas Dynamics, Inc. | 196,917 | ||||
2,452 | ESCO Technologies, Inc. | 205,208 | ||||
37,936 | Evoqua Water Technologies Corp. (a) | 869,872 | ||||
13,760 | Federal Signal Corp. | 394,637 | ||||
10,068 | Franklin Electric Co., Inc. | 601,362 | ||||
5,425 | Helios Technologies, Inc. | 226,982 | ||||
5,405 | Kadant, Inc. | 622,223 | ||||
4,163 | Lindsay Corp. | 438,364 | ||||
3,272 | Tennant Co. | 195,077 | ||||
5,914 | Watts Water Technologies, Inc., Class A | 655,094 | ||||
6,323,348 | ||||||
Media — 1.0% | ||||||
8,393 | Cardlytics, Inc. (a) | 619,571 | ||||
22,892 | TechTarget, Inc. (a) | 1,002,670 | ||||
1,622,241 | ||||||
First Trust Small Cap Growth AlphaDEX® Fund (FYC) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Metals & Mining — 1.5% | ||||||
136,351 | Coeur Mining, Inc. (a) | $ | 964,002 | |||
29,650 | Commercial Metals Co. | 612,272 | ||||
13,563 | Compass Minerals International, Inc. | 818,934 | ||||
2,395,208 | ||||||
Mortgage Real Estate Investment Trusts — 1.3% | ||||||
19,044 | Hannon Armstrong Sustainable Infrastructure Capital, Inc. | 796,991 | ||||
24,349 | KKR Real Estate Finance Trust, Inc. | 406,872 | ||||
77,435 | New York Mortgage Trust, Inc. | 196,685 | ||||
12,286 | PennyMac Mortgage Investment Trust | 183,921 | ||||
53,525 | Redwood Trust, Inc. | 454,963 | ||||
2,039,432 | ||||||
Multiline Retail — 0.7% | ||||||
22,563 | Big Lots, Inc. | 1,073,999 | ||||
Oil, Gas & Consumable Fuels — 1.2% | ||||||
8,115 | Cimarex Energy Co. | 205,878 | ||||
45,082 | Comstock Resources, Inc. (a) | 239,385 | ||||
152,005 | Range Resources Corp. | 1,000,193 | ||||
171,279 | Southwestern Energy Co. (a) | 457,315 | ||||
1,902,771 | ||||||
Personal Products — 1.3% | ||||||
32,246 | elf Beauty, Inc. (a) | 653,626 | ||||
6,118 | Medifast, Inc. | 859,518 | ||||
8,043 | USANA Health Sciences, Inc. (a) | 608,453 | ||||
2,121,597 | ||||||
Pharmaceuticals — 1.9% | ||||||
10,530 | Amphastar Pharmaceuticals, Inc. (a) | 206,283 | ||||
8,364 | Arvinas, Inc. (a) | 174,891 | ||||
34,034 | Corcept Therapeutics, Inc. (a) | 571,090 | ||||
121,971 | Endo International PLC (a) | 557,407 | ||||
18,895 | Innoviva, Inc. (a) | 204,255 | ||||
13,391 | Pacira BioSciences, Inc. (a) | 700,349 | ||||
16,011 | Revance Therapeutics, Inc. (a) | 414,365 | ||||
9,474 | Supernus Pharmaceuticals, Inc. (a) | 173,943 | ||||
3,002,583 | ||||||
Professional Services — 0.5% | ||||||
46,159 | Upwork, Inc. (a) | 851,634 | ||||
Real Estate Management & Development — 1.9% | ||||||
24,944 | eXp World Holdings, Inc. (a) | 1,057,376 | ||||
106,596 | Realogy Holdings Corp. (a) | 1,189,611 | ||||
28,715 | St Joe (The) Co. (a) | 776,454 | ||||
3,023,441 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Road & Rail — 0.7% | ||||||
30,584 | Avis Budget Group, Inc. (a) | $ | 1,029,763 | |||
Semiconductors & Semiconductor Equipment — 2.7% | ||||||
14,561 | ACM Research, Inc., Class A (a) | 1,024,658 | ||||
7,714 | Ambarella, Inc. (a) | 421,724 | ||||
20,447 | CEVA, Inc. (a) | 824,423 | ||||
23,762 | FormFactor, Inc. (a) | 673,653 | ||||
17,318 | MaxLinear, Inc. (a) | 457,888 | ||||
31,662 | PDF Solutions, Inc. (a) | 593,346 | ||||
14,423 | Rambus, Inc. (a) | 198,893 | ||||
4,194,585 | ||||||
Software — 7.3% | ||||||
25,884 | 8x8, Inc. (a) | 447,276 | ||||
14,112 | Altair Engineering, Inc., Class A (a) | 607,239 | ||||
2,837 | Appfolio, Inc., Class A (a) | 405,322 | ||||
12,434 | Appian Corp. (a) (b) | 787,072 | ||||
66,202 | Avaya Holdings Corp. (a) | 1,138,674 | ||||
4,684 | Bottomline Technologies DE, Inc. (a) | 186,048 | ||||
20,590 | Cerence, Inc. (a) | 1,123,802 | ||||
4,839 | CommVault Systems, Inc. (a) | 191,576 | ||||
5,430 | Cornerstone OnDemand, Inc. (a) | 206,286 | ||||
30,736 | Digital Turbine, Inc. (a) | 880,894 | ||||
26,253 | Domo, Inc., Class B (a) | 834,058 | ||||
16,792 | Model N, Inc. (a) | 591,582 | ||||
19,205 | OneSpan, Inc. (a) | 421,166 | ||||
21,850 | PagerDuty, Inc. (a) | 592,135 | ||||
34,580 | Pluralsight, Inc., Class A (a) | 542,906 | ||||
10,974 | Progress Software Corp. | 399,124 | ||||
21,354 | Upland Software, Inc. (a) | 890,889 | ||||
10,625 | Workiva, Inc. (a) | 587,669 | ||||
26,516 | Yext, Inc. (a) | 439,635 | ||||
19,096 | Zuora, Inc., Class A (a) | 183,704 | ||||
11,457,057 | ||||||
Specialty Retail — 3.7% | ||||||
67,718 | At Home Group, Inc. (a) | 1,103,126 | ||||
33,825 | Camping World Holdings, Inc., Class A | 894,333 | ||||
104,224 | Michaels (The) Cos., Inc. (a) | 845,256 | ||||
21,051 | National Vision Holdings, Inc. (a) | 848,987 | ||||
26,933 | Rent-A-Center, Inc. | 832,230 | ||||
20,574 | Sleep Number Corp. (a) | 1,303,569 | ||||
5,827,501 | ||||||
Textiles, Apparel & Luxury Goods — 0.8% | ||||||
23,548 | Crocs, Inc. (a) | 1,232,267 | ||||
Thrifts & Mortgage Finance — 1.4% | ||||||
19,991 | Flagstar Bancorp, Inc. | 586,736 | ||||
45,084 | Mr. Cooper Group, Inc. (a) | 950,371 |
First Trust Small Cap Growth AlphaDEX® Fund (FYC) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Thrifts & Mortgage Finance (Continued) | ||||||
33,280 | NMI Holdings, Inc., Class A (a) | $ | 715,187 | |||
2,252,294 | ||||||
Tobacco — 0.1% | ||||||
20,377 | Vector Group Ltd. | 187,265 | ||||
Water Utilities — 0.4% | ||||||
4,545 | California Water Service Group | 202,571 | ||||
6,615 | SJW Group | 401,464 | ||||
604,035 | ||||||
Wireless Telecommunication Services — 0.1% | ||||||
4,443 | Shenandoah Telecommunications Co. | 193,804 | ||||
Total Common Stocks — 100.0% | 157,729,598 | |||||
(Cost $151,276,390) | ||||||
Money Market Funds — 0.5% | ||||||
852,235 | Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d) | 852,235 | ||||
(Cost $852,235) | ||||||
Principal Value | Description | Value | |||||
Repurchase Agreements — 3.1% | |||||||
$ | 4,889,477 | JPMorgan Chase & Co., 0.05% (c), dated 10/30/20, due 11/02/20, with a maturity value of $4,889,497. Collateralized by U.S. Treasury Note, interest rate of 1.375%, due 01/31/25. The value of the collateral including accrued interest is $4,984,429. (d) | 4,889,477 | ||||
(Cost $4,889,477) | |||||||
Total Investments — 103.6% | 163,471,310 | ||||||
(Cost $157,018,102) (e) | |||||||
Net Other Assets and Liabilities — (3.6)% | (5,732,364 | ) | |||||
Net Assets — 100.0% | $ | 157,738,946 |
(a) | Non-income producing security. |
(b) | All or a portion of this security is on loan for securities lending. The remaining contractual maturity of all of the securities lending transactions is overnight and continuous. The aggregate value of such securities is $5,337,479 and the total value of the collateral held by the Fund is $5,741,712. |
(c) | Rate shown reflects yield as of October 31, 2020. |
(d) | This security serves as collateral for securities on loan. |
(e) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $16,467,866 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $10,014,658. The net unrealized appreciation was $6,453,208. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 157,729,598 | $ | — | $ | — | ||||||
Money Market Funds | 852,235 | — | — | |||||||||
Repurchase Agreements | — | 4,889,477 | — | |||||||||
Total Investments | $ | 158,581,833 | $ | 4,889,477 | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
First Trust Mega Cap AlphaDEX® Fund (FMK) |
Portfolio of Investments |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks — 99.9% | ||||||
Air Freight & Logistics — 6.8% | ||||||
2,550 | FedEx Corp. | $ | 661,649 | |||
3,849 | United Parcel Service, Inc., Class B | 604,716 | ||||
1,266,365 | ||||||
Automobiles — 1.3% | ||||||
598 | Tesla, Inc. (a) | 232,048 | ||||
Banks — 8.7% | ||||||
15,976 | Bank of America Corp. | 378,631 | ||||
11,903 | Citigroup, Inc. | 493,022 | ||||
3,998 | JPMorgan Chase & Co. | 391,964 | ||||
16,370 | Wells Fargo & Co. | 351,137 | ||||
1,614,754 | ||||||
Biotechnology — 0.6% | ||||||
505 | Amgen, Inc. | 109,555 | ||||
Capital Markets — 3.4% | ||||||
1,277 | Goldman Sachs Group (The), Inc. | 241,404 | ||||
7,960 | Morgan Stanley | 383,274 | ||||
624,678 | ||||||
Communications Equipment — 3.2% | ||||||
16,284 | Cisco Systems, Inc. | 584,595 | ||||
Diversified Financial Services — 0.7% | ||||||
602 | Berkshire Hathaway, Inc., Class B (a) | 121,544 | ||||
Diversified Telecommunication Services — 5.3% | ||||||
17,999 | AT&T, Inc. | 486,333 | ||||
8,626 | Verizon Communications, Inc. | 491,596 | ||||
977,929 | ||||||
Entertainment — 0.7% | ||||||
257 | Netflix, Inc. (a) | 122,265 | ||||
Food & Staples Retailing — 2.8% | ||||||
1,084 | Costco Wholesale Corp. | 387,660 | ||||
917 | Walmart, Inc. | 127,234 | ||||
514,894 | ||||||
Health Care Providers & Services — 8.9% | ||||||
2,388 | Anthem, Inc. | 651,446 | ||||
10,983 | CVS Health Corp. | 616,037 | ||||
1,234 | UnitedHealth Group, Inc. | 376,543 | ||||
1,644,026 | ||||||
Industrial Conglomerates — 2.1% | ||||||
1,602 | 3M Co. | 256,256 | ||||
779 | Honeywell International, Inc. | 128,496 | ||||
384,752 | ||||||
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Interactive Media & Services — 1.4% | ||||||
980 | Facebook, Inc., Class A (a) | $ | 257,848 | |||
Internet & Direct Marketing Retail — 2.0% | ||||||
122 | Amazon.com, Inc. (a) | 370,410 | ||||
IT Services — 6.5% | ||||||
2,109 | International Business Machines Corp. | 235,491 | ||||
1,953 | PayPal Holdings, Inc. (a) | 363,512 | ||||
3,946 | Square, Inc., Class A (a) | 611,156 | ||||
1,210,159 | ||||||
Life Sciences Tools & Services — 1.5% | ||||||
581 | Thermo Fisher Scientific, Inc. | 274,883 | ||||
Machinery — 2.1% | ||||||
860 | Caterpillar, Inc. | 135,063 | ||||
1,158 | Deere & Co. | 261,604 | ||||
396,667 | ||||||
Media — 5.2% | ||||||
822 | Charter Communications, Inc., Class A (a) | 496,340 | ||||
11,093 | Comcast Corp., Class A | 468,568 | ||||
964,908 | ||||||
Multiline Retail — 3.4% | ||||||
4,075 | Target Corp. | 620,296 | ||||
Oil, Gas & Consumable Fuels — 3.3% | ||||||
1,782 | Chevron Corp. | 123,849 | ||||
14,947 | Exxon Mobil Corp. | 487,571 | ||||
611,420 | ||||||
Pharmaceuticals — 4.6% | ||||||
3,093 | Merck & Co., Inc. | 232,625 | ||||
17,478 | Pfizer, Inc. | 620,119 | ||||
852,744 | ||||||
Semiconductors & Semiconductor Equipment — 8.8% | ||||||
6,259 | Advanced Micro Devices, Inc. (a) | 471,240 | ||||
12,388 | Intel Corp. | 548,541 | ||||
948 | NVIDIA Corp. | 475,289 | ||||
1,090 | QUALCOMM, Inc. | 134,462 | ||||
1,629,532 | ||||||
Software — 7.4% | ||||||
262 | Adobe, Inc. (a) | 117,140 | ||||
1,531 | salesforce.com, Inc. (a) | 355,605 | ||||
794 | ServiceNow, Inc. (a) | 395,071 |
First Trust Mega Cap AlphaDEX® Fund (FMK) |
Portfolio of Investments (Continued) |
October 31, 2020 (Unaudited) |
Shares | Description | Value | ||||
Common Stocks (Continued) | ||||||
Software (Continued) | ||||||
1,092 | Zoom Video Communications, Inc., Class A (a) | $ | 503,314 | |||
1,371,130 | ||||||
Specialty Retail — 4.6% | ||||||
924 | Home Depot (The), Inc. | 246,440 | ||||
3,867 | Lowe’s Cos., Inc. | 611,373 | ||||
857,813 | ||||||
Technology Hardware, Storage & Peripherals — 2.6% | ||||||
4,431 | Apple, Inc. | 482,359 | ||||
Textiles, Apparel & Luxury Goods — 0.7% | ||||||
1,022 | NIKE, Inc., Class B | 122,722 | ||||
Wireless Telecommunication Services — 1.3% | ||||||
2,244 | T-Mobile US, Inc. (a) | 245,875 | ||||
Total Investments — 99.9% | 18,466,171 | |||||
(Cost $18,426,893) (b) | ||||||
Net Other Assets and Liabilities — 0.1% | 21,570 | |||||
Net Assets — 100.0% | $ | 18,487,741 |
(a) | Non-income producing security. |
(b) | Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2020, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $1,658,601 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $1,619,323. The net unrealized appreciation was $39,278. |
Valuation Inputs | |||
A summary of the inputs used to value the Fund’s investments as of October 31, 2020 is as follows (see Valuation Inputs in the Additional Information section): |
Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | ||||||||||
Common Stocks* | $ | 18,466,171 | $ | — | $ | — | ||||||
* See Portfolio of Investments for industry breakout. |
Additional Information
First Trust Exchange-Traded AlphaDEX® Fund
Style Funds
October 31, 2020 (Unaudited)
Valuation Inputs
The Funds are subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
• | Level 1 – Level 1 inputs are quoted prices in active markets for identical investments. |
• | Level 2 – Level 2 inputs are observable inputs, either directly or indirectly. (Quoted prices for similar investments, valuations based on interest rates and yield curves, or valuations derived from observable market data.) |
• | Level 3 – Level 3 inputs are unobservable inputs that may reflect the reporting entity’s own assumptions about the assumptions that market participants would use in pricing the investment. |
The inputs or methodologies used for valuing investments are not necessarily an indication of the risk associated with investing in those investments.
Licensing Information
Nasdaq®, NASDAQ AlphaDEX® Large Cap Core Index, NASDAQ AlphaDEX® Mid Cap Core Index, NASDAQ AlphaDEX® Small Cap Core Index, NASDAQ AlphaDEX® Large Cap Value Index, NASDAQ AlphaDEX® Large Cap Growth Index, NASDAQ AlphaDEX® Multi Cap Value Index, NASDAQ AlphaDEX® Multi Cap Growth Index, NASDAQ AlphaDEX® Mid Cap Value Index, NASDAQ AlphaDEX® Mid Cap Growth Index, NASDAQ AlphaDEX® Small Cap Value Index, NASDAQ AlphaDEX® Small Cap Growth Index, NASDAQ AlphaDEX® Mega Cap Index (“the Nasdaq Indexes”) are registered trademarks and service marks of Nasdaq, Inc. (together with its affiliates hereinafter referred to as the “Corporations”) and are licensed for use by First Trust. AlphaDEX® is a registered trademark owned by First Trust that has been licensed to Nasdaq, Inc. for use in the name of the Nasdaq Indexes. The funds have not been passed on by the Corporations as to their legality or suitability. The Funds are not issued, endorsed, sold or promoted by the Corporations. THE CORPORATIONS MAKE NO WARRANTIES AND BEAR NO LIABILITY WITH RESPECT TO THE FUNDS.