0001752724-21-280472.txt : 20211223 0001752724-21-280472.hdr.sgml : 20211223 20211223132642 ACCESSION NUMBER: 0001752724-21-280472 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20211029 FILED AS OF DATE: 20211223 PERIOD START: 20220731 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIRST TRUST EXCHANGE-TRADED ALPHADEX FUND CENTRAL INDEX KEY: 0001383496 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22019 FILM NUMBER: 211516452 BUSINESS ADDRESS: STREET 1: 120 EAST LIBERTY DRIVE, SUITE 400 CITY: WHEATON STATE: IL ZIP: 60187 BUSINESS PHONE: 630-765-8000 MAIL ADDRESS: STREET 1: 120 EAST LIBERTY DRIVE, SUITE 400 CITY: WHEATON STATE: IL ZIP: 60187 0001383496 S000017339 First Trust Small Cap Core AlphaDEX Fund C000047997 First Trust Small Cap Core AlphaDEX Fund FYX NPORT-P 1 primary_doc.xml NPORT-P false 0001383496 XXXXXXXX S000017339 C000047997 First Trust Exchange-Traded 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0.290960407532 Long EC CORP US N 1 N N N TTM Technologies Inc 549300SC4BDOIS008048 TTM Technologies Inc 87305R109 184626.00000000 NS USD 2444448.24000000 0.254769413148 Long EC CORP US N 1 N N N Viavi Solutions Inc 5493006K3E3N1QOBF092 Viavi Solutions Inc 925550105 36860.00000000 NS USD 567644.00000000 0.059161951720 Long EC CORP US N 1 N N N United Community Banks Inc/GA 549300GVW0FV66X3U703 United Community Banks Inc/GA 90984P303 53034.00000000 NS USD 1847704.56000000 0.192574585430 Long EC CORP US N 1 N N N Argo Group International Holdi 549300M4T8Y5TTWI6O03 Argo Group International Holdings Ltd 000000000 22221.00000000 NS USD 1224377.10000000 0.127609098092 Long EC CORP BM N 1 N N N Assured Guaranty Ltd 549300BBOQUJEPH87M14 Assured Guaranty Ltd 000000000 49578.00000000 NS USD 2755545.24000000 0.287193090126 Long EC CORP BM N 1 N N N ALX Oncology Holdings Inc N/A ALX Oncology Holdings Inc 00166B105 7855.00000000 NS USD 440194.20000000 0.045878663401 Long EC CORP US N 1 N N N Calix Inc 5299002RQRZ4SXSCSJ58 Calix Inc 13100M509 58688.00000000 NS USD 3673281.92000000 0.382842992449 Long EC CORP US N 1 N N N Global Industrial Co N/A Global Industrial Co 37892E102 45938.00000000 NS USD 1864164.04000000 0.194290053154 Long EC CORP US N 1 N N N Cornerstone Building Brands In 549300IW41QEWQ6T0H29 Cornerstone Building Brands Inc 21925D109 79423.00000000 NS USD 1136543.13000000 0.118454717719 Long EC CORP US N 1 N N N Sabra Health Care REIT Inc 549300E3BC7GU7TAZ621 Sabra Health Care REIT Inc 78573L106 78829.00000000 NS USD 1115430.35000000 0.116254265902 Long EC CORP US N 1 N N N Integer Holdings Corp 549300SUD2ED5XG6X569 Integer Holdings Corp 45826H109 12989.00000000 NS USD 1169269.78000000 0.121865609910 Long EC CORP US N 1 N N N Belden Inc 68BKYO1JC791TTJHUE82 Belden Inc 077454106 19917.00000000 NS USD 1199202.57000000 0.124985315706 Long EC CORP US N 1 N N N Plexus Corp 549300W7HCBI5YT25I79 Plexus Corp 729132100 19468.00000000 NS USD 1699945.76000000 0.177174618211 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Swade Donald P. Swade Treasurer, Chief Financial Officer and Chief Accounting Officer XXXX NPORT-EX 2 290044FT103121.htm Proof - adex_nport.htm

 

 

 

First Trust Consumer Discretionary AlphaDEX® Fund (FXD)
 
Portfolio of Investments
October 31, 2021 (Unaudited)                                                                                                        

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Airlines — 0.2%     
117,080  Delta Air Lines, Inc. (a)  $4,581,341 
         
         
   Auto Components — 4.6%     
104,648  Aptiv PLC (a)   18,092,593 
601,315  BorgWarner, Inc.   27,101,267 
630,272  Gentex Corp.   22,305,326 
132,837  Lear Corp.   22,828,038 
       90,327,224 
         
   Automobiles — 6.0%     
1,467,965  Ford Motor Co. (a)   25,072,842 
492,942  General Motors Co. (a)   26,830,833 
425,831  Harley-Davidson, Inc.   15,538,573 
26,805  Tesla, Inc. (a)   29,860,770 
211,655  Thor Industries, Inc.   21,580,344 
       118,883,362 
         
   Commercial Services & Supplies — 1.4%     
112,381  Copart, Inc. (a)   17,451,645 
91,418  IAA, Inc. (a)   5,453,084 
141,204  Rollins, Inc.   4,974,617 
       27,879,346 
         
   Distributors — 2.7%     
85,730  Genuine Parts Co.   11,240,060 
413,080  LKQ Corp. (a)   22,752,447 
35,890  Pool Corp.   18,489,092 
       52,481,599 
         
   Diversified Consumer Services — 3.0%     
236,314  Grand Canyon Education, Inc. (a)   18,834,226 
1,039,320  H&R Block, Inc.   23,977,112 
172,474  Service Corp. International   11,812,744 
119,722  Terminix Global Holdings, Inc. (a)   4,846,347 
       59,470,429 
         
   Entertainment — 3.2%     
201,442  Activision Blizzard, Inc.   15,750,750 
97,036  Liberty Media Corp.-Liberty Formula One, Class C (a)   5,414,609 
54,743  Live Nation Entertainment, Inc. (a)   5,537,254 
25,543  Netflix, Inc. (a)   17,632,588 
67,458  Take-Two Interactive Software, Inc. (a)   12,209,898 
88,675  World Wrestling Entertainment, Inc., Class A   5,417,156 
       61,962,255 
         
   Food & Staples Retailing — 1.7%     
57,823  Costco Wholesale Corp.   28,422,317 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Food & Staples Retailing (Continued)     
35,794  Walmart, Inc.  $5,348,340 
       33,770,657 
         
   Hotels, Restaurants & Leisure — 11.3%     
2,103  Booking Holdings, Inc. (a)   5,090,900 
328,584  Boyd Gaming Corp. (a)   20,957,087 
231,411  Caesars Entertainment, Inc. (a)   25,330,248 
11,437  Chipotle Mexican Grill, Inc. (a)   20,346,766 
82,246  Choice Hotels International, Inc.   11,565,433 
86,582  Churchill Downs, Inc.   19,913,860 
68,615  Darden Restaurants, Inc.   9,890,166 
21,792  Domino’s Pizza, Inc.   10,655,634 
30,437  Expedia Group, Inc. (a)   5,004,147 
37,764  Hilton Worldwide Holdings, Inc. (a)   5,436,128 
33,687  Marriott International, Inc., Class A (a)   5,390,594 
20,687  McDonald’s Corp.   5,079,693 
143,430  Penn National Gaming, Inc. (a)   10,269,588 
117,379  Six Flags Entertainment Corp. (a)   4,827,798 
45,226  Starbucks Corp.   4,797,122 
31,112  Vail Resorts, Inc.   10,724,618 
230,106  Wendy’s (The) Co.   5,131,364 
134,642  Wyndham Hotels & Resorts, Inc.   11,373,210 
268,279  Yum China Holdings, Inc.   15,313,365 
127,463  Yum! Brands, Inc.   15,925,227 
       223,022,948 
         
   Household Durables — 11.2%     
309,429  D.R. Horton, Inc.   27,622,727 
66,855  Garmin Ltd.   9,600,378 
347,674  Leggett & Platt, Inc.   16,288,527 
277,359  Lennar Corp., Class A   27,716,485 
704,146  Newell Brands, Inc.   16,117,902 
3,252  NVR, Inc. (a)   15,917,889 
565,829  PulteGroup, Inc.   27,205,058 
559,859  Tempur Sealy International, Inc.   24,896,930 
469,939  Toll Brothers, Inc.   28,276,230 
127,458  Whirlpool Corp.   26,871,970 
       220,514,096 
         
   Internet & Direct Marketing Retail — 3.7%     
3,164  Amazon.com, Inc. (a)   10,670,368 
223,765  eBay, Inc.   17,167,251 
74,965  Etsy, Inc. (a)   18,792,976 
2,549,845  Qurate Retail, Inc., Series A   26,620,382 
       73,250,977 
         
   Leisure Products — 2.8%     
55,915  Hasbro, Inc.   5,354,420 
559,975  Mattel, Inc. (a)   12,213,055 
173,713  Polaris, Inc.   19,968,309 

 

 

First Trust Consumer Discretionary AlphaDEX® Fund (FXD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)                                                                                                        

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Leisure Products (Continued)     
181,933  YETI Holdings, Inc. (a)  $17,889,472 
       55,425,256 
         
   Media — 6.6%     
1,023,755  Discovery, Inc., Class A (a) (b)   23,996,817 
647,790  Fox Corp., Class A   25,743,175 
283,423  Interpublic Group of (The) Cos., Inc.   10,364,779 
441,696  News Corp., Class A   10,114,839 
170,984  Nexstar Media Group, Inc., Class A   25,635,631 
143,430  Omnicom Group, Inc.   9,764,714 
657,630  ViacomCBS, Inc., Class B   23,819,359 
       129,439,314 
         
   Multiline Retail — 5.5%     
48,993  Dollar General Corp.   10,852,929 
162,869  Dollar Tree, Inc. (a)   17,550,764 
551,770  Kohl’s Corp.   26,777,398 
392,936  Nordstrom, Inc. (a)   11,289,051 
258,621  Ollie’s Bargain Outlet Holdings, Inc. (a)   17,498,297 
90,861  Target Corp.   23,589,333 
       107,557,772 
         
   Personal Products — 0.8%     
1,322,289  Coty, Inc., Class A (a)   11,213,011 
16,634  Estee Lauder (The) Cos., Inc., Class A   5,394,905 
       16,607,916 
         
   Professional Services — 0.8%     
812,393  Nielsen Holdings PLC   16,450,958 
         
         
   Road & Rail — 1.2%     
32,174  AMERCO   23,711,916 
         
         
   Software — 0.3%     
70,960  Trade Desk (The), Inc., Class A (a)   5,315,614 
         
         
   Specialty Retail — 23.3%     
49,756  Advance Auto Parts, Inc.   11,220,973 
170,719  AutoNation, Inc. (a)   20,677,485 
12,243  AutoZone, Inc. (a)   21,851,796 
196,637  Best Buy Co., Inc.   24,036,907 
36,649  Burlington Stores, Inc. (a)   10,125,752 
121,830  CarMax, Inc. (a)   16,680,964 
68,936  Carvana Co. (a)   20,900,017 
216,942  Dick’s Sporting Goods, Inc. (b)   26,946,366 
28,217  Five Below, Inc. (a)   5,567,214 
215,110  Floor & Decor Holdings, Inc., Class A (a)   29,237,751 
569,051  Foot Locker, Inc.   27,126,661 
28,429  GameStop Corp., Class A (a) (b)   5,217,006 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Specialty Retail (Continued)     
915,699  Gap (The), Inc.  $20,777,210 
47,491  Home Depot (The), Inc.   17,654,304 
65,565  Lithia Motors, Inc.   20,929,659 
76,849  Lowe’s Cos., Inc.   17,968,833 
34,019  O’Reilly Automotive, Inc. (a)   21,170,704 
258,280  Penske Automotive Group, Inc.   27,390,594 
236,431  Petco Health & Wellness Co., Inc. (a)   5,846,939 
31,168  RH (a)   20,559,348 
45,832  Ross Stores, Inc.   5,188,183 
157,518  TJX (The) Cos., Inc.   10,315,854 
102,595  Tractor Supply Co.   22,280,556 
57,589  Ulta Beauty, Inc. (a)   21,155,895 
146,525  Williams-Sonoma, Inc.   27,214,088 
       458,041,059 
         
   Textiles, Apparel & Luxury Goods — 8.0%     
214,688  Capri Holdings Ltd. (a)   11,429,989 
213,765  Carter’s, Inc.   21,060,128 
108,440  Columbia Sportswear Co.   11,260,410 
43,281  Deckers Outdoor Corp. (a)   17,109,412 
38,519  Lululemon Athletica, Inc. (a)   17,950,239 
34,351  NIKE, Inc., Class B   5,746,579 
151,669  PVH Corp. (a)   16,581,972 
44,926  Ralph Lauren Corp.   5,713,239 
370,127  Skechers U.S.A., Inc., Class A (a)   17,103,569 
561,489  Tapestry, Inc.   21,886,841 
515,023  Under Armour, Inc., Class A (a)   11,309,905 
       157,152,283 
         
   Trading Companies & Distributors — 1.6%     
130,259  SiteOne Landscape Supply, Inc. (a)   30,605,655 
         
   Total Common Stocks — 99.9%   1,966,451,977 
   (Cost $1,592,454,060)     
         
   Money Market Funds — 0.5%     
6,932,629  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   6,932,629 
3,103,277  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)   3,103,277 
   Total Money Market Funds — 0.5%   10,035,906 
   (Cost $10,035,906)     
         

 

 

First Trust Consumer Discretionary AlphaDEX® Fund (FXD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)                                                                                                        

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.5%     
$ 9,028,571  BNP Paribas S.A, 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $9,028,594. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $9,218,526. (d)  $9,028,571 
   (Cost $9,028,571)     
         
   Total Investments — 100.9%   1,985,516,454 
   (Cost $1,611,518,537) (e)     
   Net Other Assets and Liabilities — (0.9)%   (17,262,850)
   Net Assets — 100.0%  $1,968,253,604 

 

 

(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 $15,201,993 and the total value of the collateral held by the Fund is $15,961,200.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $405,324,491 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $31,326,574. The net unrealized appreciation was $373,997,917.

 

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $1,966,451,977   $1,966,451,977   $—     $—   
Money Market Funds   10,035,906    10,035,906    —      —   
Repurchase Agreements   9,028,571    —      9,028,571    —   
Total Investments  $1,985,516,454   $1,976,487,883   $9,028,571   $—   
                     

  

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

 

First Trust Consumer Staples AlphaDEX® Fund (FXG)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Beverages — 5.8%     
10,100  Constellation Brands, Inc., Class A  $2,189,781 
124,592  Keurig Dr Pepper, Inc.   4,496,525 
47,912  Monster Beverage Corp. (a)   4,072,520 
28,296  PepsiCo, Inc.   4,572,634 
       15,331,460 
         
   Chemicals — 3.3%     
202,284  Corteva, Inc.   8,728,554 
         
         
   Food & Staples Retailing — 14.7%     
68,359  Albertsons Cos., Inc., Class A (b)   2,115,711 
45,169  Casey’s General Stores, Inc.   8,651,670 
394,627  Grocery Outlet Holding Corp. (a)   8,756,773 
157,905  Kroger (The) Co.   6,319,358 
27,109  Sysco Corp.   2,084,682 
61,397  US Foods Holding Corp. (a)   2,128,634 
180,916  Walgreens Boots Alliance, Inc.   8,506,671 
       38,563,499 
         
   Food Products — 53.5%     
177,306  Archer-Daniels-Midland Co.   11,390,137 
130,843  Bunge Ltd.   12,121,296 
203,590  Campbell Soup Co.   8,133,420 
314,146  Conagra Brands, Inc.   10,115,501 
147,985  Darling Ingredients, Inc. (a)   12,507,692 
270,169  Flowers Foods, Inc.   6,686,683 
106,722  General Mills, Inc.   6,595,420 
12,573  Hershey (The) Co.   2,204,676 
155,709  Hormel Foods Corp.   6,589,605 
47,815  Ingredion, Inc.   4,553,422 
88,646  J.M. Smucker (The) Co.   10,891,048 
99,876  Kellogg Co.   6,122,399 
231,182  Kraft Heinz (The) Co.   8,297,122 
26,262  McCormick & Co., Inc.   2,107,000 
109,730  Mondelez International, Inc., Class A   6,665,000 
365,892  Pilgrim’s Pride Corp. (a)   10,303,519 
38,635  Post Holdings, Inc. (a)   3,920,680 
134,788  Tyson Foods, Inc., Class A   10,778,996 
       139,983,616 
         
   Health Care Providers & Services — 7.7%     
125,385  CVS Health Corp.   11,194,373 
42,693  McKesson Corp.   8,875,021 
       20,069,394 
         
   Household Products — 10.6%     
51,545  Church & Dwight Co., Inc.   4,502,971 
28,156  Colgate-Palmolive Co.   2,145,206 
16,068  Kimberly-Clark Corp.   2,080,645 
30,444  Procter & Gamble (The) Co.   4,353,188 
311,343  Reynolds Consumer Products, Inc.   8,400,034 
66,730  Spectrum Brands Holdings, Inc.   6,255,937 
       27,737,981 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Personal Products — 2.7%     
150,639  Herbalife Nutrition Ltd. (a)  $6,989,650 
         
         
   Tobacco — 1.6%     
44,900  Philip Morris International, Inc.   4,244,846 
         
   Total Common Stocks — 99.9%   261,649,000 
   (Cost $246,862,695)     
         
   Money Market Funds — 0.6%     
820,367  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   820,367 
839,987  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)   839,987 
   Total Money Market Funds — 0.6%   1,660,354 
   (Cost $1,660,354)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.4%     
$ 1,068,389  BNP Paribas S.A., 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $1,068,392. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $1,090,867. (d)   1,068,389 
   (Cost $1,068,389)     
         
   Total Investments — 100.9%   264,377,743 
   (Cost $249,591,438) (e)     
   Net Other Assets and Liabilities — (0.9)%   (2,507,837)
   Net Assets — 100.0%  $261,869,906 

 

 

(a) Non-income producing security.

 

 

First Trust Consumer Staples AlphaDEX® Fund (FXG)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

(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 $1,904,137 and the total value of the collateral held by the Fund is $1,888,756. The collateral requirements are determined at the beginning of each business day based on the market value of the loaned securities from the end of the prior day. On October 29, 2021, the last business day of the period, there was sufficient collateral based on the end of day market value from the prior business day; however, as a result of market movement from October 28 to October 29, the value of the related securities loaned was above the collateral value received.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $22,986,998 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $8,200,693. The net unrealized appreciation was $14,786,305.

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $261,649,000   $261,649,000   $—     $—   
Money Market Funds   1,660,354    1,660,354    —      —   
Repurchase Agreements   1,068,389    —      1,068,389    —   
Total Investments  $264,377,743   $263,309,354   $1,068,389   $—   
                     

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

First Trust Energy AlphaDEX® Fund (FXN)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.7%     
   Electrical Equipment — 2.9%     
150,509  ChargePoint Holdings, Inc. (a) (b)  $3,729,613 
117,782  Plug Power, Inc. (b)   4,507,517 
107,940  Shoals Technologies Group, Inc., Class A (b)   3,345,061 
       11,582,191 
         
   Energy Equipment & Services — 8.2%     
417,151  Baker Hughes Co.   10,462,147 
318,084  Halliburton Co.   7,948,919 
229,502  NOV, Inc. (b)   3,217,618 
348,071  Schlumberger N.V.   11,228,771 
       32,857,455 
         
   Oil, Gas & Consumable Fuels — 80.6%     
1,320,078  Antero Midstream Corp.   14,045,630 
320,943  APA Corp.   8,411,916 
176,071  Cheniere Energy, Inc. (b)   18,205,741 
135,617  Chevron Corp.   15,526,790 
202,955  ConocoPhillips   15,118,118 
372,527  Continental Resources, Inc.   18,183,043 
485,403  Coterra Energy, Inc.   10,348,792 
290,539  Devon Energy Corp.   11,644,803 
181,591  Diamondback Energy, Inc.   19,464,739 
371,812  DT Midstream, Inc.   17,832,103 
171,349  EOG Resources, Inc.   15,842,929 
147,084  EQT Corp. (b)   2,928,442 
116,924  Exxon Mobil Corp.   7,538,090 
132,075  Hess Corp.   10,905,433 
518,966  HollyFrontier Corp.   17,541,051 
822,181  Kinder Morgan, Inc.   13,771,532 
1,006,209  Marathon Oil Corp.   16,421,331 
111,264  Marathon Petroleum Corp.   7,335,636 
108,460  New Fortress Energy, Inc.   3,253,800 
465,026  Occidental Petroleum Corp.   15,592,322 
177,863  ONEOK, Inc.   11,315,644 
42,967  Phillips 66   3,213,072 
103,232  Pioneer Natural Resources Co.   19,302,319 
139,748  Targa Resources Corp.   7,640,023 
2,492  Texas Pacific Land Corp.   3,173,986 
97,442  Valero Energy Corp.   7,535,190 
397,678  Williams (The) Cos., Inc.   11,170,775 
       323,263,250 
         
   Semiconductors & Semiconductor Equipment — 8.0%     
45,890  Enphase Energy, Inc. (b)   10,629,500 
180,115  First Solar, Inc. (b)   21,539,953 
       32,169,453 

 

Shares  Description  Value
         
   Total Common Stocks — 99.7%  $399,872,349 
   (Cost $341,043,978)     
         
   Money Market Funds — 0.2%     
1,071  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   1,071 
569,151  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)   569,151 
   Total Money Market Funds — 0.2%   570,222 
   (Cost $570,222)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.0%     
$ 1,394  BNP Paribas S.A, 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $1,394. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $1,424. (d)   1,394 
   (Cost $1,394)     
         
   Total Investments — 99.9%   400,443,965 
   (Cost $341,615,594) (e)     
   Net Other Assets and Liabilities — 0.1%   492,522 
   Net Assets — 100.0%  $400,936,487 

 

(a) 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 $2,478 and the total value of the collateral held by the Fund is $2,465. The collateral requirements are determined at the beginning of each business day based on the market value of the loaned securities from the end of the prior day. On October 29, 2021, the last business day of the period, there was sufficient collateral based on the end of day market value from the prior business day; however, as a result of market movement from October 28 to October 29, the value of the related securities loaned was above the collateral value received.
(b) Non-income producing security.
(c) Rate shown reflects yield as of October 31, 2021.
(d) This security serves as collateral for securities on loan.

 

 

 

First Trust Energy AlphaDEX® Fund (FXN)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

 

(e) Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $61,195,343 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $2,366,972. The net unrealized appreciation was $58,828,371.

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1 Quoted Prices  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $399,872,349   $399,872,349   $—     $—   
Money Market Funds   570,222    570,222    —      —   
Repurchase Agreements   1,394    —      1,394    —   
Total Investments  $400,443,965   $400,442,571   $1,394   $—   
                     

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

First Trust Financials AlphaDEX® Fund (FXO)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Banks — 17.1%     
103,758  Bank of America Corp.  $4,957,557 
307,447  Bank OZK   13,733,657 
147,558  BOK Financial Corp.   14,928,443 
251,050  Citigroup, Inc.   17,362,618 
187,515  Citizens Financial Group, Inc.   8,884,461 
109,429  Comerica, Inc.   9,311,314 
758,107  F.N.B. Corp.   8,831,947 
103,782  Fifth Third Bancorp   4,517,630 
150,071  First Hawaiian, Inc.   4,140,459 
811,166  First Horizon Corp.   13,765,487 
26,911  JPMorgan Chase & Co.   4,571,910 
407,458  KeyCorp   9,481,548 
58,989  M&T Bank Corp.   8,678,462 
194,384  PacWest Bancorp   9,227,408 
46,822  Pinnacle Financial Partners, Inc.   4,521,600 
22,516  PNC Financial Services Group (The), Inc.   4,751,551 
170,128  Popular, Inc.   13,855,224 
123,845  Prosperity Bancshares, Inc.   9,326,767 
620,072  Regions Financial Corp.   14,683,305 
176,466  Sterling Bancorp   4,491,060 
100,357  Synovus Financial Corp.   4,675,633 
75,104  Truist Financial Corp.   4,766,851 
74,102  U.S. Bancorp   4,473,538 
435,026  Umpqua Holdings Corp.   8,896,282 
189,811  Wells Fargo & Co.   9,710,731 
161,906  Western Alliance Bancorp   18,795,667 
109,613  Wintrust Financial Corp.   9,700,750 
142,340  Zions Bancorp N.A.   8,965,997 
       254,007,857 
         
   Capital Markets — 27.4%     
58,307  Affiliated Managers Group, Inc.   9,788,579 
50,032  Ameriprise Financial, Inc.   15,116,168 
286,066  Apollo Global Management, Inc.   22,012,779 
298,294  Ares Management Corp., Class A   25,277,434 
169,935  Bank of New York Mellon (The) Corp.   10,060,152 
189,295  Blackstone, Inc.   26,202,214 
465,803  Carlyle Group (The), Inc.   26,154,838 
131,806  Evercore, Inc., Class A   20,013,423 
11,160  FactSet Research Systems, Inc.   4,953,812 
592,815  Franklin Resources, Inc.   18,667,744 
34,959  Goldman Sachs Group (The), Inc.   14,450,303 
730,756  Invesco Ltd.   18,568,510 
532,865  Janus Henderson Group PLC   24,778,222 
474,512  Jefferies Financial Group, Inc.   20,404,016 
217,051  KKR & Co., Inc.   17,292,453 
96,169  Lazard Ltd., Class A   4,711,319 
140,492  LPL Financial Holdings, Inc.   23,043,498 
45,263  Morgan Stanley   4,652,131 
17,003  Morningstar, Inc.   5,385,700 
21,727  MSCI, Inc.   14,445,848 
190,923  Raymond James Financial, Inc.   18,823,099 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Capital Markets (Continued)     
222,832  SEI Investments Co.  $14,047,329 
103,985  State Street Corp.   10,247,722 
129,619  Stifel Financial Corp.   9,445,337 
44,781  T. Rowe Price Group, Inc.   9,712,103 
721,177  Virtu Financial, Inc., Class A   17,942,884 
       406,197,617 
         
   Consumer Finance — 7.3%     
345,125  Ally Financial, Inc.   16,476,267 
37,628  Credit Acceptance Corp. (a) (b)   22,509,446 
107,558  Discover Financial Services   12,188,472 
398,032  OneMain Holdings, Inc.   21,020,070 
528,131  Santander Consumer USA Holdings, Inc. (a)   22,023,063 
750,791  SLM Corp.   13,777,015 
       107,994,333 
         
   Diversified Financial Services — 2.9%     
80,683  Berkshire Hathaway, Inc., Class B (b)   23,156,828 
286,992  Voya Financial, Inc.   20,023,432 
       43,180,260 
         
   Insurance — 39.4%     
422,467  Aflac, Inc.   22,673,804 
28,217  Alleghany Corp. (b)   18,379,989 
172,983  Allstate (The) Corp.   21,392,808 
105,011  American Financial Group, Inc.   14,285,696 
240,730  American International Group, Inc.   14,224,736 
30,825  Aon PLC, Class A   9,861,534 
461,459  Arch Capital Group Ltd. (b)   19,298,215 
282,293  Assured Guaranty Ltd.   15,689,845 
255,817  Athene Holding Ltd., Class A (b)   22,258,637 
95,666  Axis Capital Holdings Ltd.   4,981,329 
79,428  Brown & Brown, Inc.   5,012,701 
101,561  Chubb Ltd.   19,842,988 
192,812  Cincinnati Financial Corp.   23,415,089 
70,256  Everest Re Group Ltd.   18,371,944 
485,727  Fidelity National Financial, Inc.   23,271,181 
328,457  First American Financial Corp.   24,023,345 
148,416  Globe Life, Inc.   13,211,992 
1,751,339  GoHealth, Inc., Class A (b)   9,457,231 
101,939  Hanover Insurance Group (The), Inc.   12,844,314 
188,103  Hartford Financial Services Group (The), Inc.   13,718,352 
131,895  Kemper Corp.   8,372,695 
320,334  Lincoln National Corp.   23,112,098 
245,016  Loews Corp.   13,738,047 
18,423  Markel Corp. (b)   24,191,794 
58,176  Marsh & McLennan Cos., Inc.   9,703,757 
395,601  Mercury General Corp.   21,556,298 
71,356  MetLife, Inc.   4,481,157 

 

 

First Trust Financials AlphaDEX® Fund (FXO)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Insurance (Continued)     
952,141  Old Republic International Corp.  $24,593,802 
68,396  Principal Financial Group, Inc.   4,588,688 
194,912  Progressive (The) Corp.   18,493,250 
167,479  Prudential Financial, Inc.   18,431,064 
118,765  Reinsurance Group of America, Inc.   14,023,771 
31,593  RenaissanceRe Holdings Ltd.   4,479,887 
115,908  Travelers (The) Cos., Inc.   18,647,279 
703,055  Unum Group   17,906,811 
60,191  W.R. Berkley Corp.   4,791,204 
20,593  White Mountains Insurance Group Ltd.   21,725,409 
18,946  Willis Towers Watson PLC   4,590,237 
       583,642,978 
         
   Mortgage Real Estate Investment Trusts — 3.6%     
1,117,212  AGNC Investment Corp.   17,786,015 
2,615,565  Annaly Capital Management, Inc.   22,127,680 
1,201,260  New Residential Investment Corp.   13,646,314 
       53,560,009 
         
   Thrifts & Mortgage Finance — 2.2%     
1,472,127  MGIC Investment Corp.   23,789,572 
684,479  New York Community Bancorp, Inc.   8,508,074 
       32,297,646 
         
   Total Common Stocks — 99.9%   1,480,880,700 
   (Cost $1,279,771,714)     
         
   Money Market Funds — 0.3%     
2,932,425  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   2,932,425 
1,971,946  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)   1,971,946 
   Total Money Market Funds — 0.3%   4,904,371 
   (Cost $4,904,371)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.3%     
$ 3,818,985  BNP Paribas S.A, 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $3,818,995. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $3,899,334. (d)  $3,818,985 
   (Cost $3,818,985)     
         
   Total Investments — 100.5%   1,489,604,056 
   (Cost $1,288,495,070) (e)     
   Net Other Assets and Liabilities — (0.5)%   (6,752,828)
   Net Assets — 100.0%  $1,482,851,228 

 

 

(a) 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 $6,568,476 and the total value of the collateral held by the Fund is $6,751,410.
(b) Non-income producing security.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $208,710,828 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $7,601,842. The net unrealized appreciation was $201,108,986.

 

 

 

 

First Trust Financials AlphaDEX® Fund (FXO)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

   

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $1,480,880,700   $1,480,880,700   $—     $—   
Money Market Funds   4,904,371    4,904,371    —      —   
Repurchase Agreements   3,818,985    —      3,818,985    —   
Total Investments  $1,489,604,056   $1,485,785,071   $3,818,985   $—   
                     
* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

 

First Trust Health Care AlphaDEX® Fund (FXH)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 100.0%     
   Biotechnology — 20.5%     
53,614  AbbVie, Inc.  $6,147,917 
142,327  Acceleron Pharma, Inc. (a)   24,790,517 
129,729  Alnylam Pharmaceuticals, Inc. (a)   20,699,559 
27,198  Amgen, Inc.   5,629,170 
43,277  Biogen, Inc. (a)   11,541,110 
316,913  BioMarin Pharmaceutical, Inc. (a)   25,109,017 
248,391  Gilead Sciences, Inc.   16,115,608 
223,610  Horizon Therapeutics PLC (a)   26,813,075 
84,085  Incyte Corp. (a)   5,632,013 
32,692  Mirati Therapeutics, Inc. (a)   6,179,442 
79,555  Moderna, Inc. (a)   27,463,182 
109,899  Natera, Inc. (a)   12,591,129 
118,152  Novavax, Inc. (a)   17,584,562 
40,475  Regeneron Pharmaceuticals, Inc. (a)   25,901,572 
690,992  Sage Therapeutics, Inc. (a)   27,888,437 
132,430  Sarepta Therapeutics, Inc. (a)   10,479,186 
102,179  Seagen, Inc. (a)   18,017,223 
132,703  United Therapeutics Corp. (a)   25,314,424 
67,518  Vertex Pharmaceuticals, Inc. (a)   12,486,104 
       326,383,247 
         
   Health Care Equipment & Supplies — 26.7%     
48,958  Abbott Laboratories   6,310,197 
17,766  ABIOMED, Inc. (a)   5,899,023 
46,012  Align Technology, Inc. (a)   28,728,512 
71,905  Baxter International, Inc.   5,677,619 
23,526  Becton, Dickinson and Co.   5,636,594 
74,080  Cooper (The) Cos., Inc.   30,885,434 
80,457  Danaher Corp.   25,084,079 
210,975  DENTSPLY SIRONA, Inc.   12,069,880 
44,792  Dexcom, Inc. (a)   27,914,822 
153,256  Edwards Lifesciences Corp. (a)   18,363,134 
414,975  Envista Holdings Corp. (a)   16,225,522 
226,445  Globus Medical, Inc., Class A (a)   17,474,761 
414,821  Hologic, Inc. (a)   30,410,527 
24,781  ICU Medical, Inc. (a)   5,801,975 
27,899  IDEXX Laboratories, Inc. (a)   18,584,640 
20,348  Insulet Corp. (a)   6,308,287 
84,454  Integra LifeSciences Holdings Corp. (a)   5,612,813 
51,561  Intuitive Surgical, Inc. (a)   18,620,224 
45,241  Masimo Corp. (a)   12,827,633 
46,137  Medtronic PLC   5,529,981 
21,700  Penumbra, Inc. (a)   6,001,135 
216,918  Quidel Corp. (a)   28,800,203 
65,833  ResMed, Inc.   17,308,154 
28,311  STERIS PLC   6,617,413 
21,931  Stryker Corp.   5,835,181 
145,335  Tandem Diabetes Care, Inc. (a)   19,813,521 
57,695  West Pharmaceutical Services, Inc.   24,801,927 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Equipment & Supplies (Continued)     
83,679  Zimmer Biomet Holdings, Inc.  $11,976,138 
       425,119,329 
   Health Care Providers & Services — 21.4%     
90,677  Acadia Healthcare Co., Inc. (a)   5,621,974 
116,365  Amedisys, Inc. (a)   19,705,249 
32,852  Anthem, Inc.   14,294,891 
196,551  Centene Corp. (a)   14,002,293 
26,331  Chemed Corp.   12,698,125 
152,967  Cigna Corp.   32,675,281 
49,746  DaVita, Inc. (a)   5,135,777 
163,208  Encompass Health Corp.   10,373,500 
126,144  HCA Healthcare, Inc.   31,594,026 
227,811  Henry Schein, Inc. (a)   17,393,370 
31,471  Humana, Inc.   14,576,108 
108,790  Laboratory Corp. of America Holdings (a)   31,224,906 
112,853  Molina Healthcare, Inc. (a)   33,372,889 
631,948  Premier, Inc., Class A   24,614,375 
210,707  Quest Diagnostics, Inc.   30,927,573 
31,344  UnitedHealth Group, Inc.   14,432,972 
221,275  Universal Health Services, Inc., Class B   27,460,228 
       340,103,537 
         
   Health Care Technology — 0.8%     
173,668  Cerner Corp.   12,901,796 
         
         
   Life Sciences Tools & Services — 20.8%     
155,489  Agilent Technologies, Inc.   24,487,963 
748,603  Avantor, Inc. (a)   30,228,589 
41,046  Bio-Rad Laboratories, Inc., Class A (a)   32,618,435 
50,549  Bio-Techne Corp.   26,469,984 
313,627  Bruker Corp.   25,184,248 
74,195  Charles River Laboratories International, Inc. (a)   33,289,813 
102,256  IQVIA Holdings, Inc. (a)   26,731,763 
100,122  PerkinElmer, Inc.   17,710,581 
523,494  PPD, Inc. (a)   24,693,212 
236,979  QIAGEN N.V. (a)   13,213,949 
105,948  Repligen Corp. (a)   30,777,894 
198,332  Syneos Health, Inc. (a)   18,512,309 
42,873  Thermo Fisher Scientific, Inc.   27,141,610 
       331,060,350 
         
   Pharmaceuticals — 9.8%     
230,089  Catalent, Inc. (a)   31,720,069 
75,092  Eli Lilly & Co.   19,130,438 
44,416  Jazz Pharmaceuticals PLC (a)   5,909,105 
75,833  Johnson & Johnson   12,351,679 
529,129  Organon & Co.   19,445,491 

 

 

First Trust Health Care AlphaDEX® Fund (FXH)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Pharmaceuticals (Continued)     
403,397  Pfizer, Inc.  $17,644,585 
480,082  Royalty Pharma PLC, Class A   18,977,641 
1,280,453  Viatris, Inc.   17,094,047 
63,084  Zoetis, Inc.   13,638,761 
       155,911,816 
   Total Common Stocks — 100.0%   1,591,480,075 
   (Cost $1,320,929,391)     
         
   Money Market Funds — 0.1%     
1,349,274  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b)   1,349,274 
   (Cost $1,349,274)     
         
   Total Investments — 100.1%   1,592,829,349 
   (Cost $1,322,278,665) (c)     
   Net Other Assets and Liabilities — (0.1)%   (1,424,328)
   Net Assets — 100.0%  $1,591,405,021 

 

 

(a) Non-income producing security.
(b) Rate shown reflects yield as of October 31, 2021.
(c) Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $312,610,022 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $42,059,338. The net unrealized appreciation was $270,550,684.

 

   

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 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*  $1,591,480,075   $—     $—   
Money Market Funds   1,349,274    —      —   
Total Investments  $1,592,829,349   $—     $—   
 
* See Portfolio of Investments for industry breakout.

 

 

 

First Trust Industrials/Producer Durables AlphaDEX® Fund (FXR)
 
Portfolio of Investments
October 31, 2021 (Unaudited) 

 

Shares  Description  Value
         
   Common Stocks — 100.0%     
   Aerospace & Defense — 7.9%     
101,146  Axon Enterprise, Inc. (a)  $18,202,234 
164,341  BWX Technologies, Inc.   9,324,708 
101,327  Curtiss-Wright Corp.   12,937,431 
65,221  General Dynamics Corp.   13,223,558 
114,621  Huntington Ingalls Industries, Inc.   23,237,115 
40,192  L3Harris Technologies, Inc.   9,265,864 
37,048  Lockheed Martin Corp.   12,311,791 
186,660  Mercury Systems, Inc. (a)   9,620,457 
49,153  Northrop Grumman Corp.   17,558,435 
49,578  Raytheon Technologies Corp.   4,405,501 
183,145  Textron, Inc.   13,525,258 
       143,612,352 
         
   Air Freight & Logistics — 3.1%     
146,957  C.H. Robinson Worldwide, Inc.   14,253,359 
148,601  Expeditors International of Washington, Inc.   18,316,559 
100,909  FedEx Corp.   23,767,097 
       56,337,015 
         
   Building Products — 9.2%     
209,357  A.O. Smith Corp.   15,297,716 
118,198  Advanced Drainage Systems, Inc.   13,332,734 
44,641  Armstrong World Industries, Inc.   4,716,322 
427,686  Builders FirstSource, Inc. (a)   24,921,263 
89,052  Carlisle Cos., Inc.   19,851,472 
427,522  Carrier Global Corp.   22,329,474 
197,974  Fortune Brands Home & Security, Inc.   20,074,564 
62,601  Johnson Controls International PLC   4,593,035 
258,811  Owens Corning   24,175,535 
24,685  Trane Technologies PLC   4,466,257 
125,434  Trex Co., Inc. (a)   13,346,178 
       167,104,550 
         
   Chemicals — 2.6%     
146,003  Axalta Coating Systems Ltd. (a)   4,553,834 
260,374  DuPont de Nemours, Inc.   18,122,030 
29,800  PPG Industries, Inc.   4,784,986 
113,992  RPM International, Inc.   9,940,102 
31,641  Sherwin-Williams (The) Co.   10,017,857 
       47,418,809 
         
   Commercial Services & Supplies — 0.7%     
1,580,393  ADT, Inc.   13,196,282 
         
         
   Construction & Engineering — 2.0%     
256,474  MasTec, Inc. (a)   22,859,528 
77,768  Quanta Services, Inc.   9,431,703 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Construction & Engineering (Continued)     
18,126  Valmont Industries, Inc.  $4,331,389 
       36,622,620 
         
   Construction Materials — 1.9%     
134,970  Eagle Materials, Inc.   20,024,149 
25,906  Martin Marietta Materials, Inc.   10,176,913 
25,195  Vulcan Materials Co.   4,790,074 
       34,991,136 
         
   Consumer Finance — 2.5%     
52,833  American Express Co.   9,181,319 
136,621  Capital One Financial Corp.   20,633,870 
362,170  Synchrony Financial   16,822,796 
       46,637,985 
         
   Containers & Packaging — 7.7%     
1,103,137  Amcor PLC   13,314,864 
74,164  AptarGroup, Inc.   8,957,528 
142,106  Ball Corp.   12,999,857 
290,781  Berry Global Group, Inc. (a)   19,057,787 
126,864  Crown Holdings, Inc.   13,192,587 
929,769  Graphic Packaging Holding Co.   18,530,296 
128,803  Packaging Corp. of America   17,693,668 
233,351  Sealed Air Corp.   13,842,381 
461,491  Silgan Holdings, Inc.   18,551,938 
85,528  Westrock Co.   4,113,897 
       140,254,803 
         
   Electrical Equipment — 4.8%     
73,746  Acuity Brands, Inc.   15,149,641 
34,367  AMETEK, Inc.   4,550,191 
93,965  Emerson Electric Co.   9,115,545 
54,149  Generac Holdings, Inc. (a)   26,996,525 
23,589  Hubbell, Inc.   4,702,939 
89,191  Regal Rexnord Corp.   13,586,465 
14,494  Rockwell Automation, Inc.   4,629,383 
161,758  Sensata Technologies Holding PLC (a)   8,912,866 
       87,643,555 
         
   Electronic Equipment, Instruments & Components — 3.8%     
35,394  Coherent, Inc. (a)   9,004,233 
107,752  Keysight Technologies, Inc. (a)   19,397,515 
32,392  Littelfuse, Inc.   9,541,064 
380,517  Vontier Corp.   12,872,890 
34,347  Zebra Technologies Corp., Class A (a)   18,339,581 
       69,155,283 
         

 

 

First Trust Industrials/Producer Durables AlphaDEX® Fund (FXR)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited) 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Household Durables — 1.8%     
124,739  Mohawk Industries, Inc. (a)  $22,104,998 
43,219  TopBuild Corp. (a)   11,105,987 
       33,210,985 
         
   Industrial Conglomerates — 0.7%     
72,885  3M Co.   13,023,092 
         
         
   IT Services — 5.2%     
55,337  Accenture PLC, Class A   19,854,362 
219,333  Alliance Data Systems Corp.   18,698,138 
35,025  Fidelity National Information Services, Inc.   3,878,668 
39,279  Fiserv, Inc. (a)   3,868,589 
186,305  Genpact Ltd.   9,194,152 
56,171  Global Payments, Inc.   8,031,891 
25,977  Jack Henry & Associates, Inc.   4,324,651 
37,900  Paychex, Inc.   4,672,312 
53,307  Square, Inc., Class A (a)   13,566,632 
437,756  Western Union (The) Co.   7,975,914 
       94,065,309 
         
   Leisure Products — 1.7%     
232,273  Brunswick Corp.   21,622,294 
397,995  Hayward Holdings, Inc. (a)   9,229,504 
       30,851,798 
         
   Life Sciences Tools & Services — 1.7%     
9,281  Mettler-Toledo International, Inc. (a)   13,744,047 
49,546  Waters Corp. (a)   18,210,633 
       31,954,680 
         
   Machinery — 17.8%     
180,597  AGCO Corp.   22,070,759 
501,213  Allison Transmission Holdings, Inc.   16,720,466 
192,840  Colfax Corp. (a)   9,954,401 
186,718  Crane Co.   19,284,235 
78,835  Cummins, Inc.   18,907,786 
12,719  Deere & Co.   4,353,841 
154,178  Donaldson Co., Inc.   9,252,222 
27,406  Dover Corp.   4,633,807 
122,926  Flowserve Corp.   4,132,772 
313,568  Fortive Corp.   23,740,233 
1,088,064  Gates Industrial Corp. PLC (a)   17,887,772 
126,501  Graco, Inc.   9,510,345 
33,092  Lincoln Electric Holdings, Inc.   4,712,301 
74,983  Middleby (The) Corp. (a)   13,679,899 
37,168  Nordson Corp.   9,448,477 
216,162  Oshkosh Corp.   23,129,334 
224,312  PACCAR, Inc.   20,102,841 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Machinery (Continued)     
45,725  Parker-Hannifin Corp.  $13,561,578 
121,871  Pentair PLC   9,014,798 
105,902  Snap-on, Inc.   21,522,463 
100,980  Stanley Black & Decker, Inc.   18,149,135 
43,750  Toro (The) Co.   4,176,813 
102,673  Westinghouse Air Brake Technologies Corp.   9,315,521 
37,648  Woodward, Inc.   4,252,342 
103,374  Xylem, Inc.   13,499,611 
       325,013,752 
         
   Marine — 1.1%     
369,116  Kirby Corp. (a)   19,345,370 
         
         
   Multi-Utilities — 1.2%     
745,822  MDU Resources Group, Inc.   22,919,110 
         
         
   Paper & Forest Products — 1.2%     
360,575  Louisiana-Pacific Corp.   21,248,685 
         
         
   Professional Services — 4.4%     
87,321  Equifax, Inc.   24,225,465 
94,917  FTI Consulting, Inc. (a)   13,660,455 
39,359  ManpowerGroup, Inc.   3,804,047 
220,557  Robert Half International, Inc.   24,938,380 
78,811  TransUnion   9,086,120 
21,279  Verisk Analytics, Inc.   4,474,335 
       80,188,802 
         
   Road & Rail — 9.8%     
429,905  CSX Corp.   15,549,664 
76,459  J.B. Hunt Transport Services, Inc.   15,076,950 
432,620  Knight-Swift Transportation Holdings, Inc.   24,525,228 
81,012  Landstar System, Inc.   14,242,720 
36,995  Norfolk Southern Corp.   10,841,385 
77,378  Old Dominion Freight Line, Inc.   26,412,980 
267,544  Ryder System, Inc.   22,727,863 
973,109  Schneider National, Inc., Class B   24,269,338 
21,743  Union Pacific Corp.   5,248,760 
222,452  XPO Logistics, Inc. (a)   19,086,382 
       177,981,270 
         
   Semiconductors & Semiconductor Equipment — 1.0%     
117,307  MKS Instruments, Inc.   17,601,915 
         
         
   Software — 2.7%     
82,893  Bill.com Holdings, Inc. (a)   24,396,239 
78,919  Paylocity Holding Corp. (a)   24,081,343 
       48,477,582 
         

 

 

First Trust Industrials/Producer Durables AlphaDEX® Fund (FXR)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited) 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Trading Companies & Distributors — 3.5%     
562,493  Air Lease Corp.  $22,527,845 
159,438  MSC Industrial Direct Co., Inc., Class A   13,403,953 
50,447  United Rentals, Inc. (a)   19,124,962 
10,843  W.W. Grainger, Inc.   5,021,502 
16,106  Watsco, Inc.   4,663,975 
       64,742,237 
         
   Total Common Stocks — 100.0%   1,823,598,977 
   (Cost $1,650,854,272)     
         
   Money Market Funds — 0.1%     
949,097  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b)   949,097 
   (Cost $949,097)     
         
   Total Investments — 100.1%   1,824,548,074 
   (Cost $1,651,803,369) (c)     
   Net Other Assets and Liabilities — (0.1)%   (977,670)
   Net Assets — 100.0%  $1,823,570,404 

 

  

(a) Non-income producing security.
(b) Rate shown reflects yield as of October 31, 2021.
(c) Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $205,063,451 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $32,318,746. The net unrealized appreciation was $172,744,705.

 

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 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*  $1,823,598,977   $—     $—   
Money Market Funds   949,097    —      —   
Total Investments  $1,824,548,074   $—     $—   
 
* See Portfolio of Investments for industry breakout.

 

 

 

 

First Trust Materials AlphaDEX® Fund (FXZ)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 100.0%     
   Aerospace & Defense — 0.8%     
65,143  Hexcel Corp. (a)  $3,696,214 
         
         
   Chemicals — 48.5%     
34,531  Air Products and Chemicals, Inc.   10,352,739 
17,665  Albemarle Corp.   4,424,553 
99,237  Ashland Global Holdings, Inc.   9,527,744 
117,412  Celanese Corp.   18,963,212 
158,429  CF Industries Holdings, Inc.   8,998,767 
304,324  Chemours (The) Co.   8,527,159 
307,287  Dow, Inc.   17,198,853 
38,403  Eastman Chemical Co.   3,995,064 
18,549  Ecolab, Inc.   4,121,959 
407,918  Element Solutions, Inc.   9,263,818 
96,591  FMC Corp.   8,790,747 
597,754  Huntsman Corp.   19,474,825 
28,931  International Flavors & Fragrances, Inc.   4,265,876 
235,580  LyondellBasell Industries N.V., Class A   21,866,536 
618,967  Mosaic (The) Co.   25,730,458 
39,159  NewMarket Corp.   13,314,452 
458,221  Olin Corp.   26,109,433 
26,433  Scotts Miracle-Gro (The) Co.   3,924,243 
124,096  Valvoline, Inc.   4,214,300 
194,069  Westlake Chemical Corp.   18,890,676 
       241,955,414 
         
   Containers & Packaging — 5.4%     
64,024  Avery Dennison Corp.   13,939,305 
264,585  International Paper Co.   13,141,937 
       27,081,242 
         
   Machinery — 3.9%     
270,372  Timken (The) Co.   19,182,893 
         
         
   Metals & Mining — 37.7%     
271,060  Alcoa Corp.   12,455,207 
669,643  Cleveland-Cliffs, Inc. (a)   16,145,093 
271,867  Freeport-McMoRan, Inc.   10,254,823 
325,734  Newmont Corp.   17,589,636 
224,480  Nucor Corp.   25,063,192 
155,239  Reliance Steel & Aluminum Co.   22,689,732 
185,231  Royal Gold, Inc.   18,341,574 
236,290  Southern Copper Corp.   14,175,037 
378,073  Steel Dynamics, Inc.   24,983,064 
1,006,341  United States Steel Corp.   26,557,339 
       188,254,697 
         
   Trading Companies & Distributors — 3.7%     
74,973  Fastenal Co.   4,279,459 
556,913  Univar Solutions, Inc. (a)   14,245,834 
       18,525,293 

 

Shares  Description  Value
         
   Total Common Stocks — 100.0%  $498,695,753 
   (Cost $451,888,879)     
   Money Market Funds — 0.0%     
312,817  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b)   312,817 
   (Cost $312,817)     
         
   Total Investments — 100.0%   499,008,570 
   (Cost $452,201,696) (c)     
   Net Other Assets and Liabilities — (0.0)%   (150,071)
   Net Assets — 100.0%  $498,858,499 

 

 

(a) Non-income producing security.
(b) Rate shown reflects yield as of October 31, 2021.
(c) Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $59,204,119 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $12,397,245. The net unrealized appreciation was $46,806,874.

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 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*  $498,695,753   $—     $—   
Money Market Funds   312,817    —      —   
Total Investments  $499,008,570   $—     $—   
 
* See Portfolio of Investments for industry breakout.

 

 

 

 

 

First Trust Technology AlphaDEX® Fund (FXL)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 100.0%     
   Communications Equipment — 0.3%     
40,650  F5 Networks, Inc. (a)  $8,583,248 
         
         
   Electronic Equipment, Instruments & Components — 8.7%     
331,028  Amphenol Corp., Class A   25,413,020 
376,934  Arrow Electronics, Inc. (a)   43,630,110 
874,266  Avnet, Inc.   33,318,277 
177,572  CDW Corp.   33,143,814 
885,767  Corning, Inc.   31,506,732 
102,025  IPG Photonics Corp. (a)   16,222,995 
553,737  Jabil, Inc.   33,202,071 
310,486  SYNNEX Corp.   32,601,030 
       249,038,049 
         
   Health Care Technology — 0.6%     
771,768  Change Healthcare, Inc. (a)   16,616,165 
         
         
   Industrial Conglomerates — 0.3%     
18,112  Roper Technologies, Inc.   8,836,301 
         
         
   Interactive Media & Services — 4.4%     
15,831  Alphabet, Inc., Class A (a)   46,874,324 
47,617  Facebook, Inc., Class A (a)   15,407,433 
324,859  IAC/InterActiveCorp (a)   49,498,766 
102,942  Match Group, Inc. (a)   15,521,595 
       127,302,118 
         
   IT Services — 17.3%     
154,516  Akamai Technologies, Inc. (a)   16,295,257 
426,913  Amdocs Ltd.   33,230,908 
375,729  Cloudflare, Inc., Class A (a)   73,161,951 
326,657  Cognizant Technology Solutions Corp., Class A   25,508,645 
91,304  Concentrix Corp.   16,222,895 
961,667  DXC Technology Co. (a)   31,321,494 
56,657  EPAM Systems, Inc. (a)   38,143,759 
106,363  Gartner, Inc. (a)   35,302,943 
115,019  Globant S.A. (a)   36,712,915 
116,323  International Business Machines Corp.   14,552,007 
89,767  MongoDB, Inc. (a)   46,794,640 
34,046  Okta, Inc. (a)   8,415,490 
106,873  Snowflake, Inc., Class A (a)   37,815,942 
2,529,941  SolarWinds Corp.   40,732,050 
1,273,006  Switch, Inc., Class A   32,181,592 
39,415  VeriSign, Inc. (a)   8,776,538 
       495,169,026 
         
   Professional Services — 3.3%     
123,318  CACI International, Inc., Class A (a)   35,471,189 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Professional Services (Continued)     
480,690  Dun & Bradstreet Holdings, Inc. (a)  $9,056,200 
252,171  Leidos Holdings, Inc.   25,212,056 
283,324  Science Applications International Corp.   25,436,829 
       95,176,274 
         
   Semiconductors & Semiconductor Equipment — 18.7%     
314,107  Advanced Micro Devices, Inc. (a)   37,765,085 
96,494  Analog Devices, Inc.   16,740,744 
125,540  Applied Materials, Inc.   17,155,041 
16,663  Broadcom, Inc.   8,859,217 
413,541  Brooks Automation, Inc.   48,156,849 
294,368  Cirrus Logic, Inc. (a)   23,787,878 
192,543  Entegris, Inc.   27,106,203 
794,405  Intel Corp.   38,925,845 
72,468  KLA Corp.   27,013,172 
14,197  Lam Research Corp.   8,001,003 
105,290  Microchip Technology, Inc.   7,800,936 
596,308  Micron Technology, Inc.   41,204,883 
87,328  Monolithic Power Systems, Inc.   45,887,371 
156,022  NVIDIA Corp.   39,890,145 
41,254  NXP Semiconductors N.V.   8,286,278 
924,753  ON Semiconductor Corp. (a)   44,452,877 
144,992  Qorvo, Inc. (a)   24,392,004 
62,648  QUALCOMM, Inc.   8,334,690 
147,112  Skyworks Solutions, Inc.   24,586,829 
42,039  Texas Instruments, Inc.   7,881,472 
160,549  Xilinx, Inc.   28,898,820 
       535,127,342 
         
   Software — 37.1%     
14,035  Adobe, Inc. (a)   9,127,803 
265,410  Anaplan, Inc. (a)   17,307,386 
108,134  Atlassian Corp. PLC, Class A (a)   49,539,429 
28,335  Autodesk, Inc. (a)   8,999,479 
138,703  Avalara, Inc. (a)   24,916,607 
266,504  Bentley Systems, Inc., Class B   15,763,712 
112,228  Black Knight, Inc. (a)   7,868,305 
160,071  Cadence Design Systems, Inc. (a)   27,709,891 
189,904  CDK Global, Inc.   8,264,622 
98,629  Crowdstrike Holdings, Inc., Class A (a)   27,793,652 
228,664  Datadog, Inc., Class A (a)   38,198,321 
31,389  DocuSign, Inc. (a)   8,735,245 
183,646  Dolby Laboratories, Inc., Class A   16,225,124 
553,073  Dropbox, Inc., Class A (a)   16,863,196 
596,392  Dynatrace, Inc. (a)   44,729,400 
162,704  Elastic N.V. (a)   28,230,771 
160,495  Everbridge, Inc. (a)   25,568,458 
144,932  Fortinet, Inc. (a)   48,746,429 
62,604  HubSpot, Inc. (a)   50,723,639 

 

 

First Trust Technology AlphaDEX® Fund (FXL)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Software (Continued)     
59,909  Intuit, Inc.  $37,502,435 
419,543  Jamf Holding Corp. (a)   19,991,224 
105,605  Manhattan Associates, Inc. (a)   19,171,532 
85,986  Microsoft Corp.   28,514,677 
227,521  nCino, Inc. (a)   16,531,676 
208,473  NCR Corp. (a)   8,243,022 
225,175  New Relic, Inc. (a)   18,275,203 
319,384  NortonLifeLock, Inc.   8,128,323 
293,619  Nuance Communications, Inc. (a)   16,163,726 
643,003  Nutanix, Inc., Class A (a)   22,061,433 
278,219  Oracle Corp.   26,692,331 
672,246  Palantir Technologies, Inc., Class A (a)   17,397,726 
88,363  Palo Alto Networks, Inc. (a)   44,984,720 
65,197  Paycom Software, Inc. (a)   35,718,176 
89,379  salesforce.com, Inc. (a)   26,785,993 
38,956  ServiceNow, Inc. (a)   27,181,939 
117,413  Smartsheet, Inc., Class A (a)   8,102,671 
232,865  SS&C Technologies Holdings, Inc.   18,505,782 
80,963  Synopsys, Inc. (a)   26,975,252 
738,028  Teradata Corp. (a)   41,742,864 
17,618  Tyler Technologies, Inc. (a)   9,570,450 
256,013  Unity Software, Inc. (a)   38,737,327 
54,340  VMware, Inc., Class A (a) (b)   8,243,378 
32,336  Workday, Inc., Class A (a)   9,376,793 
161,414  Zscaler, Inc. (a)   51,468,468 
       1,061,378,590 
         
   Technology Hardware, Storage & Peripherals — 9.3%     
171,316  Apple, Inc.   25,663,137 
406,823  Dell Technologies, Inc., Class C (a)   44,746,462 
2,970,240  Hewlett Packard Enterprise Co.   43,514,016 
590,673  HP, Inc.   17,915,112 
360,089  NetApp, Inc.   32,155,947 
1,284,643  Pure Storage, Inc., Class A (a)   34,505,511 
572,672  Western Digital Corp. (a)   29,945,019 
2,098,459  Xerox Holdings Corp.   37,352,570 
       265,797,774 
         
   Total Common Stocks — 100.0%   2,863,024,887 
   (Cost $2,240,073,165)     
         
   Money Market Funds — 0.8%     
3,466,586  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   3,466,586 

 

Shares  Description  Value
         
   Money Market Funds (Continued)     
18,759,526  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)  $18,759,526 
   Total Money Market Funds — 0.8%   22,226,112 
   (Cost $22,226,112)     

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.1%     
$ 4,514,640  BNP Paribas S.A. 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $4,514,651. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $4,609,624. (d)   4,514,640 
   (Cost $4,514,640)     
         
   Total Investments — 100.9%   2,889,765,639 
   (Cost $2,266,813,917) (e)     
   Net Other Assets and Liabilities — (0.9)%   (25,919,868)
   Net Assets — 100.0%  $2,863,845,771 

 

 

(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 $7,787,368 and the total value of the collateral held by the Fund is $7,981,226.
(c) Rate shown reflects yield as of October 31, 2021.
(d) This security serves as collateral for securities on loan.

 

 

First Trust Technology AlphaDEX® Fund (FXL)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

(e) Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $666,563,406 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $43,611,684. The net unrealized appreciation was $622,951,722.

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1 Quoted Prices  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $2,863,024,887   $2,863,024,887   $—     $—   
Money Market Funds   22,226,112    22,226,112    —      —   
Repurchase Agreements   4,514,640    —      4,514,640    —   
Total Investments  $2,889,765,639   $2,885,250,999   $4,514,640   $—   
                     
* See Portfolio of Investments for industry breakout.

 

 

 

 

 

First Trust Utilities AlphaDEX® Fund (FXU)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Commercial Services & Supplies — 5.1%     
13,759  Clean Harbors, Inc. (a)  $1,548,438 
11,903  Republic Services, Inc.   1,602,144 
21,029  Stericycle, Inc. (a)   1,407,260 
28,709  Waste Management, Inc.   4,600,043 
       9,157,885 
         
   Electric Utilities — 56.5%     
76,596  Alliant Energy Corp.   4,333,036 
70,424  American Electric Power Co., Inc.   5,965,617 
117,635  Avangrid, Inc.   6,199,364 
58,582  Duke Energy Corp.   5,975,950 
103,067  Edison International   6,486,006 
71,960  Entergy Corp.   7,413,319 
114,893  Evergy, Inc.   7,324,429 
34,964  Eversource Energy   2,968,444 
118,266  Exelon Corp.   6,290,569 
80,250  FirstEnergy Corp.   3,092,032 
105,016  Hawaiian Electric Industries, Inc.   4,259,449 
41,474  IDACORP, Inc.   4,326,568 
18,202  NextEra Energy, Inc.   1,553,177 
175,025  NRG Energy, Inc.   6,981,747 
216,817  OGE Energy Corp.   7,386,955 
446,644  PG&E Corp. (a)   5,181,070 
98,761  Pinnacle West Capital Corp.   6,369,097 
51,264  PPL Corp.   1,476,403 
46,126  Southern (The) Co.   2,874,572 
68,606  Xcel Energy, Inc.   4,431,262 
       100,889,066 
         
   Electrical Equipment — 1.1%     
32,483  Sunrun, Inc. (a)   1,873,620 
         
         
   Gas Utilities — 10.0%     
81,025  Atmos Energy Corp.   7,464,023 
54,428  National Fuel Gas Co.   3,125,800 
167,676  UGI Corp.   7,278,815 
       17,868,638 
         
   Multi-Utilities — 25.6%     
52,936  Ameren Corp.   4,461,975 
232,401  CenterPoint Energy, Inc.   6,051,722 
47,856  CMS Energy Corp.   2,888,110 
78,758  Consolidated Edison, Inc.   5,938,353 
39,149  Dominion Energy, Inc.   2,972,583 
63,973  DTE Energy Co.   7,251,339 
117,974  NiSource, Inc.   2,910,419 
70,407  Public Service Enterprise Group, Inc.   4,491,967 
45,193  Sempra Energy   5,767,983 
32,411  WEC Energy Group, Inc.   2,918,935 
       45,653,386 
         
   Water Utilities — 1.6%     
8,455  American Water Works Co., Inc.   1,472,692 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Water Utilities (Continued)     
31,018  Essential Utilities, Inc.  $1,460,017 
       2,932,709 
         
   Total Common Stocks — 99.9%   178,375,304 
   (Cost $175,870,969)     
         
   Money Market Funds — 0.1%     
257,943  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b)   257,943 
   (Cost $257,943)     
         
   Total Investments — 100.0%   178,633,247 
   (Cost $176,128,912) (c)     
   Net Other Assets and Liabilities — (0.0)%   (15,194)
   Net Assets — 100.0%  $178,618,053 

 

  

(a) Non-income producing security.
(b) Rate shown reflects yield as of October 31, 2021.
(c) Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $8,917,361 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $6,413,026. The net unrealized appreciation was $2,504,335.

 

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 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*  $178,375,304   $—     $—   
Money Market Funds   257,943    —      —   
Total Investments  $178,633,247   $—     $—   
 
* See Portfolio of Investments for industry breakout.

 

 

 

 

 

Additional Information

 

First Trust Exchange-Traded AlphaDEX® Fund

Sector Funds

October 31, 2021 (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

 

Source ICE Data Indices, LLC, is used with permission. “StrataQuant®” is a service/trade mark of ICE Data Indices, LLC or its affiliates. These trademarks have been licensed, along with the StrataQuant® Consumer Discretionary Index, StrataQuant® Consumer Staples Index, StrataQuant® Energy Index, StrataQuant® Financials Index, StrataQuant® Health Care Index, StrataQuant® Industrials Index, StrataQuant® Materials Index, StrataQuant® Technology Index and the StrataQuant® Utilities Index (each, an “Index”) for use by First Trust Portfolios L.P. in connection with the First Trust Consumer Discretionary AlphaDEX® Fund, First Trust Consumer, Staples AlphaDEX® Fund, First Trust Energy AlphaDEX® Fund, First Trust Financials AlphaDEX® Fund, First Trust Health Care AlphaDEX® Fund, First Trust Industrials/Producer Durables AlphaDEX® Fund, First Trust Materials AlphaDEX® Fund, First Trust Technology AlphaDEX® Fund and the First Trust Utilities AlphaDEX® Fund, respectively (each, the “Product”). Neither First Trust Portfolios L.P., First Trust Exchange Traded Fund (the “Trust”) nor the Product, as applicable, is sponsored, endorsed, sold or promoted by ICE Data Indices, LLC, its affiliates or its Third Party Suppliers (“ICE Data and its Suppliers”). ICE Data and its Suppliers make no representations or warranties regarding the advisability of investing in securities generally, in the Product particularly, the Trust or the ability of the Index to track general market performance. Past performance of an Index is not an indicator of or a guarantee of future results.

 

ICE DATA AND ITS SUPPLIERS DISCLAIM ANY AND ALL WARRANTIES AND REPRESENTATIONS, EXPRESS AND/OR IMPLIED, INCLUDING ANY WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE, INCLUDING THE INDICES, INDEX DATA AND ANY INFORMATION INCLUDED IN, RELATED TO, OR DERIVED THEREFROM (“INDEX DATA”). ICE DATA AND ITS SUPPLIERS SHALL NOT BE SUBJECT TO ANY DAMAGES OR LIABILITY WITH RESPECT TO THE ADEQUACY, ACCURACY, TIMELINESS OR COMPLETENESS OF THE INDICES AND THE INDEX DATA, WHICH ARE PROVIDED ON AN “AS IS” BASIS AND YOUR USE IS AT YOUR OWN RISK.

 

 

 

 

 

 

 

First Trust Large Cap Core AlphaDEX® Fund (FEX)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Aerospace & Defense — 1.4%     
15,437  General Dynamics Corp.  $3,129,852 
9,161  L3Harris Technologies, Inc.   2,111,977 
8,769  Lockheed Martin Corp.   2,914,114 
11,203  Northrop Grumman Corp.   4,001,936 
11,736  Raytheon Technologies Corp.   1,042,861 
43,351  Textron, Inc.   3,201,471 
       16,402,211 
         
   Air Freight & Logistics — 0.4%     
25,404  Expeditors International of Washington, Inc.   3,131,297 
5,539  United Parcel Service, Inc., Class B   1,182,410 
       4,313,707 
         
   Auto Components — 0.3%     
20,315  Aptiv PLC (a)   3,512,260 
         
         
   Automobiles — 1.3%     
284,964  Ford Motor Co. (a)   4,867,185 
95,691  General Motors Co. (a)   5,208,461 
5,204  Tesla, Inc. (a)   5,797,256 
       15,872,902 
         
   Banks — 4.5%     
71,291  Bank of America Corp.   3,406,284 
71,870  Citigroup, Inc.   4,970,529 
85,889  Citizens Financial Group, Inc.   4,069,421 
71,308  Fifth Third Bancorp   3,104,037 
10,460  First Republic Bank   2,262,812 
130,500  Huntington Bancshares, Inc.   2,054,070 
18,488  JPMorgan Chase & Co.   3,140,926 
186,636  KeyCorp   4,343,020 
27,019  M&T Bank Corp.   3,975,035 
15,468  PNC Financial Services Group (The), Inc.   3,264,212 
142,013  Regions Financial Corp.   3,362,868 
7,798  SVB Financial Group (a)   5,594,285 
51,599  Truist Financial Corp.   3,274,989 
50,913  U.S. Bancorp   3,073,618 
86,944  Wells Fargo & Co.   4,448,055 
       54,344,161 
         
   Beverages — 0.4%     
4,788  Constellation Brands, Inc., Class A   1,038,086 
59,062  Keurig Dr Pepper, Inc.   2,131,548 
6,707  PepsiCo, Inc.   1,083,851 
       4,253,485 
         
   Biotechnology — 2.5%     
9,351  AbbVie, Inc.   1,072,279 
21,371  Alnylam Pharmaceuticals, Inc. (a)   3,409,957 
9,487  Amgen, Inc.   1,963,524 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Biotechnology (Continued)     
7,129  Biogen, Inc. (a)  $1,901,162 
43,326  Gilead Sciences, Inc.   2,810,991 
36,837  Horizon Therapeutics PLC (a)   4,417,125 
14,667  Incyte Corp. (a)   982,396 
13,106  Moderna, Inc. (a)   4,524,322 
6,667  Regeneron Pharmaceuticals, Inc. (a)   4,266,480 
11,882  Seagen, Inc. (a)   2,095,153 
16,684  Vertex Pharmaceuticals, Inc. (a)   3,085,372 
       30,528,761 
         
   Building Products — 0.5%     
38,979  Carrier Global Corp.   2,035,873 
44,453  Johnson Controls International PLC   3,261,517 
5,843  Trane Technologies PLC   1,057,174 
       6,354,564 
         
   Capital Markets — 5.4%     
77,836  Bank of New York Mellon (The) Corp.   4,607,891 
2,406  BlackRock, Inc.   2,269,965 
43,354  Blackstone, Inc.   6,001,061 
106,680  Carlyle Group (The), Inc.   5,990,082 
27,698  Charles Schwab (The) Corp.   2,272,067 
169,712  Franklin Resources, Inc.   5,344,231 
13,343  Goldman Sachs Group (The), Inc.   5,515,329 
8,786  Intercontinental Exchange, Inc.   1,216,510 
82,849  KKR & Co., Inc.   6,600,580 
2,840  Moody’s Corp.   1,147,786 
41,466  Morgan Stanley   4,261,875 
6,633  MSCI, Inc.   4,410,149 
26,131  Nasdaq, Inc.   5,484,113 
21,863  Raymond James Financial, Inc.   2,155,473 
2,374  S&P Global, Inc.   1,125,656 
35,721  State Street Corp.   3,520,304 
15,385  T. Rowe Price Group, Inc.   3,336,699 
       65,259,771 
         
   Chemicals — 3.2%     
7,877  Air Products and Chemicals, Inc.   2,361,604 
18,428  Albemarle Corp.   4,615,661 
33,483  Celanese Corp.   5,407,839 
95,891  Corteva, Inc.   4,137,697 
87,628  Dow, Inc.   4,904,539 
74,185  DuPont de Nemours, Inc.   5,163,276 
20,027  Eastman Chemical Co.   2,083,409 
53,744  LyondellBasell Industries N.V., Class A   4,988,518 
14,107  PPG Industries, Inc.   2,265,161 
7,212  Sherwin-Williams (The) Co.   2,283,391 
       38,211,095 
         

 

 

First Trust Large Cap Core AlphaDEX® Fund (FEX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Commercial Services & Supplies — 0.6%     
21,815  Copart, Inc. (a)  $3,387,651 
16,804  Republic Services, Inc.   2,261,818 
6,754  Waste Management, Inc.   1,082,194 
       6,731,663 
         
   Communications Equipment — 0.5%     
2,936  Arista Networks, Inc. (a)   1,202,850 
37,067  Cisco Systems, Inc.   2,074,640 
13,026  Motorola Solutions, Inc.   3,238,133 
       6,515,623 
         
   Construction Materials — 0.2%     
11,926  Vulcan Materials Co.   2,267,371 
         
         
   Consumer Finance — 1.5%     
98,803  Ally Financial, Inc.   4,716,855 
6,021  American Express Co.   1,046,329 
31,140  Capital One Financial Corp.   4,703,074 
32,845  Discover Financial Services   3,721,996 
82,550  Synchrony Financial   3,834,448 
       18,022,702 
         
   Containers & Packaging — 0.6%     
19,473  Avery Dennison Corp.   4,239,661 
72,158  International Paper Co.   3,584,088 
       7,823,749 
         
   Distributors — 0.8%     
16,643  Genuine Parts Co.   2,182,064 
80,189  LKQ Corp. (a)   4,416,810 
6,967  Pool Corp.   3,589,119 
       10,187,993 
         
   Diversified Financial Services — 0.4%     
18,480  Berkshire Hathaway, Inc., Class B (a)   5,303,945 
         
         
   Diversified Telecommunication Services — 0.7%     
149,391  AT&T, Inc.   3,773,617 
93,387  Verizon Communications, Inc.   4,948,577 
       8,722,194 
         
   Electric Utilities — 4.2%     
54,061  Alliant Energy Corp.   3,058,231 
49,705  American Electric Power Co., Inc.   4,210,510 
41,348  Duke Energy Corp.   4,217,909 
72,744  Edison International   4,577,780 
40,632  Entergy Corp.   4,185,909 
64,872  Evergy, Inc.   4,135,590 
37,014  Eversource Energy   3,142,489 
83,472  Exelon Corp.   4,439,876 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Electric Utilities (Continued)     
84,961  FirstEnergy Corp.  $3,273,547 
525,400  PG&E Corp. (a)   6,094,640 
72,365  PPL Corp.   2,084,112 
48,835  Southern (The) Co.   3,043,397 
64,561  Xcel Energy, Inc.   4,169,995 
       50,633,985 
         
   Electrical Equipment — 0.9%     
8,135  AMETEK, Inc.   1,077,074 
6,756  Eaton Corp. PLC   1,113,119 
21,417  Emerson Electric Co.   2,077,663 
9,873  Generac Holdings, Inc. (a)   4,922,283 
3,431  Rockwell Automation, Inc.   1,095,861 
       10,286,000 
         
   Electronic Equipment, Instruments & Components — 1.9%     
41,326  Amphenol Corp., Class A   3,172,597 
22,168  CDW Corp.   4,137,657 
110,580  Corning, Inc.   3,933,331 
24,561  Keysight Technologies, Inc. (a)   4,421,471 
14,703  TE Connectivity Ltd.   2,146,638 
2,348  Teledyne Technologies, Inc. (a)   1,054,769 
24,529  Trimble, Inc. (a)   2,143,099 
3,914  Zebra Technologies Corp., Class A (a)   2,089,880 
       23,099,442 
         
   Energy Equipment & Services — 0.2%     
68,068  Schlumberger N.V.   2,195,874 
         
         
   Entertainment — 0.7%     
39,106  Activision Blizzard, Inc.   3,057,698 
4,958  Netflix, Inc. (a)   3,422,557 
13,095  Take-Two Interactive Software, Inc. (a)   2,370,195 
       8,850,450 
         
   Equity Real Estate Investment Trusts — 2.8%     
4,552  AvalonBay Communities, Inc.   1,077,367 
9,310  Boston Properties, Inc.   1,057,988 
13,681  Camden Property Trust   2,231,371 
21,073  Duke Realty Corp.   1,185,146 
25,833  Equity LifeStyle Properties, Inc.   2,183,147 
12,466  Equity Residential   1,077,062 
3,155  Essex Property Trust, Inc.   1,072,479 
12,010  Extra Space Storage, Inc.   2,370,414 
60,261  Healthpeak Properties, Inc.   2,139,868 
26,317  Invitation Homes, Inc.   1,085,576 
16,204  Mid-America Apartment Communities, Inc.   3,309,019 
8,043  Prologis, Inc.   1,165,913 

 

 

First Trust Large Cap Core AlphaDEX® Fund (FEX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Equity Real Estate Investment Trusts (Continued)     
15,554  Realty Income Corp.  $1,111,022 
7,761  Simon Property Group, Inc.   1,137,607 
16,350  Sun Communities, Inc.   3,204,273 
18,272  Ventas, Inc.   975,177 
12,242  Welltower, Inc.   984,257 
85,080  Weyerhaeuser Co.   3,039,058 
41,434  WP Carey, Inc.   3,194,976 
       33,601,720 
         
   Food & Staples Retailing — 0.7%     
74,854  Kroger (The) Co.   2,995,657 
85,762  Walgreens Boots Alliance, Inc.   4,032,529 
7,237  Walmart, Inc.   1,081,353 
       8,109,539 
         
   Food Products — 2.7%     
84,050  Archer-Daniels-Midland Co.   5,399,372 
148,918  Conagra Brands, Inc.   4,795,160 
67,454  General Mills, Inc.   4,168,657 
11,920  Hershey (The) Co.   2,090,172 
49,208  Hormel Foods Corp.   2,082,483 
31,564  Kellogg Co.   1,934,873 
82,191  Kraft Heinz (The) Co.   2,949,835 
12,449  McCormick & Co., Inc.   998,783 
52,016  Mondelez International, Inc., Class A   3,159,452 
63,895  Tyson Foods, Inc., Class A   5,109,683 
       32,688,470 
         
   Health Care Equipment & Supplies — 4.0%     
8,540  Abbott Laboratories   1,100,721 
7,580  Align Technology, Inc. (a)   4,732,725 
12,543  Baxter International, Inc.   990,395 
8,207  Becton, Dickinson and Co.   1,966,315 
2,441  Cooper (The) Cos., Inc.   1,017,702 
16,568  Danaher Corp.   5,165,405 
7,379  Dexcom, Inc. (a)   4,598,667 
26,732  Edwards Lifesciences Corp. (a)   3,203,028 
68,336  Hologic, Inc. (a)   5,009,712 
3,245  IDEXX Laboratories, Inc. (a)   2,161,624 
3,549  Insulet Corp. (a)   1,100,261 
9,131  Intuitive Surgical, Inc. (a)   3,297,478 
7,453  Masimo Corp. (a)   2,113,224 
8,047  Medtronic PLC   964,513 
11,483  ResMed, Inc.   3,018,996 
11,881  West Pharmaceutical Services, Inc.   5,107,404 
20,678  Zimmer Biomet Holdings, Inc.   2,959,435 
       48,507,605 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Providers & Services — 3.0%     
8,118  Anthem, Inc.  $3,532,385 
32,379  Centene Corp. (a)   2,306,680 
25,199  Cigna Corp.   5,382,758 
47,550  CVS Health Corp.   4,245,264 
20,780  HCA Healthcare, Inc.   5,204,559 
7,777  Humana, Inc.   3,601,995 
17,922  Laboratory Corp. of America Holdings (a)   5,143,973 
3,718  Molina Healthcare, Inc. (a)   1,099,487 
34,711  Quest Diagnostics, Inc.   5,094,881 
2,581  UnitedHealth Group, Inc.   1,188,473 
       36,800,455 
         
   Health Care Technology — 0.3%     
42,913  Cerner Corp.   3,188,007 
         
         
   Hotels, Restaurants & Leisure — 1.7%     
44,923  Caesars Entertainment, Inc. (a)   4,917,271 
2,220  Chipotle Mexican Grill, Inc. (a)   3,949,447 
13,320  Darden Restaurants, Inc.   1,919,945 
6,345  Domino’s Pizza, Inc.   3,102,515 
7,635  Hilton Worldwide Holdings, Inc. (a)   1,099,058 
4,184  McDonald’s Corp.   1,027,381 
46,757  MGM Resorts International   2,205,060 
16,495  Yum! Brands, Inc.   2,060,885 
       20,281,562 
         
   Household Durables — 1.5%     
60,067  D.R. Horton, Inc.   5,362,181 
25,956  Garmin Ltd.   3,727,282 
53,841  Lennar Corp., Class A   5,380,331 
842  NVR, Inc. (a)   4,121,421 
       18,591,215 
         
   Household Products — 0.3%     
24,434  Church & Dwight Co., Inc.   2,134,554 
13,347  Colgate-Palmolive Co.   1,016,908 
7,617  Kimberly-Clark Corp.   986,325 
       4,137,787 
         
   Industrial Conglomerates — 0.3%     
17,252  3M Co.   3,082,588 
9,790  General Electric Co.   1,026,677 
       4,109,265 
         
   Insurance — 6.0%     
96,756  Aflac, Inc.   5,192,895 
39,619  Allstate (The) Corp.   4,899,682 
73,512  American International Group, Inc.   4,343,824 
14,120  Aon PLC, Class A   4,517,270 

 

 

First Trust Large Cap Core AlphaDEX® Fund (FEX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Insurance (Continued)     
132,107  Arch Capital Group Ltd. (a)  $5,524,715 
6,787  Arthur J. Gallagher & Co.   1,137,976 
18,192  Brown & Brown, Inc.   1,148,097 
29,074  Chubb Ltd.   5,680,478 
44,159  Cincinnati Financial Corp.   5,362,669 
71,798  Hartford Financial Services Group (The), Inc.   5,236,228 
4,220  Markel Corp. (a)   5,541,409 
19,985  Marsh & McLennan Cos., Inc.   3,333,498 
49,025  MetLife, Inc.   3,078,770 
46,992  Principal Financial Group, Inc.   3,152,693 
55,801  Progressive (The) Corp.   5,294,399 
38,356  Prudential Financial, Inc.   4,221,078 
33,181  Travelers (The) Cos., Inc.   5,338,159 
       73,003,840 
         
   Interactive Media & Services — 0.9%     
1,886  Alphabet, Inc., Class A (a)   5,584,295 
5,945  Facebook, Inc., Class A (a)   1,923,624 
68,280  Snap, Inc., Class A (a)   3,590,162 
       11,098,081 
         
   Internet & Direct Marketing Retail — 0.7%     
308  Amazon.com, Inc. (a)   1,038,709 
72,397  eBay, Inc.   5,554,298 
9,702  Etsy, Inc. (a)   2,432,194 
       9,025,201 
         
   IT Services — 4.2%     
3,152  Accenture PLC, Class A   1,130,906 
28,935  Akamai Technologies, Inc. (a)   3,051,485 
18,161  Broadridge Financial Solutions, Inc.   3,240,104 
44,775  Cloudflare, Inc., Class A (a)   8,718,588 
40,780  Cognizant Technology Solutions Corp., Class A   3,184,510 
8,842  EPAM Systems, Inc. (a)   5,952,788 
8,290  Fidelity National Information Services, Inc.   918,035 
18,594  Fiserv, Inc. (a)   1,831,323 
3,861  FleetCor Technologies, Inc. (a)   955,250 
16,599  Gartner, Inc. (a)   5,509,374 
12,803  Global Payments, Inc.   1,830,701 
14,522  International Business Machines Corp.   1,816,702 
10,697  MongoDB, Inc. (a)   5,576,239 
8,971  Paychex, Inc.   1,105,945 
10,007  Snowflake, Inc., Class A (a)   3,540,877 
8,411  Square, Inc., Class A (a)   2,140,600 
       50,503,427 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Life Sciences Tools & Services — 3.6%     
25,615  Agilent Technologies, Inc.  $4,034,106 
123,321  Avantor, Inc. (a)   4,979,702 
6,762  Bio-Rad Laboratories, Inc., Class A (a)   5,373,626 
6,246  Bio-Techne Corp.   3,270,718 
12,222  Charles River Laboratories International, Inc. (a)   5,483,767 
16,845  IQVIA Holdings, Inc. (a)   4,403,620 
1,466  Mettler-Toledo International, Inc. (a)   2,170,970 
29,106  PerkinElmer, Inc.   5,148,560 
7,063  Thermo Fisher Scientific, Inc.   4,471,374 
11,293  Waters Corp. (a)   4,150,742 
       43,487,185 
         
   Machinery — 3.1%     
5,254  Caterpillar, Inc.   1,071,869 
17,969  Cummins, Inc.   4,309,685 
3,011  Deere & Co.   1,030,695 
12,975  Dover Corp.   2,193,813 
71,472  Fortive Corp.   5,411,145 
4,874  IDEX Corp.   1,084,806 
4,882  Illinois Tool Works, Inc.   1,112,461 
60,034  Ingersoll Rand, Inc. (a)   3,227,428 
36,781  Otis Worldwide Corp.   2,953,882 
51,130  PACCAR, Inc.   4,582,271 
14,431  Parker-Hannifin Corp.   4,280,090 
23,018  Stanley Black & Decker, Inc.   4,137,025 
23,402  Westinghouse Air Brake Technologies Corp.   2,123,264 
       37,518,434 
         
   Media — 1.5%     
4,159  Charter Communications, Inc., Class A (a)   2,806,868 
72,146  Comcast Corp., Class A   3,710,469 
75,450  Fox Corp., Class A   2,998,383 
5,841  Liberty Broadband Corp., Class C (a)   948,870 
41,766  Omnicom Group, Inc.   2,843,429 
127,660  ViacomCBS, Inc., Class B   4,623,845 
       17,931,864 
         
   Metals & Mining — 1.1%     
62,021  Freeport-McMoRan, Inc.   2,339,432 
92,889  Newmont Corp.   5,016,006 
51,212  Nucor Corp.   5,717,820 
       13,073,258 
         
   Multiline Retail — 0.9%     
9,510  Dollar General Corp.   2,106,655 
42,154  Dollar Tree, Inc. (a)   4,542,515 

 

 

First Trust Large Cap Core AlphaDEX® Fund (FEX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Multiline Retail (Continued)     
17,638  Target Corp.  $4,579,178 
       11,228,348 
         
   Multi-Utilities — 2.7%     
37,362  Ameren Corp.   3,149,243 
164,028  CenterPoint Energy, Inc.   4,271,289 
50,666  CMS Energy Corp.   3,057,693 
55,587  Consolidated Edison, Inc.   4,191,260 
27,630  Dominion Energy, Inc.   2,097,946 
36,121  DTE Energy Co.   4,094,315 
66,258  Public Service Enterprise Group, Inc.   4,227,260 
31,898  Sempra Energy   4,071,142 
34,311  WEC Energy Group, Inc.   3,090,049 
       32,250,197 
         
   Oil, Gas & Consumable Fuels — 3.3%     
51,642  Cheniere Energy, Inc. (a)   5,339,783 
29,831  Chevron Corp.   3,415,351 
44,656  ConocoPhillips   3,326,425 
56,816  Devon Energy Corp.   2,277,185 
62,837  EOG Resources, Inc.   5,809,909 
12,915  Hess Corp.   1,066,392 
241,189  Kinder Morgan, Inc.   4,039,916 
32,641  Marathon Petroleum Corp.   2,152,021 
68,207  Occidental Petroleum Corp.   2,286,981 
86,978  ONEOK, Inc.   5,533,540 
12,117  Pioneer Natural Resources Co.   2,265,637 
77,777  Williams (The) Cos., Inc.   2,184,756 
       39,697,896 
         
   Pharmaceuticals — 1.8%     
37,903  Catalent, Inc. (a)   5,225,308 
13,099  Eli Lilly & Co.   3,337,101 
12,492  Johnson & Johnson   2,034,697 
13,430  Merck & Co., Inc.   1,182,511 
93,817  Pfizer, Inc.   4,103,556 
297,792  Viatris, Inc.   3,975,523 
10,392  Zoetis, Inc.   2,246,750 
       22,105,446 
         
   Professional Services — 1.1%     
19,903  Equifax, Inc.   5,521,689 
7,611  Jacobs Engineering Group, Inc.   1,068,737 
31,481  Leidos Holdings, Inc.   3,147,470 
17,964  TransUnion   2,071,069 
5,036  Verisk Analytics, Inc.   1,058,920 
       12,867,885 
         
   Real Estate Management & Development — 0.2%     
20,722  CBRE Group, Inc., Class A (a)   2,156,746 
         
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Road & Rail — 1.8%     
101,759  CSX Corp.  $3,680,623 
18,097  J.B. Hunt Transport Services, Inc.   3,568,547 
12,650  Norfolk Southern Corp.   3,707,083 
14,110  Old Dominion Freight Line, Inc.   4,816,449 
10,293  Union Pacific Corp.   2,484,730 
38,029  XPO Logistics, Inc. (a)   3,262,888 
       21,520,320 
         
   Semiconductors & Semiconductor Equipment — 3.5%     
39,214  Advanced Micro Devices, Inc. (a)   4,714,699 
6,022  Analog Devices, Inc.   1,044,757 
15,672  Applied Materials, Inc.   2,141,579 
2,080  Broadcom, Inc.   1,105,874 
24,038  Entegris, Inc.   3,384,070 
94,667  Intel Corp.   4,638,683 
6,031  KLA Corp.   2,248,115 
16,726  Marvell Technology, Inc.   1,145,731 
71,060  Micron Technology, Inc.   4,910,246 
10,407  Monolithic Power Systems, Inc.   5,468,462 
19,478  NVIDIA Corp.   4,979,940 
5,150  NXP Semiconductors N.V.   1,034,429 
88,160  ON Semiconductor Corp. (a)   4,237,851 
5,248  Texas Instruments, Inc.   983,895 
       42,038,331 
         
   Software — 7.1%     
1,752  Adobe, Inc. (a)   1,139,431 
18,894  Bill.com Holdings, Inc. (a)   5,560,693 
13,322  Cadence Design Systems, Inc. (a)   2,306,172 
17,915  Ceridian HCM Holding, Inc. (a)   2,243,854 
12,313  Crowdstrike Holdings, Inc., Class A (a)   3,469,803 
28,546  Datadog, Inc., Class A (a)   4,768,609 
3,918  DocuSign, Inc. (a)   1,090,340 
71,070  Dynatrace, Inc. (a)   5,330,250 
17,271  Fortinet, Inc. (a)   5,808,928 
7,461  HubSpot, Inc. (a)   6,045,126 
7,479  Intuit, Inc.   4,681,779 
7,156  Microsoft Corp.   2,373,073 
46,311  Oracle Corp.   4,443,077 
41,962  Palantir Technologies, Inc., Class A (a)   1,085,977 
10,531  Palo Alto Networks, Inc. (a)   5,361,227 
8,140  Paycom Software, Inc. (a)   4,459,499 
7,439  salesforce.com, Inc. (a)   2,229,394 
4,863  ServiceNow, Inc. (a)   3,393,207 
43,607  SS&C Technologies Holdings, Inc.   3,465,448 
10,107  Synopsys, Inc. (a)   3,367,450 
2,200  Tyler Technologies, Inc. (a)   1,195,084 
31,961  Unity Software, Inc. (a)   4,836,019 
6,785  VMware, Inc., Class A (a) (b)   1,029,285 

 

 

First Trust Large Cap Core AlphaDEX® Fund (FEX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Software (Continued)     
19,235  Zscaler, Inc. (a)  $6,133,272 
       85,816,997 
         
   Specialty Retail — 3.0%     
2,970  AutoZone, Inc. (a)   5,300,975 
80,022  Bath & Body Works, Inc.   5,528,720 
47,714  Best Buy Co., Inc.   5,832,559 
3,558  Burlington Stores, Inc. (a)   983,040 
15,767  CarMax, Inc. (a)   2,158,818 
10,035  Carvana Co. (a)   3,042,411 
3,073  Home Depot (The), Inc.   1,142,357 
19,891  Lowe’s Cos., Inc.   4,650,914 
6,604  O’Reilly Automotive, Inc. (a)   4,109,801 
9,267  Ross Stores, Inc.   1,049,025 
4,978  Tractor Supply Co.   1,081,072 
5,590  Ulta Beauty, Inc. (a)   2,053,542 
       36,933,234 
         
   Technology Hardware, Storage & Peripherals — 1.8%     
14,259  Apple, Inc.   2,135,998 
38,784  Dell Technologies, Inc., Class C (a)   4,265,852 
353,954  Hewlett Packard Enterprise Co.   5,185,426 
73,740  HP, Inc.   2,236,534 
44,955  NetApp, Inc.   4,014,482 
71,493  Western Digital Corp. (a)   3,738,369 
       21,576,661 
         
   Textiles, Apparel & Luxury Goods — 0.2%     
30,117  VF Corp.   2,194,927 
         
         
   Tobacco — 0.1%     
22,161  Altria Group, Inc.   977,522 
         
         
   Trading Companies & Distributors — 0.6%     
19,546  Fastenal Co.   1,115,686 
8,624  United Rentals, Inc. (a)   3,269,445 
5,133  W.W. Grainger, Inc.   2,377,143 
       6,762,274 
         
   Water Utilities — 0.1%     
5,967  American Water Works Co., Inc.   1,039,332 
         
         
   Wireless Telecommunication Services — 0.2%     
23,687  T-Mobile US, Inc. (a)   2,724,716 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Total Common Stocks — 99.9%  $1,207,241,655 
   (Cost $967,068,202)     
         
   Money Market Funds — 0.2%     
434,905  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   434,905 
1,458,816  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)   1,458,816 
   Total Money Market Funds — 0.2%   1,893,721 
   (Cost $1,893,721)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.0%     
$ 566,390  BNP Paribas S.A., 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $566,391. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $578,306. (d)   566,390 
   (Cost $566,390)     
         
   Total Investments — 100.1%   1,209,701,766 
   (Cost $969,528,313) (e)     
   Net Other Assets and Liabilities — (0.1)%   (808,924)
   Net Assets — 100.0%  $1,208,892,842 

 

 

First Trust Large Cap Core AlphaDEX® Fund (FEX)
 
Portfolio of Investments (Continued)
October 31, 2021 (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 $977,706 and the total value of the collateral held by the Fund is $1,001,295.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $247,200,222 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $7,026,769. The net unrealized appreciation was $240,173,453.

 

  

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
 

Level 1

Quoted Prices

 

Level 2

Significant Observable Inputs

 

Level 3

Significant Unobservable Inputs

Common Stocks*  $1,207,241,655   $1,207,241,655   $—     $—   
Money Market Funds   1,893,721    1,893,721    —      —   
Repurchase Agreements   566,390    —      566,390    —   
Total Investments  $1,209,701,766   $1,209,135,376   $566,390   $—   

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Aerospace & Defense — 1.1%     
17,055  Axon Enterprise, Inc. (a)  $3,069,218 
27,710  BWX Technologies, Inc.   1,572,265 
17,743  Curtiss-Wright Corp.   2,265,426 
23,919  Howmet Aerospace, Inc.   710,155 
15,461  Huntington Ingalls Industries, Inc.   3,134,409 
16,888  Spirit AeroSystems Holdings, Inc., Class A   697,306 
       11,448,779 
         
   Air Freight & Logistics — 0.2%     
17,156  C.H. Robinson Worldwide, Inc.   1,663,960 
         
         
   Airlines — 0.1%     
36,366  American Airlines Group, Inc. (a)   698,227 
         
         
   Auto Components — 1.7%     
86,352  BorgWarner, Inc.   3,891,885 
20,652  Fox Factory Holding Corp. (a)   3,323,939 
90,510  Gentex Corp.   3,203,149 
168,644  Goodyear Tire & Rubber (The) Co. (a)   3,224,473 
23,845  Lear Corp.   4,097,763 
       17,741,209 
         
   Automobiles — 0.5%     
61,151  Harley-Davidson, Inc.   2,231,400 
30,394  Thor Industries, Inc.   3,098,972 
       5,330,372 
         
   Banks — 5.4%     
69,451  Bank OZK   3,102,376 
33,333  BOK Financial Corp.   3,372,300 
27,810  Comerica, Inc.   2,366,353 
21,419  Commerce Bancshares, Inc.   1,510,254 
12,582  Cullen/Frost Bankers, Inc.   1,629,369 
19,249  East West Bancorp, Inc.   1,529,910 
2,655  First Citizens BancShares, Inc., Class A   2,160,904 
16,241  First Financial Bankshares, Inc.   823,743 
183,241  First Horizon Corp.   3,109,600 
26,965  Glacier Bancorp, Inc.   1,490,895 
49,399  PacWest Bancorp   2,344,970 
23,796  Pinnacle Financial Partners, Inc.   2,297,980 
38,431  Popular, Inc.   3,129,821 
31,474  Prosperity Bancshares, Inc.   2,370,307 
10,963  Signature Bank   3,265,001 
29,982  SouthState Corp.   2,341,294 
51,008  Synovus Financial Corp.   2,376,463 
23,150  UMB Financial Corp.   2,287,683 
147,407  Umpqua Holdings Corp.   3,014,473 
61,538  United Bankshares, Inc.   2,276,291 
168,201  Valley National Bancorp   2,230,345 
27,406  Webster Financial Corp.   1,533,640 
34,289  Western Alliance Bancorp   3,980,610 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Banks (Continued)     
48,232  Zions Bancorp N.A.  $3,038,134 
       57,582,716 
         
   Beverages — 0.7%     
41,417  Celsius Holdings, Inc. (a)   3,997,569 
16,090  Molson Coors Beverage Co., Class B   709,408 
42,651  National Beverage Corp.   2,405,516 
       7,112,493 
         
   Biotechnology — 2.2%     
8,672  Acceleron Pharma, Inc. (a)   1,510,489 
96,790  Alkermes PLC (a)   2,931,769 
26,862  Biohaven Pharmaceutical Holding Co., Ltd. (a)   3,823,000 
21,775  Blueprint Medicines Corp. (a)   2,449,470 
11,776  CareDx, Inc. (a)   600,576 
35,301  Exelixis, Inc. (a)   759,324 
18,345  Halozyme Therapeutics, Inc. (a)   698,394 
5,563  Intellia Therapeutics, Inc. (a)   739,768 
8,436  Mirati Therapeutics, Inc. (a)   1,594,573 
13,393  Natera, Inc. (a)   1,534,436 
14,398  Novavax, Inc. (a)   2,142,854 
24,207  Sarepta Therapeutics, Inc. (a)   1,915,500 
12,128  United Therapeutics Corp. (a)   2,313,537 
       23,013,690 
         
   Building Products — 2.9%     
24,439  A.O. Smith Corp.   1,785,758 
20,698  Advanced Drainage Systems, Inc.   2,334,734 
5,647  Allegion PLC   724,510 
7,817  Armstrong World Industries, Inc.   825,866 
72,116  Builders FirstSource, Inc. (a)   4,202,199 
3,754  Carlisle Cos., Inc.   836,842 
25,036  Fortune Brands Home & Security, Inc.   2,538,650 
43,640  Owens Corning   4,076,412 
120,412  Resideo Technologies, Inc. (a)   2,969,360 
20,928  Simpson Manufacturing Co., Inc.   2,220,252 
21,962  Trex Co., Inc. (a)   2,336,757 
54,888  UFP Industries, Inc.   4,491,485 
46,431  Zurn Water Solutions Corp.   1,684,517 
       31,027,342 
         
   Capital Markets — 3.9%     
9,878  Affiliated Managers Group, Inc.   1,658,319 
48,467  Apollo Global Management, Inc.   3,729,536 
50,539  Ares Management Corp., Class A   4,282,675 
12,051  Cboe Global Markets, Inc.   1,590,009 
22,332  Evercore, Inc., Class A   3,390,891 
3,782  FactSet Research Systems, Inc.   1,678,792 
40,513  Houlihan Lokey, Inc.   4,540,697 
61,903  Invesco Ltd.   1,572,955 
100,492  Jefferies Financial Group, Inc.   4,321,156 
32,588  Lazard Ltd., Class A   1,596,486 

 

 

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Capital Markets (Continued)     
23,802  LPL Financial Holdings, Inc.  $3,904,004 
8,643  Morningstar, Inc.   2,737,670 
20,690  Open Lending Corp., Class A (a)   652,149 
37,753  SEI Investments Co.   2,379,949 
32,942  Stifel Financial Corp.   2,400,483 
9,238  Tradeweb Markets, Inc., Class A   823,106 
       41,258,877 
         
   Chemicals — 4.0%     
54,352  Amyris, Inc. (a)   805,497 
25,120  Ashland Global Holdings, Inc.   2,411,771 
48,302  Avient Corp.   2,602,512 
51,131  Axalta Coating Systems Ltd. (a)   1,594,776 
15,432  Balchem Corp.   2,362,485 
26,737  CF Industries Holdings, Inc.   1,518,661 
51,360  Chemours (The) Co.   1,439,107 
137,686  Element Solutions, Inc.   3,126,849 
16,301  FMC Corp.   1,483,554 
126,099  Huntsman Corp.   4,108,305 
104,459  Mosaic (The) Co.   4,342,361 
77,333  Olin Corp.   4,406,434 
6,279  Quaker Chemical Corp.   1,543,629 
19,222  RPM International, Inc.   1,676,158 
10,197  Scotts Miracle-Gro (The) Co.   1,513,847 
95,735  Valvoline, Inc.   3,251,161 
40,940  Westlake Chemical Corp.   3,985,100 
       42,172,207 
         
   Commercial Services & Supplies — 0.6%     
276,733  ADT, Inc.   2,310,721 
14,369  Clean Harbors, Inc. (a)   1,617,087 
13,676  IAA, Inc. (a)   815,773 
10,980  Stericycle, Inc. (a)   734,782 
4,997  Tetra Tech, Inc.   877,773 
       6,356,136 
         
   Communications Equipment — 0.8%     
58,131  Ciena Corp. (a)   3,155,932 
3,754  F5 Networks, Inc. (a)   792,657 
54,234  Juniper Networks, Inc.   1,600,988 
35,733  Lumentum Holdings, Inc. (a)   2,950,831 
       8,500,408 
         
   Construction & Engineering — 1.3%     
36,671  API Group Corp. (a)   798,694 
19,404  EMCOR Group, Inc.   2,357,392 
34,596  MasTec, Inc. (a)   3,083,542 
13,112  Quanta Services, Inc.   1,590,223 
12,695  Valmont Industries, Inc.   3,033,597 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Construction & Engineering (Continued)     
70,578  WillScot Mobile Mini Holdings Corp. (a)  $2,452,586 
       13,316,034 
         
   Construction Materials — 0.1%     
5,689  Eagle Materials, Inc.   844,020 
         
         
   Consumer Finance — 0.8%     
5,099  Credit Acceptance Corp. (a) (b)   3,050,273 
67,437  OneMain Holdings, Inc.   3,561,348 
84,801  SLM Corp.   1,556,098 
       8,167,719 
         
   Containers & Packaging — 1.5%     
12,505  AptarGroup, Inc.   1,510,354 
49,031  Berry Global Group, Inc. (a)   3,213,492 
7,405  Crown Holdings, Inc.   770,046 
78,387  Graphic Packaging Holding Co.   1,562,253 
16,289  Packaging Corp. of America   2,237,620 
40,862  Sealed Air Corp.   2,423,934 
77,815  Silgan Holdings, Inc.   3,128,163 
29,953  Westrock Co.   1,440,739 
       16,286,601 
         
   Diversified Consumer Services — 0.7%     
33,935  Grand Canyon Education, Inc. (a)   2,704,620 
89,550  H&R Block, Inc.   2,065,918 
24,768  Service Corp. International   1,696,360 
17,908  Terminix Global Holdings, Inc. (a)   724,916 
       7,191,814 
         
   Diversified Financial Services — 0.4%     
60,780  Voya Financial, Inc.   4,240,621 
         
         
   Diversified Telecommunication Services — 0.7%     
133,881  Frontier Communications Parent, Inc. (a)   4,144,956 
18,726  Iridium Communications, Inc. (a)   759,339 
240,920  Lumen Technologies, Inc.   2,857,311 
       7,761,606 
         
   Electric Utilities — 1.6%     
54,831  Hawaiian Electric Industries, Inc.   2,223,945 
21,656  IDACORP, Inc.   2,259,154 
73,108  NRG Energy, Inc.   2,916,278 
90,564  OGE Energy Corp.   3,085,516 
51,566  Pinnacle West Capital Corp.   3,325,491 
63,525  Portland General Electric Co.   3,132,418 
       16,942,802 
         

 

 

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Electrical Equipment — 1.2%     
12,913  Acuity Brands, Inc.  $2,652,718 
30,075  EnerSys   2,407,203 
4,131  Hubbell, Inc.   823,597 
14,892  Regal Rexnord Corp.   2,268,498 
16,961  Sunrun, Inc. (a)   978,311 
123,910  Vertiv Holdings Co.   3,182,009 
       12,312,336 
         
   Electronic Equipment, Instruments & Components — 1.2%     
33,229  Arrow Electronics, Inc. (a)   3,846,257 
12,572  II-VI, Inc. (a)   760,731 
9,422  IPG Photonics Corp. (a)   1,498,192 
38,355  Jabil, Inc.   2,299,766 
5,460  Littelfuse, Inc.   1,608,243 
7,169  SYNNEX Corp.   752,745 
44,419  Vontier Corp.   1,502,695 
       12,268,629 
         
   Energy Equipment & Services — 0.1%     
33,375  ChampionX Corp. (a)   875,426 
         
         
   Entertainment — 0.3%     
69,841  Warner Music Group Corp., Class A   3,456,431 
         
         
   Equity Real Estate Investment Trusts — 5.8%     
15,402  American Campus Communities, Inc.   827,395 
19,577  American Homes 4 Rent, Class A   794,826 
25,688  Americold Realty Trust   757,025 
67,503  Brixmor Property Group, Inc.   1,582,270 
5,387  CoreSite Realty Corp.   767,432 
60,037  Cousins Properties, Inc.   2,378,066 
46,208  CubeSmart   2,541,902 
9,640  CyrusOne, Inc.   790,673 
23,608  Douglas Emmett, Inc.   771,509 
4,478  EastGroup Properties, Inc.   885,659 
12,650  Federal Realty Investment Trust   1,522,428 
14,328  First Industrial Realty Trust, Inc.   834,319 
16,111  Gaming and Leisure Properties, Inc.   781,222 
25,058  Healthcare Realty Trust, Inc.   828,418 
50,321  Healthcare Trust of America, Inc., Class A   1,680,218 
17,014  Highwoods Properties, Inc.   762,908 
16,142  Innovative Industrial Properties, Inc.   4,246,799 
85,875  Iron Mountain, Inc.   3,919,335 
25,204  JBG SMITH Properties   727,387 
56,354  Kilroy Realty Corp.   3,797,133 
71,929  Kimco Realty Corp.   1,625,595 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Equity Real Estate Investment Trusts (Continued)     
19,733  Lamar Advertising Co., Class A  $2,233,776 
19,511  Life Storage, Inc.   2,610,767 
111,549  Medical Properties Trust, Inc.   2,379,340 
51,834  National Retail Properties, Inc.   2,351,190 
42,409  National Storage Affiliates Trust   2,648,866 
74,724  Omega Healthcare Investors, Inc.   2,193,897 
4,761  PS Business Parks, Inc.   846,030 
20,915  Rayonier, Inc.   780,757 
11,083  Regency Centers Corp.   780,354 
13,150  Rexford Industrial Realty, Inc.   883,680 
17,831  Ryman Hospitality Properties, Inc. (a)   1,525,264 
10,381  Safehold, Inc.   775,461 
42,136  SL Green Realty Corp.   2,952,470 
32,418  Spirit Realty Capital, Inc.   1,586,213 
38,025  STAG Industrial, Inc.   1,655,228 
46,598  STORE Capital Corp.   1,599,709 
17,764  Vornado Realty Trust   757,279 
       61,382,800 
         
   Food & Staples Retailing — 0.6%     
47,944  Albertsons Cos., Inc., Class A (b)   1,483,867 
13,588  BJ’s Wholesale Club Holdings, Inc. (a)   794,083 
11,879  Casey’s General Stores, Inc.   2,275,304 
16,063  Performance Food Group Co. (a)   726,529 
21,530  US Foods Holding Corp. (a)   746,445 
       6,026,228 
         
   Food Products — 2.3%     
45,883  Bunge Ltd.   4,250,601 
53,545  Campbell Soup Co.   2,139,123 
41,515  Darling Ingredients, Inc. (a)   3,508,848 
63,161  Flowers Foods, Inc.   1,563,235 
16,769  Ingredion, Inc.   1,596,912 
24,868  J.M. Smucker (The) Co.   3,055,282 
12,160  Lamb Weston Holdings, Inc.   686,432 
8,841  Lancaster Colony Corp.   1,502,970 
25,662  Pilgrim’s Pride Corp. (a)   722,642 
13,548  Post Holdings, Inc. (a)   1,374,851 
911  Seaboard Corp.   3,507,368 
       23,908,264 
         
   Gas Utilities — 0.8%     
33,845  Atmos Energy Corp.   3,117,801 
28,418  National Fuel Gas Co.   1,632,046 
87,548  UGI Corp.   3,800,459 
       8,550,306 
         
   Health Care Equipment & Supplies — 1.8%     
53,545  Envista Holdings Corp. (a)   2,093,609 

 

 

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Equipment & Supplies (Continued)     
29,219  Globus Medical, Inc., Class A (a)  $2,254,830 
3,197  ICU Medical, Inc. (a)   748,514 
21,795  Integra LifeSciences Holdings Corp. (a)   1,448,496 
2,800  Penumbra, Inc. (a)   774,340 
15,861  Quidel Corp. (a)   2,105,865 
18,124  Shockwave Medical, Inc. (a)   3,873,099 
17,418  STAAR Surgical Co. (a)   2,063,336 
25,005  Tandem Diabetes Care, Inc. (a)   3,408,932 
       18,771,021 
         
   Health Care Providers & Services — 3.0%     
35,102  Acadia Healthcare Co., Inc. (a)   2,176,324 
10,009  Amedisys, Inc. (a)   1,694,924 
32,516  AMN Healthcare Services, Inc. (a)   3,209,329 
32,784  Apollo Medical Holdings, Inc. (a) (b)   2,249,966 
3,208  Chemed Corp.   1,547,058 
19,257  DaVita, Inc. (a)   1,988,093 
19,889  Encompass Health Corp.   1,264,145 
29,395  Henry Schein, Inc. (a)   2,244,308 
4,756  LHC Group, Inc. (a)   640,110 
57,760  Premier, Inc., Class A   2,249,752 
53,303  Progyny, Inc. (a)   3,274,403 
61,896  Select Medical Holdings Corp.   2,056,185 
56,159  Tenet Healthcare Corp. (a)   4,024,354 
26,966  Universal Health Services, Inc., Class B   3,346,481 
       31,965,432 
         
   Health Care Technology — 0.6%     
12,818  Inspire Medical Systems, Inc. (a)   3,455,476 
15,084  Omnicell, Inc. (a)   2,687,215 
       6,142,691 
         
   Hotels, Restaurants & Leisure — 1.3%     
47,187  Boyd Gaming Corp. (a)   3,009,587 
12,435  Churchill Downs, Inc.   2,860,050 
44,917  Scientific Games Corp. (a)   3,595,606 
16,342  Texas Roadhouse, Inc.   1,451,333 
13,686  Travel + Leisure Co.   743,697 
34,421  Wendy’s (The) Co.   767,588 
9,105  Wingstop, Inc.   1,570,340 
       13,998,201 
         
   Household Durables — 3.1%     
6,644  Helen of Troy Ltd. (a)   1,494,568 
49,929  Leggett & Platt, Inc.   2,339,174 
26,293  LGI Homes, Inc. (a)   3,925,545 
21,034  Mohawk Industries, Inc. (a)   3,727,435 
134,825  Newell Brands, Inc.   3,086,144 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Household Durables (Continued)     
81,257  PulteGroup, Inc.  $3,906,837 
46,121  Sonos, Inc. (a)   1,504,467 
80,398  Tempur Sealy International, Inc.   3,575,299 
67,485  Toll Brothers, Inc.   4,060,572 
7,288  TopBuild Corp. (a)   1,872,797 
18,303  Whirlpool Corp.   3,858,822 
       33,351,660 
         
   Household Products — 0.2%     
81,885  Reynolds Consumer Products, Inc.   2,209,257 
         
         
   Independent Power and Renewable Electricity Producers — 0.1%     
43,640  Vistra Corp.   854,908 
         
         
   Insurance — 6.3%     
5,976  Alleghany Corp. (a)   3,892,647 
29,653  American Financial Group, Inc.   4,033,994 
9,461  Assurant, Inc.   1,526,154 
48,626  Axis Capital Holdings Ltd.   2,531,956 
71,140  CNA Financial Corp.   3,191,340 
15,897  Enstar Group Ltd. (a)   3,668,710 
4,184  Erie Indemnity Co., Class A   861,109 
14,879  Everest Re Group Ltd.   3,890,858 
82,296  Fidelity National Financial, Inc.   3,942,801 
55,649  First American Financial Corp.   4,070,168 
33,528  Globe Life, Inc.   2,984,663 
23,029  Hanover Insurance Group (The), Inc.   2,901,654 
44,692  Kemper Corp.   2,837,048 
43,418  Lincoln National Corp.   3,132,609 
55,349  Loews Corp.   3,103,418 
161,318  Old Republic International Corp.   4,166,844 
9,715  Primerica, Inc.   1,634,452 
26,830  Reinsurance Group of America, Inc.   3,168,086 
16,060  RenaissanceRe Holdings Ltd.   2,277,308 
7,442  RLI Corp.   806,043 
39,521  Selective Insurance Group, Inc.   3,097,261 
119,115  Unum Group   3,033,859 
30,592  W.R. Berkley Corp.   2,435,123 
       67,188,105 
         
   Interactive Media & Services — 0.9%     
28,639  IAC/InterActiveCorp (a)   4,363,724 
21,850  Ziff Davis, Inc. (a)   2,802,700 
36,586  ZoomInfo Technologies, Inc., Class A (a)   2,459,311 
       9,625,735 
         
   Internet & Direct Marketing Retail — 0.4%     
366,169  Qurate Retail, Inc., Series A   3,822,804 
         

 

 

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   IT Services — 1.3%     
29,586  Alliance Data Systems Corp.  $2,522,207 
88,813  DXC Technology Co. (a)   2,892,639 
31,415  Genpact Ltd.   1,550,330 
4,549  Jack Henry & Associates, Inc.   757,318 
35,878  MAXIMUS, Inc.   3,034,202 
15,959  TTEC Holdings, Inc.   1,506,370 
73,814  Western Union (The) Co.   1,344,891 
       13,607,957 
         
   Leisure Products — 1.2%     
31,333  Brunswick Corp.   2,916,789 
16,729  Hasbro, Inc.   1,601,969 
80,416  Mattel, Inc. (a)   1,753,873 
24,946  Polaris, Inc.   2,867,543 
34,836  YETI Holdings, Inc. (a)   3,425,424 
       12,565,598 
         
   Life Sciences Tools & Services — 1.3%     
38,219  Bruker Corp.   3,068,986 
15,770  Medpace Holdings, Inc. (a)   3,572,693 
15,469  NeoGenomics, Inc. (a)   711,574 
12,911  Repligen Corp. (a)   3,750,645 
25,593  Syneos Health, Inc. (a)   2,388,851 
       13,492,749 
         
   Machinery — 3.8%     
24,362  AGCO Corp.   2,977,280 
84,514  Allison Transmission Holdings, Inc.   2,819,387 
15,619  Chart Industries, Inc. (a)   2,772,685 
32,516  Colfax Corp. (a)   1,678,476 
23,613  Crane Co.   2,438,751 
25,997  Donaldson Co., Inc.   1,560,080 
43,049  Flowserve Corp.   1,447,307 
183,467  Gates Industrial Corp. PLC (a)   3,016,197 
10,665  Graco, Inc.   801,795 
5,309  John Bean Technologies Corp.   784,405 
5,795  Lincoln Electric Holdings, Inc.   825,208 
13,129  Middleby (The) Corp. (a)   2,395,255 
3,134  Nordson Corp.   796,694 
29,159  Oshkosh Corp.   3,120,013 
7,034  RBC Bearings, Inc. (a)   1,645,463 
14,286  Snap-on, Inc.   2,903,344 
45,629  Timken (The) Co.   3,237,377 
7,661  Toro (The) Co.   731,396 
17,759  Watts Water Technologies, Inc., Class A   3,374,565 
13,184  Woodward, Inc.   1,489,133 
       40,814,811 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Media — 1.2%     
147,015  Discovery, Inc., Class A (a)  $3,446,032 
85,855  DISH Network Corp., Class A (a)   3,526,065 
20,350  Interpublic Group of (The) Cos., Inc.   744,199 
15,145  New York Times (The) Co., Class A   826,766 
31,715  News Corp., Class A   726,273 
24,555  Nexstar Media Group, Inc., Class A   3,681,531 
       12,950,866 
         
   Metals & Mining — 1.9%     
76,241  Alcoa Corp.   3,503,274 
188,353  Cleveland-Cliffs, Inc. (a)   4,541,191 
26,200  Reliance Steel & Aluminum Co.   3,829,392 
63,804  Steel Dynamics, Inc.   4,216,168 
169,835  United States Steel Corp.   4,481,946 
       20,571,971 
         
   Mortgage Real Estate Investment Trusts — 0.9%     
443,144  Annaly Capital Management, Inc.   3,748,998 
73,838  Blackstone Mortgage Trust, Inc., Class A   2,429,270 
271,365  New Residential Investment Corp.   3,082,707 
       9,260,975 
         
   Multiline Retail — 1.0%     
79,237  Kohl’s Corp.   3,845,372 
132,081  Macy’s, Inc.   3,496,184 
28,213  Nordstrom, Inc. (a)   810,560 
37,140  Ollie’s Bargain Outlet Holdings, Inc. (a)   2,512,892 
       10,665,008 
         
   Multi-Utilities — 0.8%     
47,562  Black Hills Corp.   3,157,166 
100,608  MDU Resources Group, Inc.   3,091,684 
92,396  NiSource, Inc.   2,279,409 
       8,528,259 
         
   Oil, Gas & Consumable Fuels — 3.0%     
143,236  Antero Midstream Corp.   1,524,031 
198,366  Antero Resources Corp. (a)   3,941,532 
174,115  APA Corp.   4,563,554 
48,511  Continental Resources, Inc.   2,367,822 
70,227  Coterra Energy, Inc.   1,497,240 
31,531  Diamondback Energy, Inc.   3,379,808 
90,100  HollyFrontier Corp.   3,045,380 
218,362  Marathon Oil Corp.   3,563,668 
113,481  Ovintiv, Inc.   4,257,807 
75,823  Targa Resources Corp.   4,145,243 
       32,286,085 

 

 

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Paper & Forest Products — 0.3%     
60,799  Louisiana-Pacific Corp.  $3,582,885 
         
         
   Personal Products — 0.1%     
94,943  Coty, Inc., Class A (a)   805,117 
17,610  Herbalife Nutrition Ltd. (a)   817,104 
       1,622,221 
         
   Pharmaceuticals — 0.5%     
18,161  Arvinas, Inc. (a)   1,572,380 
5,731  Jazz Pharmaceuticals PLC (a)   762,452 
68,276  Organon & Co.   2,509,143 
15,767  Perrigo Co. PLC   711,880 
       5,555,855 
         
   Professional Services — 1.8%     
13,192  ASGN, Inc. (a)   1,578,555 
18,810  Booz Allen Hamilton Holding Corp.   1,633,836 
14,236  CACI International, Inc., Class A (a)   4,094,843 
44,393  Dun & Bradstreet Holdings, Inc. (a)   836,364 
19,786  Exponent, Inc.   2,271,433 
16,620  FTI Consulting, Inc. (a)   2,391,950 
13,784  ManpowerGroup, Inc.   1,332,224 
7,438  Robert Half International, Inc.   841,015 
26,166  Science Applications International Corp.   2,349,183 
7,891  TriNet Group, Inc. (a)   798,964 
16,573  Upwork, Inc. (a)   780,920 
       18,909,287 
         
   Real Estate Management & Development — 0.7%     
75,057  eXp World Holdings, Inc.   3,872,941 
16,996  Howard Hughes (The) Corp. (a)   1,480,862 
9,023  Jones Lang LaSalle, Inc. (a)   2,330,009 
       7,683,812 
         
   Road & Rail — 1.8%     
5,776  AMERCO   4,256,854 
32,027  Avis Budget Group, Inc. (a)   5,550,599 
72,948  Knight-Swift Transportation Holdings, Inc.   4,135,422 
9,457  Landstar System, Inc.   1,662,635 
12,540  Saia, Inc. (a)   3,920,506 
       19,526,016 
         
   Semiconductors & Semiconductor Equipment — 2.3%     
149,550  Amkor Technology, Inc.   3,278,136 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Semiconductors & Semiconductor Equipment (Continued)     
36,456  Brooks Automation, Inc.  $4,245,301 
9,062  Cirrus Logic, Inc. (a)   732,300 
15,634  First Solar, Inc. (a)   1,869,670 
46,172  Lattice Semiconductor Corp. (a)   3,206,184 
46,016  MACOM Technology Solutions Holdings, Inc. (a)   3,212,837 
4,945  MKS Instruments, Inc.   741,997 
37,693  Power Integrations, Inc.   3,890,295 
16,608  Synaptics, Inc. (a)   3,231,419 
       24,408,139 
         
   Software — 4.8%     
24,511  Anaplan, Inc. (a)   1,598,362 
35,933  Asana, Inc., Class A (a)   4,879,702 
12,810  Avalara, Inc. (a)   2,301,189 
12,643  Blackline, Inc. (a)   1,604,018 
17,539  CDK Global, Inc.   763,297 
10,854  Digital Turbine, Inc. (a)   934,095 
76,617  Dropbox, Inc., Class A (a)   2,336,052 
16,868  Duck Creek Technologies, Inc. (a)   531,342 
15,026  Elastic N.V. (a)   2,607,161 
14,822  Everbridge, Inc. (a)   2,361,293 
12,660  LivePerson, Inc. (a)   652,117 
9,754  Manhattan Associates, Inc. (a)   1,770,741 
21,012  nCino, Inc. (a)   1,526,732 
38,506  NCR Corp. (a)   1,522,527 
20,796  New Relic, Inc. (a)   1,687,804 
59,384  Nutanix, Inc., Class A (a)   2,037,465 
10,645  Paylocity Holding Corp. (a)   3,248,215 
5,871  Pegasystems, Inc.   697,005 
26,412  Rapid7, Inc. (a)   3,400,545 
21,688  Smartsheet, Inc., Class A (a)   1,496,689 
48,521  Tenable Holdings, Inc. (a)   2,583,743 
65,061  Teradata Corp. (a)   3,679,850 
36,791  Varonis Systems, Inc. (a)   2,381,849 
26,471  Workiva, Inc. (a)   3,958,738 
       50,560,531 
         
   Specialty Retail — 3.9%     
7,144  Advance Auto Parts, Inc.   1,611,115 
57,849  American Eagle Outfitters, Inc. (b)   1,373,335 
30,644  AutoNation, Inc. (a)   3,711,601 
31,154  Dick’s Sporting Goods, Inc. (b)   3,869,638 
4,221  Five Below, Inc. (a)   832,803 
30,890  Floor & Decor Holdings, Inc., Class A (a)   4,198,569 
81,718  Foot Locker, Inc.   3,895,497 
4,252  GameStop Corp., Class A (a) (b)   780,285 
131,499  Gap (The), Inc.   2,983,712 
11,769  Lithia Motors, Inc.   3,756,900 
65,727  National Vision Holdings, Inc. (a)   4,051,412 

 

 

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Specialty Retail (Continued)     
37,090  Penske Automotive Group, Inc.  $3,933,395 
4,476  RH (a)   2,952,504 
21,042  Williams-Sonoma, Inc.   3,908,131 
       41,858,897 
         
   Technology Hardware, Storage & Peripherals — 0.6%     
118,641  Pure Storage, Inc., Class A (a)   3,186,697 
184,991  Xerox Holdings Corp.   3,292,840 
       6,479,537 
         
   Textiles, Apparel & Luxury Goods — 2.1%     
30,698  Carter’s, Inc.   3,024,367 
23,360  Columbia Sportswear Co.   2,425,702 
26,006  Crocs, Inc. (a)   4,198,669 
6,215  Deckers Outdoor Corp. (a)   2,456,852 
21,779  PVH Corp. (a)   2,381,098 
6,720  Ralph Lauren Corp.   854,582 
53,152  Skechers U.S.A., Inc., Class A (a)   2,456,154 
40,315  Tapestry, Inc.   1,571,479 
110,939  Under Armour, Inc., Class A (a)   2,436,220 
       21,805,123 
         
   Thrifts & Mortgage Finance — 1.8%     
84,781  Essent Group Ltd.   4,069,488 
249,416  MGIC Investment Corp.   4,030,563 
231,935  New York Community Bancorp, Inc.   2,882,952 
61,038  PennyMac Financial Services, Inc.   3,788,018 
164,229  Radian Group, Inc.   3,920,146 
       18,691,167 
         
   Trading Companies & Distributors — 1.5%     
94,847  Air Lease Corp.   3,798,622 
18,613  MSC Industrial Direct Co., Inc., Class A   1,564,795 
18,706  SiteOne Landscape Supply, Inc. (a)   4,395,162 
93,987  Univar Solutions, Inc. (a)   2,404,187 
2,819  Watsco, Inc.   816,326 
19,414  WESCO International, Inc. (a)   2,515,278 
       15,494,370 
         
   Water Utilities — 0.1%     
32,390  Essential Utilities, Inc.   1,524,597 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Total Common Stocks — 99.9%  $1,057,814,583 
   (Cost $873,389,518)     
         
   Money Market Funds — 0.4%     
2,767,436  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   2,767,436 
1,152,414  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)   1,152,414 
   Total Money Market Funds — 0.4%   3,919,850 
   (Cost $3,919,850)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.3%     
$ 3,604,116  BNP Paribas S.A., 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $3,604,124. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $3,679,943. (d)   3,604,116 
   (Cost $3,604,116)     
         
   Total Investments — 100.6%   1,065,338,549 
   (Cost $880,913,484) (e)     
   Net Other Assets and Liabilities — (0.6)%   (6,715,155)
   Net Assets — 100.0%  $1,058,623,394 

 

  

(a) Non-income producing security.

 

 

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

(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 $6,032,503 and the total value of the collateral held by the Fund is $6,371,552.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $199,598,921 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $15,173,856. The net unrealized appreciation was $184,425,065.

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

  

   Total
Value at
10/31/2021
 

Level 1

Quoted
Prices

 

Level 2

Significant Observable Inputs

 

Level 3

Significant Unobservable Inputs

Common Stocks*  $1,057,814,583   $1,057,814,583   $—     $—   
Money Market Funds   3,919,850    3,919,850    —      —   
Repurchase Agreements   3,604,116    —      3,604,116    —   
Total Investments  $1,065,338,549   $1,061,734,433   $3,604,116   $—   

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

First Trust Small Cap Core AlphaDEX® Fund (FYX)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Aerospace & Defense — 0.5%     
61,461  Maxar Technologies, Inc.  $1,631,790 
24,471  Mercury Systems, Inc. (a)   1,261,235 
15,222  Moog, Inc., Class A   1,149,718 
34,371  Parsons Corp. (a)   1,190,611 
       5,233,354 
         
   Air Freight & Logistics — 0.8%     
89,916  Air Transport Services Group, Inc. (a)   2,238,009 
35,516  Atlas Air Worldwide Holdings, Inc. (a)   2,881,058 
6,989  Forward Air Corp.   702,814 
25,318  Hub Group, Inc., Class A (a)   1,989,235 
       7,811,116 
         
   Airlines — 0.3%     
2,968  Allegiant Travel Co. (a)   520,201 
47,036  SkyWest, Inc. (a)   2,023,959 
       2,544,160 
         
   Auto Components — 1.6%     
55,990  Adient PLC (a)   2,330,304 
104,350  Dana, Inc.   2,315,526 
12,257  Dorman Products, Inc. (a)   1,279,386 
35,845  Gentherm, Inc. (a)   2,639,267 
12,928  LCI Industries   1,805,266 
27,860  Patrick Industries, Inc.   2,170,572 
6,148  Visteon Corp. (a)   695,831 
30,593  XPEL, Inc. (a) (b)   2,322,009 
       15,558,161 
         
   Automobiles — 0.2%     
32,032  Winnebago Industries, Inc.   2,168,246 
         
         
   Banks — 9.7%     
44,733  Ameris Bancorp   2,343,562 
81,258  Associated Banc-Corp.   1,810,428 
62,977  Atlantic Union Bankshares Corp.   2,258,985 
19,301  BancFirst Corp.   1,254,758 
7,061  Bank of Hawaii Corp.   596,654 
41,620  BankUnited, Inc.   1,688,107 
31,526  Banner Corp.   1,820,942 
77,930  Cadence Bank   2,261,529 
42,053  Cathay General Bancorp   1,774,216 
45,817  Columbia Banking System, Inc.   1,563,734 
16,960  Community Bank System, Inc.   1,215,523 
85,447  CVB Financial Corp.   1,710,649 
30,271  Eagle Bancorp, Inc.   1,713,036 
28,581  Eastern Bankshares, Inc.   593,627 
25,626  Enterprise Financial Services Corp.   1,204,935 
149,790  F.N.B. Corp.   1,745,053 
27,061  FB Financial Corp.   1,226,675 
132,363  First BanCorp   1,806,755 
74,351  First Financial Bancorp   1,768,067 
39,536  First Hawaiian, Inc.   1,090,798 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Banks (Continued)     
43,233  First Interstate BancSystem, Inc., Class A  $1,797,196 
41,600  First Merchants Corp.   1,729,728 
151,882  Fulton Financial Corp.   2,445,300 
36,939  Hancock Whitney Corp.   1,827,742 
48,268  Heartland Financial USA, Inc.   2,419,192 
88,795  Hilltop Holdings, Inc.   3,146,895 
73,972  Home BancShares, Inc.   1,757,575 
120,538  Hope Bancorp, Inc.   1,758,649 
15,239  Independent Bank Corp.   1,287,695 
24,502  Independent Bank Group, Inc.   1,771,250 
55,733  International Bancshares Corp.   2,363,079 
8,144  Lakeland Financial Corp.   585,309 
27,354  Live Oak Bancshares, Inc.   2,439,430 
48,188  NBT Bancorp, Inc.   1,768,018 
136,917  Old National Bancorp   2,338,542 
42,002  Pacific Premier Bancorp, Inc.   1,763,664 
9,515  Park National Corp.   1,223,534 
48,282  Renasant Corp.   1,806,230 
50,649  Sandy Spring Bancorp, Inc.   2,403,802 
34,321  Seacoast Banking Corp. of Florida   1,250,314 
29,829  ServisFirst Bancshares, Inc.   2,395,567 
5,023  Silvergate Capital Corp., Class A (a)   786,702 
58,882  Simmons First National Corp., Class A   1,759,983 
28,999  Texas Capital Bancshares, Inc. (a)   1,757,339 
55,949  TowneBank   1,763,512 
28,972  Triumph Bancorp, Inc. (a)   3,398,416 
72,028  Trustmark Corp.   2,291,211 
53,034  United Community Banks, Inc.   1,847,705 
44,221  Veritex Holdings, Inc.   1,810,850 
68,097  WesBanco, Inc.   2,367,733 
20,626  Westamerica BanCorp   1,150,106 
28,876  Wintrust Financial Corp.   2,555,526 
       93,215,827 
         
   Beverages — 0.3%     
7,360  Coca-Cola Consolidated, Inc.   2,954,304 
         
         
   Biotechnology — 3.7%     
76,273  Alector, Inc. (a)   1,658,175 
7,855  ALX Oncology Holdings, Inc. (a)   440,194 
60,752  Amicus Therapeutics, Inc. (a)   637,896 
83,193  Arcus Biosciences, Inc. (a)   2,781,974 
80,693  Avid Bioservices, Inc. (a)   2,475,661 
161,499  BioCryst Pharmaceuticals, Inc. (a)   2,411,180 
53,731  Celldex Therapeutics, Inc. (a)   2,285,717 
81,168  Cytokinetics, Inc. (a)   2,833,575 
14,123  Editas Medicine, Inc. (a)   518,596 
57,937  Emergent BioSolutions, Inc. (a)   2,761,857 
177,699  Ironwood Pharmaceuticals, Inc. (a)   2,269,216 
49,386  Kymera Therapeutics, Inc. (a)   2,907,848 
4,164  Ligand Pharmaceuticals, Inc. (a)   607,694 
20,487  Morphic Holding, Inc. (a)   1,178,002 

 

 

First Trust Small Cap Core AlphaDEX® Fund (FYX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Biotechnology (Continued)     
35,936  Myriad Genetics, Inc. (a)  $1,105,751 
317,911  OPKO Health, Inc. (a)   1,204,883 
81,486  Organogenesis Holdings, Inc. (a)   894,716 
40,726  Prothena Corp. PLC (a)   2,254,184 
65,469  Sage Therapeutics, Inc. (a)   2,642,329 
12,491  Veracyte, Inc. (a)   598,069 
11,889  Vericel Corp. (a)   547,132 
17,764  Xencor, Inc. (a)   702,744 
       35,717,393 
         
   Building Products — 0.6%     
8,879  AAON, Inc.   636,180 
79,423  Cornerstone Building Brands, Inc. (a)   1,136,543 
13,630  CSW Industrials, Inc.   1,889,391 
8,330  Gibraltar Industries, Inc. (a)   542,783 
69,539  JELD-WEN Holding, Inc. (a)   1,906,064 
       6,110,961 
         
   Capital Markets — 3.6%     
23,720  Artisan Partners Asset Management, Inc., Class A   1,175,089 
23,329  AssetMark Financial Holdings, Inc. (a)   598,156 
39,308  B. Riley Financial, Inc.   2,816,811 
222,721  BGC Partners, Inc., Class A   1,196,012 
111,019  Brightsphere Investment Group, Inc.   3,328,350 
20,777  Cohen & Steers, Inc.   1,971,530 
71,407  Federated Hermes, Inc.   2,378,567 
33,235  Focus Financial Partners, Inc., Class A (a)   2,089,152 
183,487  Golub Capital BDC, Inc. (c)   2,913,774 
6,841  Hamilton Lane, Inc., Class A   714,953 
46,887  Moelis & Co., Class A   3,410,560 
20,951  Piper Sandler Cos.   3,450,420 
29,336  PJT Partners, Inc., Class A   2,399,391 
68,032  StepStone Group, Inc., Class A   3,196,143 
9,349  Virtus Investment Partners, Inc.   2,991,680 
       34,630,588 
         
   Chemicals — 1.9%     
11,576  Cabot Corp.   617,580 
105,873  GCP Applied Technologies, Inc. (a)   2,393,789 
17,973  H.B. Fuller Co.   1,267,276 
24,388  Ingevity Corp. (a)   1,900,069 
13,779  Innospec, Inc.   1,248,515 
140,255  Kronos Worldwide, Inc.   1,827,523 
100,422  Livent Corp. (a)   2,833,909 
33,229  Minerals Technologies, Inc.   2,357,265 
5,139  NewMarket Corp.   1,747,311 
6,370  Sensient Technologies Corp.   608,972 
15,411  Stepan Co.   1,849,628 
       18,651,837 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Commercial Services & Supplies — 1.8%     
25,780  ABM Industries, Inc.  $1,134,578 
34,331  Brady Corp., Class A   1,788,302 
117,924  BrightView Holdings, Inc. (a)   1,870,275 
9,166  Brink’s (The) Co.   631,354 
22,920  Casella Waste Systems, Inc., Class A (a)   1,987,622 
48,497  Deluxe Corp.   1,729,888 
68,459  Harsco Corp. (a)   1,170,649 
46,434  Healthcare Services Group, Inc.   891,068 
15,406  Herman Miller, Inc.   599,601 
47,401  HNI Corp.   1,772,797 
141,595  KAR Auction Services, Inc. (a)   2,077,199 
8,187  UniFirst Corp.   1,620,699 
       17,274,032 
         
   Communications Equipment — 0.7%     
58,688  Calix, Inc. (a)   3,673,282 
43,056  NetScout Systems, Inc. (a)   1,165,095 
21,071  Viasat, Inc. (a)   1,257,728 
36,860  Viavi Solutions, Inc. (a)   567,644 
       6,663,749 
         
   Construction & Engineering — 1.5%     
29,789  Ameresco, Inc., Class A (a)   2,446,571 
34,693  Arcosa, Inc.   1,794,669 
24,404  Comfort Systems USA, Inc.   2,232,234 
16,288  Dycom Industries, Inc. (a)   1,293,593 
14,670  Granite Construction, Inc.   544,550 
29,155  MYR Group, Inc. (a)   2,978,183 
118,454  Primoris Services Corp.   3,192,335 
       14,482,135 
         
   Construction Materials — 0.2%     
54,444  Summit Materials, Inc., Class A (a)   1,940,929 
         
         
   Consumer Finance — 2.0%     
58,879  Encore Capital Group, Inc. (a)   3,180,644 
13,261  FirstCash, Inc.   1,173,201 
11,527  Green Dot Corp., Class A (a)   488,284 
82,179  LendingClub Corp. (a)   3,776,947 
117,625  Navient Corp.   2,317,212 
36,609  Nelnet, Inc., Class A   3,025,002 
55,073  PRA Group, Inc. (a)   2,361,530 
69,054  PROG Holdings, Inc.   2,793,234 
       19,116,054 
         
   Containers & Packaging — 0.7%     
35,925  Greif, Inc., Class A   2,323,629 
81,316  O-I Glass, Inc. (a)   1,061,174 
46,342  Pactiv Evergreen, Inc.   644,617 
86,532  Ranpak Holdings Corp. (a)   2,981,893 
       7,011,313 
         

 

 

First Trust Small Cap Core AlphaDEX® Fund (FYX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Diversified Consumer Services — 0.7%     
46,034  Adtalem Global Education, Inc. (a)  $1,700,036 
4,923  Graham Holdings Co., Class B   2,884,139 
32,919  Strategic Education, Inc.   2,245,405 
       6,829,580 
         
   Diversified Financial Services — 0.3%     
93,247  Cannae Holdings, Inc. (a)   3,179,723 
         
         
   Diversified Telecommunication Services — 0.3%     
347,417  Globalstar, Inc. (a) (c)   573,238 
176,886  Liberty Latin America Ltd., Class C (a)   2,127,939 
       2,701,177 
         
   Electric Utilities — 0.6%     
38,991  ALLETE, Inc.   2,399,506 
15,788  MGE Energy, Inc.   1,198,151 
31,099  Otter Tail Corp.   1,928,449 
       5,526,106 
         
   Electrical Equipment — 1.2%     
33,374  Atkore, Inc. (a)   3,154,844 
30,591  Encore Wire Corp.   4,101,030 
112,439  GrafTech International Ltd.   1,203,097 
17,298  Vicor Corp. (a)   2,622,204 
       11,081,175 
         
   Electronic Equipment, Instruments & Components — 2.6%     
6,612  Advanced Energy Industries, Inc.   607,114 
78,467  Avnet, Inc.   2,990,377 
17,210  Badger Meter, Inc.   1,759,723 
19,917  Belden, Inc.   1,199,203 
12,882  Insight Enterprises, Inc. (a)   1,219,926 
92,880  Knowles Corp. (a)   1,935,619 
68,988  Methode Electronics, Inc.   2,902,325 
12,240  OSI Systems, Inc. (a)   1,139,666 
19,468  Plexus Corp. (a)   1,699,946 
6,223  Rogers Corp. (a)   1,251,570 
75,271  Sanmina Corp. (a)   2,841,480 
184,626  TTM Technologies, Inc. (a)   2,444,448 
144,396  Vishay Intertechnology, Inc.   2,775,291 
       24,766,688 
         
   Energy Equipment & Services — 0.7%     
15,381  Cactus, Inc., Class A   669,073 
20,908  Core Laboratories N.V.   543,817 
21,167  Helmerich & Payne, Inc.   657,024 
47,831  Liberty Oilfield Services, Inc., Class A (a)   617,977 
128,929  Patterson-UTI Energy, Inc.   1,103,632 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Energy Equipment & Services (Continued)     
765,417  Transocean Ltd. (a)  $2,701,922 
       6,293,445 
         
   Entertainment — 0.1%     
7,984  Madison Square Garden Entertainment Corp. (a)   562,633 
10,312  World Wrestling Entertainment, Inc., Class A   629,960 
       1,192,593 
         
   Equity Real Estate Investment Trusts — 4.9%     
28,426  Acadia Realty Trust   607,748 
15,504  American Assets Trust, Inc.   586,516 
36,885  Apple Hospitality REIT, Inc.   579,463 
216,165  Brandywine Realty Trust   2,864,186 
23,385  Broadstone Net Lease, Inc.   621,807 
43,009  Corporate Office Properties Trust   1,166,404 
96,217  DigitalBridge Group, Inc. (a)   644,654 
11,749  EPR Properties   589,917 
22,332  Equity Commonwealth (a)   579,069 
20,780  Essential Properties Realty Trust, Inc.   619,036 
108,650  Global Net Lease, Inc.   1,740,573 
44,171  Hudson Pacific Properties, Inc.   1,137,403 
85,532  Independence Realty Trust, Inc.   2,021,121 
68,499  Industrial Logistics Properties Trust   1,924,137 
92,533  iStar, Inc. (c)   2,335,533 
28,497  Kite Realty Group Trust   578,489 
182,020  Lexington Realty Trust   2,652,031 
73,232  LTC Properties, Inc.   2,333,172 
69,441  Macerich (The) Co.   1,256,188 
33,889  Mack-Cali Realty Corp. (a)   616,441 
43,379  National Health Investors, Inc.   2,332,923 
18,752  NexPoint Residential Trust, Inc.   1,328,017 
69,070  Outfront Media, Inc.   1,719,152 
193,611  Paramount Group, Inc.   1,641,821 
25,890  Pebblebrook Hotel Trust   581,489 
65,856  Physicians Realty Trust   1,251,923 
99,860  Piedmont Office Realty Trust, Inc., Class A   1,773,514 
56,241  PotlatchDeltic Corp.   2,939,717 
33,306  Retail Opportunity Investments Corp.   591,848 
39,043  RLJ Lodging Trust   563,000 
78,829  Sabra Health Care REIT, Inc.   1,115,430 
51,756  Service Properties Trust   557,412 
75,154  SITE Centers Corp.   1,194,197 
35,594  Tanger Factory Outlet Centers, Inc. (c)   597,979 
93,806  Uniti Group, Inc.   1,342,364 
63,373  Urban Edge Properties   1,110,929 
23,442  Washington Real Estate Investment Trust   594,255 

 

 

First Trust Small Cap Core AlphaDEX® Fund (FYX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Equity Real Estate Investment Trusts (Continued)     
32,705  Xenia Hotels & Resorts, Inc. (a)  $582,149 
       47,272,007 
         
   Food & Staples Retailing — 0.7%     
53,796  Grocery Outlet Holding Corp. (a)   1,193,733 
14,962  PriceSmart, Inc.   1,076,516 
100,162  Sprouts Farmers Market, Inc. (a)   2,217,587 
47,929  United Natural Foods, Inc. (a)   2,079,639 
       6,567,475 
         
   Food Products — 1.2%     
38,821  B&G Foods, Inc. (c)   1,142,890 
16,045  Cal-Maine Foods, Inc.   578,583 
90,035  Fresh Del Monte Produce, Inc.   3,015,272 
13,562  Hain Celestial Group (The), Inc. (a)   608,527 
100,205  Hostess Brands, Inc. (a)   1,894,877 
3,797  J & J Snack Foods Corp.   560,247 
50,465  Simply Good Foods (The) Co. (a)   2,000,937 
43,644  TreeHouse Foods, Inc. (a)   1,577,294 
       11,378,627 
         
   Gas Utilities — 1.6%     
9,666  Chesapeake Utilities Corp.   1,266,923 
351,441  Macquarie Infrastructure Holdings LLC   1,296,817 
33,334  New Jersey Resources Corp.   1,260,358 
50,461  Northwest Natural Holding Co.   2,275,286 
36,622  ONE Gas, Inc.   2,464,661 
109,160  South Jersey Industries, Inc.   2,484,482 
34,701  Southwest Gas Holdings, Inc.   2,403,044 
37,934  Spire, Inc.   2,380,738 
       15,832,309 
         
   Health Care Equipment & Supplies — 1.8%     
8,343  AtriCure, Inc. (a)   626,226 
18,596  Avanos Medical, Inc. (a)   586,518 
17,828  Axonics, Inc. (a)   1,307,684 
27,419  BioLife Solutions, Inc. (a)   1,457,320 
8,869  CONMED Corp.   1,297,357 
34,894  CryoPort, Inc. (a)   2,845,257 
8,219  Haemonetics Corp. (a)   564,727 
11,221  Heska Corp. (a)   2,508,230 
12,989  Integer Holdings Corp. (a)   1,169,270 
67,779  Lantheus Holdings, Inc. (a)   1,585,351 
8,080  Merit Medical Systems, Inc. (a)   543,461 
9,694  NuVasive, Inc. (a)   517,272 
11,735  Outset Medical, Inc. (a)   625,123 
21,086  Silk Road Medical, Inc. (a)   1,237,959 
       16,871,755 
         
   Health Care Providers & Services — 2.1%     
152,360  Agiliti, Inc. (a)   3,435,718 
49,589  Community Health Systems, Inc. (a)   649,616 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Providers & Services (Continued)     
12,462  CorVel Corp. (a)  $2,283,288 
31,984  Covetrus, Inc. (a)   645,757 
25,800  Fulgent Genetics, Inc. (a) (c)   2,139,336 
15,972  ModivCare, Inc. (a)   2,599,763 
119,577  Option Care Health, Inc. (a)   3,268,039 
38,500  Patterson Cos., Inc.   1,203,510 
79,179  RadNet, Inc. (a)   2,461,675 
10,491  US Physical Therapy, Inc.   1,131,559 
       19,818,261 
         
   Health Care Technology — 0.6%     
43,394  Allscripts Healthcare Solutions, Inc. (a)   597,969 
93,579  Evolent Health, Inc., Class A (a)   2,739,058 
14,143  GoodRx Holdings, Inc., Class A (a)   630,778 
11,602  Health Catalyst, Inc. (a)   610,729 
18,807  Phreesia, Inc. (a)   1,326,646 
       5,905,180 
         
   Hotels, Restaurants & Leisure — 1.9%     
11,572  Bally’s Corp. (a)   530,113 
46,415  Bloomin’ Brands, Inc. (a)   1,003,492 
11,828  Brinker International, Inc. (a)   496,303 
12,344  Cheesecake Factory (The), Inc. (a)   501,660 
12,447  Cracker Barrel Old Country Store, Inc.   1,657,567 
15,137  Dave & Buster’s Entertainment, Inc. (a)   562,037 
119,972  Everi Holdings, Inc. (a)   2,879,328 
36,589  Hilton Grand Vacations, Inc. (a)   1,839,695 
5,961  Jack in the Box, Inc.   589,841 
18,275  Papa John’s International, Inc.   2,267,562 
56,637  Red Rock Resorts, Inc., Class A (a)   3,081,619 
31,464  SeaWorld Entertainment, Inc. (a)   1,997,964 
13,651  Six Flags Entertainment Corp. (a)   561,466 
       17,968,647 
         
   Household Durables — 3.3%     
4,901  Cavco Industries, Inc. (a)   1,178,102 
47,209  Century Communities, Inc.   3,165,836 
5,415  Installed Building Products, Inc.   687,976 
22,172  iRobot Corp. (a)   1,849,588 
74,536  KB Home   2,992,620 
72,006  La-Z-Boy, Inc.   2,393,480 
62,092  M.D.C. Holdings, Inc.   3,041,266 
50,190  M/I Homes, Inc. (a)   2,873,879 
29,907  Meritage Homes Corp. (a)   3,251,190 
48,300  Skyline Champion Corp. (a)   3,058,356 
112,527  Taylor Morrison Home Corp. (a)   3,435,449 
138,009  Tri Pointe Homes, Inc. (a)   3,338,438 
       31,266,180 
         

 

 

First Trust Small Cap Core AlphaDEX® Fund (FYX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Household Products — 0.4%     
53,971  Central Garden & Pet Co., Class A (a)  $2,493,460 
12,128  Spectrum Brands Holdings, Inc.   1,137,000 
       3,630,460 
         
   Independent Power and Renewable Electricity Producers — 0.3%     
38,334  Clearway Energy, Inc., Class C   1,360,090 
17,421  Ormat Technologies, Inc.   1,260,061 
       2,620,151 
         
   Insurance — 3.4%     
98,104  American Equity Investment Life Holding Co.   3,126,575 
22,221  Argo Group International Holdings Ltd.   1,224,377 
49,578  Assured Guaranty Ltd.   2,755,545 
12,828  Brighthouse Financial, Inc. (a)   644,350 
123,234  CNO Financial Group, Inc.   2,974,869 
773,583  Genworth Financial, Inc., Class A (a)   3,179,426 
15,240  Goosehead Insurance, Inc., Class A   2,199,132 
58,325  Horace Mann Educators Corp.   2,285,174 
3,589  Kinsale Capital Group, Inc.   671,681 
52,109  Mercury General Corp.   2,839,419 
14,355  Palomar Holdings, Inc. (a)   1,312,765 
313,276  SiriusPoint Ltd. (a)   2,944,794 
45,857  Stewart Information Services Corp.   3,263,643 
2,712  White Mountains Insurance Group Ltd.   2,861,133 
       32,282,883 
         
   Interactive Media & Services — 0.5%     
73,886  Cargurus, Inc. (a)   2,478,136 
72,644  fuboTV, Inc. (a) (c)   2,165,518 
15,580  Yelp, Inc. (a)   601,855 
       5,245,509 
         
   Internet & Direct Marketing Retail — 0.6%     
7,446  Overstock.com, Inc. (a)   709,082 
28,178  Revolve Group, Inc. (a)   2,114,477 
20,480  Shutterstock, Inc.   2,481,152 
14,523  Stitch Fix, Inc., Class A (a)   502,496 
       5,807,207 
         
   IT Services — 1.6%     
24,074  CSG Systems International, Inc.   1,204,904 
38,069  EVERTEC, Inc.   1,721,099 
18,850  ExlService Holdings, Inc. (a)   2,311,575 
25,073  Perficient, Inc. (a)   3,099,023 
173,397  SolarWinds Corp.   2,791,692 
68,553  Switch, Inc., Class A   1,733,020 
69,234  Unisys Corp. (a)   1,770,313 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   IT Services (Continued)     
38,500  Verra Mobility Corp. (a)  $572,880 
       15,204,506 
         
   Leisure Products — 0.8%     
49,695  Acushnet Holdings Corp.   2,531,463 
24,873  Malibu Boats, Inc., Class A (a)   1,756,283 
71,966  Vista Outdoor, Inc. (a)   3,011,057 
       7,298,803 
         
   Machinery — 3.8%     
8,316  Alamo Group, Inc.   1,257,379 
15,095  Albany International Corp., Class A   1,217,412 
31,446  Altra Industrial Motion Corp.   1,639,909 
41,711  Barnes Group, Inc.   1,749,359 
27,987  Enerpac Tool Group Corp.   584,648 
6,660  EnPro Industries, Inc.   597,136 
7,535  ESCO Technologies, Inc.   637,160 
61,788  Evoqua Water Technologies Corp. (a)   2,584,592 
30,045  Federal Signal Corp.   1,286,226 
14,532  Franklin Electric Co., Inc.   1,255,274 
35,330  Helios Technologies, Inc.   3,216,797 
40,810  Hillenbrand, Inc.   1,855,223 
11,371  Kadant, Inc.   2,525,727 
50,849  Kennametal, Inc.   2,021,248 
7,645  Lindsay Corp.   1,113,647 
108,904  Meritor, Inc. (a)   2,650,723 
70,582  Mueller Industries, Inc.   3,715,437 
38,120  Mueller Water Products, Inc., Class A   625,549 
17,424  Proto Labs, Inc. (a)   1,042,129 
21,710  SPX Corp. (a)   1,261,134 
7,937  SPX FLOW, Inc.   592,973 
15,692  Tennant Co.   1,246,886 
27,563  Terex Corp.   1,234,822 
21,353  Trinity Industries, Inc.   598,952 
       36,510,342 
         
   Marine — 0.6%     
48,389  Kirby Corp. (a)   2,536,067 
35,942  Matson, Inc.   2,993,250 
       5,529,317 
         
   Media — 2.0%     
67,074  Advantage Solutions, Inc. (a)   572,812 
49,812  AMC Networks, Inc., Class A (a)   1,982,020 
127,122  Gray Television, Inc.   2,979,740 
69,567  iHeartMedia, Inc., Class A (a)   1,348,208 
33,338  John Wiley & Sons, Inc., Class A   1,805,919 
20,721  Magnite, Inc. (a)   560,089 
73,256  Sinclair Broadcast Group, Inc., Class A   1,914,179 
28,158  TechTarget, Inc. (a)   2,655,581 
147,106  TEGNA, Inc.   2,892,104 

 

 

First Trust Small Cap Core AlphaDEX® Fund (FYX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Media (Continued)     
118,105  WideOpenWest, Inc. (a)  $2,249,900 
       18,960,552 
         
   Metals & Mining — 1.1%     
34,888  Allegheny Technologies, Inc. (a)   561,697 
17,721  Carpenter Technology Corp.   547,225 
376,134  Coeur Mining, Inc. (a)   2,380,928 
95,238  Commercial Metals Co.   3,064,759 
15,974  Kaiser Aluminum Corp.   1,551,714 
44,037  Worthington Industries, Inc.   2,392,090 
       10,498,413 
         
   Mortgage Real Estate Investment Trusts — 2.0%     
156,490  Apollo Commercial Real Estate Finance, Inc.   2,369,259 
93,931  Arbor Realty Trust, Inc. (c)   1,888,952 
195,349  Chimera Investment Corp.   3,049,398 
634,778  MFA Financial, Inc.   2,862,849 
680,970  New York Mortgage Trust, Inc.   2,989,458 
147,330  PennyMac Mortgage Investment Trust   2,968,700 
457,560  Two Harbors Investment Corp.   2,937,535 
       19,066,151 
         
   Multiline Retail — 0.7%     
66,904  Big Lots, Inc.   2,960,502 
16,815  Dillard’s, Inc., Class A   3,886,619 
       6,847,121 
         
   Multi-Utilities — 0.5%     
59,323  Avista Corp.   2,361,649 
40,503  NorthWestern Corp.   2,303,000 
       4,664,649 
         
   Oil, Gas & Consumable Fuels — 4.9%     
70,754  California Resources Corp. (a)   3,263,882 
59,106  Callon Petroleum Co. (a)   3,057,553 
91,946  CNX Resources Corp. (a)   1,343,331 
41,294  Denbury, Inc. (a)   3,495,950 
228,871  Equitrans Midstream Corp.   2,359,660 
17,769  Green Plains, Inc. (a)   674,334 
130,452  Magnolia Oil & Gas Corp., Class A   2,723,838 
76,259  Matador Resources Co.   3,191,439 
23,235  Murphy Oil Corp.   646,630 
29,178  Oasis Petroleum, Inc.   3,518,867 
61,215  PDC Energy, Inc.   3,202,157 
128,190  Range Resources Corp. (a)   2,989,391 
46,230  Renewable Energy Group, Inc. (a)   2,958,720 
109,967  SM Energy Co.   3,774,067 
523,634  Southwestern Energy Co. (a)   2,555,334 
445,156  Tellurian, Inc. (a)   1,745,011 
49,665  Whiting Petroleum Corp. (a)   3,234,681 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Oil, Gas & Consumable Fuels (Continued)     
69,028  World Fuel Services Corp.  $2,107,425 
       46,842,270 
         
   Personal Products — 1.0%     
47,950  Edgewell Personal Care Co.   1,677,771 
31,038  Inter Parfums, Inc.   2,867,290 
3,012  Medifast, Inc.   591,165 
71,681  Nu Skin Enterprises, Inc., Class A   2,877,992 
18,878  USANA Health Sciences, Inc. (a)   1,832,299 
       9,846,517 
         
   Pharmaceuticals — 0.6%     
60,546  Harmony Biosciences Holdings, Inc. (a)   2,510,843 
31,126  Intra-Cellular Therapies, Inc. (a)   1,340,597 
31,020  Prestige Consumer Healthcare, Inc. (a)   1,860,890 
20,826  Revance Therapeutics, Inc. (a)   286,357 
       5,998,687 
         
   Professional Services — 0.9%     
35,881  CBIZ, Inc. (a)   1,317,191 
12,996  ICF International, Inc.   1,305,968 
5,239  Insperity, Inc.   654,875 
40,090  Korn Ferry   3,095,349 
22,926  ManTech International Corp., Class A   1,976,680 
       8,350,063 
         
   Real Estate Management & Development — 1.1%     
27,734  Kennedy-Wilson Holdings, Inc.   620,410 
42,849  Marcus & Millichap, Inc. (a)   2,018,188 
202,721  Newmark Group, Inc., Class A   3,016,488 
165,390  Realogy Holdings Corp. (a)   2,864,555 
41,344  St Joe (The) Co.   1,943,995 
       10,463,636 
         
   Road & Rail — 1.2%     
28,381  ArcBest Corp.   2,550,033 
28,059  Ryder System, Inc.   2,383,612 
127,570  Schneider National, Inc., Class B   3,181,596 
65,528  Werner Enterprises, Inc.   2,969,729 
       11,084,970 
         
   Semiconductors & Semiconductor Equipment — 2.7%     
21,098  ACM Research, Inc., Class A (a)   2,239,975 
14,901  Ambarella, Inc. (a)   2,769,053 
36,330  Cohu, Inc. (a)   1,164,013 
32,023  Diodes, Inc. (a)   3,077,090 
31,085  FormFactor, Inc. (a)   1,236,561 
58,902  MaxLinear, Inc. (a)   3,710,826 
32,121  Onto Innovation, Inc. (a)   2,544,304 
52,269  Rambus, Inc. (a)   1,216,300 

 

 

First Trust Small Cap Core AlphaDEX® Fund (FYX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Semiconductors & Semiconductor Equipment (Continued)     
29,765  Semtech Corp. (a)  $2,530,918 
14,209  SiTime Corp. (a)   3,763,822 
27,239  Ultra Clean Holdings, Inc. (a)   1,350,237 
       25,603,099 
         
   Software — 3.6%     
18,880  ACI Worldwide, Inc. (a)   579,238 
7,420  Alarm.com Holdings, Inc. (a)   625,209 
16,832  Altair Engineering, Inc., Class A (a)   1,309,361 
8,247  Blackbaud, Inc. (a)   585,619 
49,023  Box, Inc., Class A (a)   1,266,264 
12,073  Cerence, Inc. (a)   1,269,234 
23,112  CommVault Systems, Inc. (a)   1,421,388 
27,484  Domo, Inc., Class B (a)   2,428,211 
14,462  Envestnet, Inc. (a)   1,207,577 
8,555  InterDigital, Inc.   572,757 
30,124  Jamf Holding Corp. (a)   1,435,409 
36,744  Marathon Digital Holdings, Inc. (a)   1,919,507 
36,490  Mimecast Ltd. (a)   2,752,806 
29,601  Momentive Global, Inc. (a)   678,455 
28,015  PagerDuty, Inc. (a)   1,169,626 
35,385  Progress Software Corp.   1,819,143 
10,427  Qualys, Inc. (a)   1,297,953 
22,575  Riot Blockchain, Inc. (a)   614,492 
23,788  Sprout Social, Inc., Class A (a)   3,037,252 
17,983  SPS Commerce, Inc. (a)   2,746,544 
12,953  Verint Systems, Inc. (a)   603,610 
143,967  Vonage Holdings Corp. (a)   2,320,748 
61,590  Xperi Holding Corp.   1,103,693 
69,986  Zuora, Inc., Class A (a)   1,529,894 
       34,293,990 
         
   Specialty Retail — 3.2%     
61,673  Abercrombie & Fitch Co., Class A (a)   2,438,550 
11,796  Asbury Automotive Group, Inc. (a)   2,308,595 
32,642  Boot Barn Holdings, Inc. (a)   3,410,763 
43,965  Buckle (The), Inc.   1,829,823 
14,926  Camping World Holdings, Inc., Class A   555,993 
15,441  Group 1 Automotive, Inc.   2,776,292 
20,176  Monro, Inc.   1,246,070 
6,938  Murphy USA, Inc.   1,130,547 
43,341  ODP (The) Corp. (a)   1,876,665 
41,287  Rent-A-Center, Inc.   2,198,946 
68,865  Sally Beauty Holdings, Inc. (a)   1,050,880 
36,739  Signet Jewelers Ltd.   3,276,384 
12,413  Sleep Number Corp. (a)   1,096,564 
44,171  Sonic Automotive, Inc., Class A   2,183,373 
97,707  Urban Outfitters, Inc. (a)   3,119,785 
       30,499,230 
         
   Technology Hardware, Storage & Peripherals — 0.4%     
21,044  3D Systems Corp. (a)   592,599 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Technology Hardware, Storage & Peripherals (Continued)     
40,124  Avid Technology, Inc. (a)  $1,149,151 
22,375  Corsair Gaming, Inc. (a) (c)   547,069 
47,595  Super Micro Computer, Inc. (a)   1,684,387 
       3,973,206 
         
   Textiles, Apparel & Luxury Goods — 0.7%     
34,845  Kontoor Brands, Inc.   1,846,785 
47,343  Levi Strauss & Co., Class A   1,239,440 
19,303  Oxford Industries, Inc.   1,789,774 
43,341  Steven Madden Ltd.   1,954,679 
       6,830,678 
         
   Thrifts & Mortgage Finance — 2.5%     
45,028  Axos Financial, Inc. (a)   2,386,484 
100,989  Capitol Federal Financial, Inc.   1,224,997 
94,084  Columbia Financial, Inc. (a)   1,751,844 
44,221  Meta Financial Group, Inc.   2,451,612 
70,463  Mr. Cooper Group, Inc. (a)   3,089,098 
128,303  NMI Holdings, Inc., Class A (a)   3,115,197 
131,066  Northwest Bancshares, Inc.   1,808,711 
74,161  Provident Financial Services, Inc.   1,836,226 
20,447  Walker & Dunlop, Inc.   2,659,541 
50,730  Washington Federal, Inc.   1,793,813 
45,230  WSFS Financial Corp.   2,343,366 
       24,460,889 
         
   Tobacco — 0.1%     
91,010  Vector Group Ltd.   1,206,793 
         
         
   Trading Companies & Distributors — 2.6%     
19,311  Applied Industrial Technologies, Inc.   1,882,436 
48,592  Beacon Roofing Supply, Inc. (a)   2,569,059 
53,741  Boise Cascade Co.   3,042,815 
62,185  Custom Truck One Source, Inc. (a) (c)   562,774 
19,435  GATX Corp.   1,843,410 
45,938  Global Industrial Co.   1,864,164 
52,986  GMS, Inc. (a)   2,624,397 
17,746  Herc Holdings, Inc.   3,230,482 
32,255  McGrath RentCorp   2,326,876 
51,389  Rush Enterprises, Inc., Class A   2,676,339 
44,596  Triton International Ltd.   2,773,425 
       25,396,177 
         
   Water Utilities — 0.6%     
13,569  American States Water Co.   1,232,608 
29,536  California Water Service Group   1,798,152 
16,934  Middlesex Water Co.   1,864,772 
17,565  SJW Group   1,157,885 
       6,053,417 
         

 

 

First Trust Small Cap Core AlphaDEX® Fund (FYX)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Wireless Telecommunication Services — 0.8%     
73,489  Shenandoah Telecommunications Co.  $2,031,236 
148,766  Telephone and Data Systems, Inc.   2,787,875 
90,968  United States Cellular Corp. (a)   2,780,892 
       7,600,003 
   Total Common Stocks — 99.9%   958,204,776 
   (Cost $825,145,786)     
         
   Money Market Funds — 0.5%     
3,510,993  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (d) (e)   3,510,993 
1,622,062  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (d)   1,622,062 
   Total Money Market Funds — 0.5%   5,133,055 
   (Cost $5,133,055)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.5%     
$ 4,572,472  BNP Paribas S.A., 0.03% (d), dated 10/29/21, due 11/01/21, with a maturity value of $4,572,483. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $4,668,673. (e)   4,572,472 
   (Cost $4,572,472)     
         
   Total Investments — 100.9%   967,910,303 
   (Cost $834,851,313) (f)     
   Net Other Assets and Liabilities — (0.9)%   (8,435,533)
   Net Assets — 100.0%  $959,474,770 

 

 

(a) Non-income producing security.
(b) This security may be resold to qualified foreign investors and foreign institutional buyers under Regulation S of the Securities Act of 1933, as amended.
(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 $7,880,049 and the total value of the collateral held by the Fund is $8,083,465.
(d) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $155,619,752 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $22,560,762. The net unrealized appreciation was $133,058,990.

 

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

  

Total

Value at 10/31/2021

  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $958,204,776   $958,204,776   $—     $—   
Money Market Funds   5,133,055    5,133,055    —      —   
Repurchase Agreements   4,572,472    —      4,572,472    —   
Total Investments  $967,910,303   $963,337,831   $4,572,472   $—   

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

First Trust Large Cap Value AlphaDEX® Fund (FTA)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Aerospace & Defense — 2.8%     
28,001  General Dynamics Corp.  $5,677,203 
17,065  L3Harris Technologies, Inc.   3,934,165 
15,906  Lockheed Martin Corp.   5,285,882 
20,871  Northrop Grumman Corp.   7,455,539 
21,286  Raytheon Technologies Corp.   1,891,474 
78,632  Textron, Inc.   5,806,973 
       30,051,236 
         
   Air Freight & Logistics — 0.2%     
10,048  United Parcel Service, Inc., Class B   2,144,947 
         
         
   Automobiles — 1.7%     
530,844  Ford Motor Co. (a)   9,066,815 
178,258  General Motors Co. (a)   9,702,583 
       18,769,398 
         
   Banks — 7.2%     
129,310  Bank of America Corp.   6,178,432 
133,883  Citigroup, Inc.   9,259,348 
159,999  Citizens Financial Group, Inc.   7,580,753 
177,116  Fifth Third Bancorp   7,709,859 
243,103  Huntington Bancshares, Inc.   3,826,441 
33,533  JPMorgan Chase & Co.   5,696,921 
347,676  KeyCorp   8,090,421 
50,332  M&T Bank Corp.   7,404,844 
19,211  PNC Financial Services Group (The), Inc.   4,054,097 
93,593  Truist Financial Corp.   5,940,348 
63,230  U.S. Bancorp   3,817,195 
161,964  Wells Fargo & Co.   8,286,078 
       77,844,737 
         
   Beverages — 0.2%     
53,563  Keurig Dr Pepper, Inc.   1,933,089 
         
         
   Biotechnology — 1.5%     
17,675  Amgen, Inc.   3,658,195 
13,281  Biogen, Inc. (a)   3,541,777 
78,586  Gilead Sciences, Inc.   5,098,660 
20,720  Vertex Pharmaceuticals, Inc. (a)   3,831,749 
       16,130,381 
         
   Building Products — 0.3%     
72,611  Carrier Global Corp.   3,792,473 
         
         
   Capital Markets — 2.7%     
145,000  Bank of New York Mellon (The) Corp.   8,584,000 
316,150  Franklin Resources, Inc.   9,955,563 
40,729  Raymond James Financial, Inc.   4,015,472 
64,792  State Street Corp.   6,385,252 
       28,940,287 
         
   Chemicals — 5.2%     
14,675  Air Products and Chemicals, Inc.   4,399,712 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Chemicals (Continued)     
62,375  Celanese Corp.  $10,074,186 
178,630  Corteva, Inc.   7,707,884 
163,238  Dow, Inc.   9,136,431 
138,197  DuPont de Nemours, Inc.   9,618,511 
18,163  Eastman Chemical Co.   1,889,497 
100,117  LyondellBasell Industries N.V., Class A   9,292,860 
26,280  PPG Industries, Inc.   4,219,780 
       56,338,861 
         
   Commercial Services & Supplies — 0.2%     
15,241  Republic Services, Inc.   2,051,439 
         
         
   Communications Equipment — 0.4%     
69,049  Cisco Systems, Inc.   3,864,673 
         
         
   Construction Materials — 0.2%     
10,816  Vulcan Materials Co.   2,056,338 
         
         
   Consumer Finance — 2.4%     
184,053  Ally Financial, Inc.   8,786,690 
10,922  American Express Co.   1,898,025 
58,010  Capital One Financial Corp.   8,761,250 
153,781  Synchrony Financial   7,143,128 
       26,589,093 
         
   Containers & Packaging — 0.4%     
98,161  International Paper Co.   4,875,657 
         
         
   Distributors — 0.9%     
15,094  Genuine Parts Co.   1,978,975 
149,379  LKQ Corp. (a)   8,227,795 
       10,206,770 
         
   Diversified Financial Services — 0.9%     
34,424  Berkshire Hathaway, Inc., Class B (a)   9,880,032 
         
         
   Diversified Telecommunication Services — 1.5%     
278,296  AT&T, Inc.   7,029,757 
173,967  Verizon Communications, Inc.   9,218,511 
       16,248,268 
         
   Electric Utilities — 8.2%     
98,058  Alliant Energy Corp.   5,547,141 
92,595  American Electric Power Co., Inc.   7,843,722 
56,248  Duke Energy Corp.   5,737,859 
135,510  Edison International   8,527,644 
75,691  Entergy Corp.   7,797,687 
120,848  Evergy, Inc.   7,704,060 
67,137  Eversource Energy   5,699,931 
155,498  Exelon Corp.   8,270,939 
154,106  FirstEnergy Corp.   5,937,704 

 

 

First Trust Large Cap Value AlphaDEX® Fund (FTA)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Electric Utilities (Continued)     
978,744  PG&E Corp. (a)  $11,353,430 
134,805  PPL Corp.   3,882,384 
88,578  Southern (The) Co.   5,520,181 
87,828  Xcel Energy, Inc.   5,672,811 
       89,495,493 
         
   Electrical Equipment — 0.7%     
14,756  AMETEK, Inc.   1,953,694 
12,255  Eaton Corp. PLC   2,019,134 
39,898  Emerson Electric Co.   3,870,505 
       7,843,333 
         
   Electronic Equipment, Instruments & Components — 1.0%     
205,996  Corning, Inc.   7,327,278 
27,391  TE Connectivity Ltd.   3,999,086 
       11,326,364 
         
   Energy Equipment & Services — 0.2%     
61,733  Schlumberger N.V.   1,991,507 
         
         
   Entertainment — 0.9%     
70,929  Activision Blizzard, Inc.   5,545,938 
24,393  Take-Two Interactive Software, Inc. (a)   4,415,133 
       9,961,071 
         
   Equity Real Estate Investment Trusts — 0.9%     
112,257  Healthpeak Properties, Inc.   3,986,246 
75,154  WP Carey, Inc.   5,795,125 
       9,781,371 
         
   Food & Staples Retailing — 1.2%     
135,771  Kroger (The) Co.   5,433,556 
159,761  Walgreens Boots Alliance, Inc.   7,511,962 
       12,945,518 
         
   Food Products — 4.9%     
125,259  Archer-Daniels-Midland Co.   8,046,638 
221,929  Conagra Brands, Inc.   7,146,114 
91,761  General Mills, Inc.   5,670,830 
10,810  Hershey (The) Co.   1,895,533 
91,668  Hormel Foods Corp.   3,879,390 
58,797  Kellogg Co.   3,604,256 
204,149  Kraft Heinz (The) Co.   7,326,908 
94,348  Mondelez International, Inc., Class A   5,730,697 
119,026  Tyson Foods, Inc., Class A   9,518,509 
       52,818,875 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Equipment & Supplies — 1.4%     
7,444  Becton, Dickinson and Co.  $1,783,508 
127,300  Hologic, Inc. (a)   9,332,363 
25,679  Zimmer Biomet Holdings, Inc.   3,675,178 
       14,791,049 
         
   Health Care Providers & Services — 3.7%     
10,081  Anthem, Inc.   4,386,545 
29,366  Centene Corp. (a)   2,092,034 
46,942  Cigna Corp.   10,027,281 
88,578  CVS Health Corp.   7,908,244 
9,658  Humana, Inc.   4,473,199 
64,663  Quest Diagnostics, Inc.   9,491,235 
4,682  UnitedHealth Group, Inc.   2,155,921 
       40,534,459 
         
   Health Care Technology — 0.4%     
53,294  Cerner Corp.   3,959,211 
         
         
   Hotels, Restaurants & Leisure — 0.2%     
12,079  Darden Restaurants, Inc.   1,741,067 
         
         
   Household Durables — 2.4%     
111,895  D.R. Horton, Inc.   9,988,867 
100,299  Lennar Corp., Class A   10,022,879 
1,146  NVR, Inc. (a)   5,609,441 
       25,621,187 
         
   Household Products — 0.7%     
45,517  Church & Dwight Co., Inc.   3,976,365 
24,210  Colgate-Palmolive Co.   1,844,560 
13,817  Kimberly-Clark Corp.   1,789,163 
       7,610,088 
         
   Industrial Conglomerates — 0.5%     
31,292  3M Co.   5,591,255 
         
         
   Insurance — 11.3%     
180,240  Aflac, Inc.   9,673,481 
73,804  Allstate (The) Corp.   9,127,341 
171,177  American International Group, Inc.   10,114,849 
246,096  Arch Capital Group Ltd. (a)   10,291,735 
32,998  Brown & Brown, Inc.   2,082,504 
54,161  Chubb Ltd.   10,581,976 
82,262  Cincinnati Financial Corp.   9,989,897 
133,750  Hartford Financial Services Group (The), Inc.   9,754,387 
7,861  Markel Corp. (a)   10,322,515 
88,922  MetLife, Inc.   5,584,302 
85,236  Principal Financial Group, Inc.   5,718,483 
103,949  Progressive (The) Corp.   9,862,681 
89,316  Prudential Financial, Inc.   9,829,226 

 

 

First Trust Large Cap Value AlphaDEX® Fund (FTA)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Insurance (Continued)     
61,812  Travelers (The) Cos., Inc.  $9,944,314 
       122,877,691 
         
   Internet & Direct Marketing Retail — 0.9%     
134,863  eBay, Inc.   10,346,689 
         
         
   IT Services — 2.0%     
5,720  Accenture PLC, Class A   2,052,279 
35,935  Akamai Technologies, Inc. (a)   3,789,705 
22,555  Broadridge Financial Solutions, Inc.   4,024,037 
73,968  Cognizant Technology Solutions Corp., Class A   5,776,161 
15,036  Fidelity National Information Services, Inc.   1,665,087 
16,863  Fiserv, Inc. (a)   1,660,837 
11,611  Global Payments, Inc.   1,660,257 
13,171  International Business Machines Corp.   1,647,692 
       22,276,055 
         
   Life Sciences Tools & Services — 0.9%     
12,596  Bio-Rad Laboratories, Inc., Class A (a)   10,009,789 
         
         
   Machinery — 4.6%     
9,531  Caterpillar, Inc.   1,944,419 
33,473  Cummins, Inc.   8,028,164 
11,766  Dover Corp.   1,989,395 
133,144  Fortive Corp.   10,080,332 
8,854  Illinois Tool Works, Inc.   2,017,561 
95,245  PACCAR, Inc.   8,535,857 
19,632  Parker-Hannifin Corp.   5,822,655 
42,876  Stanley Black & Decker, Inc.   7,706,104 
43,596  Westinghouse Air Brake Technologies Corp.   3,955,465 
       50,079,952 
         
   Media — 1.9%     
98,145  Comcast Corp., Class A   5,047,597 
93,701  Fox Corp., Class A   3,723,678 
51,868  Omnicom Group, Inc.   3,531,174 
237,811  ViacomCBS, Inc., Class B   8,613,514 
       20,915,963 
         
   Metals & Mining — 0.9%     
173,038  Newmont Corp.   9,344,052 
         
         
   Multiline Retail — 1.1%     
17,717  Dollar General Corp.   3,924,670 
78,528  Dollar Tree, Inc. (a)   8,462,177 
       12,386,847 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Multi-Utilities — 5.3%     
67,767  Ameren Corp.  $5,712,081 
305,559  CenterPoint Energy, Inc.   7,956,756 
91,901  CMS Energy Corp.   5,546,225 
103,552  Consolidated Edison, Inc.   7,807,821 
51,471  Dominion Energy, Inc.   3,908,193 
67,289  DTE Energy Co.   7,627,208 
90,134  Public Service Enterprise Group, Inc.   5,750,549 
59,420  Sempra Energy   7,583,775 
62,236  WEC Energy Group, Inc.   5,604,974 
       57,497,582 
         
   Oil, Gas & Consumable Fuels — 3.4%     
54,107  Chevron Corp.   6,194,710 
80,998  ConocoPhillips   6,033,541 
51,527  Devon Energy Corp.   2,065,202 
93,643  EOG Resources, Inc.   8,658,232 
449,298  Kinder Morgan, Inc.   7,525,742 
60,806  Marathon Petroleum Corp.   4,008,940 
10,989  Pioneer Natural Resources Co.   2,054,723 
       36,541,090 
         
   Pharmaceuticals — 1.5%     
23,272  Johnson & Johnson   3,790,543 
127,627  Pfizer, Inc.   5,582,405 
554,742  Viatris, Inc.   7,405,806 
       16,778,754 
         
   Professional Services — 0.5%     
57,101  Leidos Holdings, Inc.   5,708,958 
         
         
   Real Estate Management & Development — 0.2%     
18,794  CBRE Group, Inc., Class A (a)   1,956,080 
         
         
   Road & Rail — 2.2%     
184,574  CSX Corp.   6,676,042 
22,475  J.B. Hunt Transport Services, Inc.   4,431,845 
15,708  Norfolk Southern Corp.   4,603,230 
9,335  Union Pacific Corp.   2,253,469 
68,978  XPO Logistics, Inc. (a)   5,918,312 
       23,882,898 
         
   Semiconductors & Semiconductor Equipment — 1.6%     
176,350  Intel Corp.   8,641,150 
132,375  Micron Technology, Inc.   9,147,112 
       17,788,262 
         
   Software — 0.4%     
54,155  SS&C Technologies Holdings, Inc.   4,303,698 
         
         
   Specialty Retail — 1.7%     
71,106  Best Buy Co., Inc.   8,691,998 
29,372  CarMax, Inc. (a)   4,021,614 

 

 

First Trust Large Cap Value AlphaDEX® Fund (FTA)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Specialty Retail (Continued)     
5,574  Home Depot (The), Inc.  $2,072,079 
9,031  Tractor Supply Co.   1,961,262 
5,070  Ulta Beauty, Inc. (a)   1,862,515 
       18,609,468 
         
   Technology Hardware, Storage & Peripherals — 2.3%     
659,364  Hewlett Packard Enterprise Co.   9,659,683 
274,735  HP, Inc.   8,332,712 
133,182  Western Digital Corp. (a)   6,964,087 
       24,956,482 
         
   Textiles, Apparel & Luxury Goods — 0.2%     
27,313  VF Corp.   1,990,571 
         
         
   Tobacco — 0.2%     
40,196  Altria Group, Inc.   1,773,046 
         
         
   Trading Companies & Distributors — 0.4%     
35,452  Fastenal Co.   2,023,600 
4,654  W.W. Grainger, Inc.   2,155,314 
       4,178,914 
         
   Wireless Telecommunication Services — 0.4%     
42,966  T-Mobile US, Inc. (a)   4,942,379 
         
   Total Common Stocks — 99.9%   1,086,874,747 
   (Cost $963,878,500)     
         
   Money Market Funds — 0.0%     
147,414  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (b)   147,414 
   (Cost $147,414)     
         
   Total Investments — 99.9%   1,087,022,161 
   (Cost $964,025,914) (c)     
   Net Other Assets and Liabilities — 0.1%   572,846 
   Net Assets — 100.0%  $1,087,595,007 

 

 

(a) Non-income producing security.
(b) Rate shown reflects yield as of October 31, 2021.
(c) Aggregate cost for financial reporting purposes approximates the aggregate cost for federal income tax purposes. As of October 31, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $134,875,662 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $11,879,415. The net unrealized appreciation was $122,996,247.

 

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 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*  $1,086,874,747   $—     $—   
Money Market Funds   147,414    —      —   
Total Investments  $1,087,022,161   $—     $—   
 
* See Portfolio of Investments for industry breakout.

 

 

 

 

 

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 100.0%     
   Air Freight & Logistics — 0.5%     
53,421  Expeditors International of Washington, Inc.  $6,584,672 
         
         
   Airlines — 0.2%     
49,787  Delta Air Lines, Inc. (a)   1,948,165 
         
         
   Auto Components — 0.6%     
42,721  Aptiv PLC (a)   7,386,034 
         
         
   Automobiles — 1.0%     
11,239  Tesla, Inc. (a)   12,520,246 
         
         
   Banks — 2.2%     
32,994  First Republic Bank   7,137,592 
408,955  Regions Financial Corp.   9,684,054 
16,840  SVB Financial Group (a)   12,081,016 
       28,902,662 
         
   Biotechnology — 3.6%     
40,396  AbbVie, Inc.   4,632,209 
46,156  Alnylam Pharmaceuticals, Inc. (a)   7,364,651 
79,559  Horizon Therapeutics PLC (a)   9,539,920 
28,306  Moderna, Inc. (a)   9,771,514 
14,399  Regeneron Pharmaceuticals, Inc. (a)   9,214,496 
37,480  Seagen, Inc. (a)   6,608,849 
       47,131,639 
         
   Building Products — 0.5%     
93,479  Johnson Controls International PLC   6,858,554 
         
         
   Capital Markets — 7.9%     
5,195  BlackRock, Inc.   4,901,275 
93,634  Blackstone, Inc.   12,960,818 
230,405  Carlyle Group (The), Inc.   12,937,241 
59,822  Charles Schwab (The) Corp.   4,907,199 
23,054  Goldman Sachs Group (The), Inc.   9,529,371 
18,476  Intercontinental Exchange, Inc.   2,558,187 
178,935  KKR & Co., Inc.   14,255,751 
5,974  Moody’s Corp.   2,414,392 
89,556  Morgan Stanley   9,204,566 
14,326  MSCI, Inc.   9,525,071 
56,436  Nasdaq, Inc.   11,844,223 
4,992  S&P Global, Inc.   2,367,007 
32,353  T. Rowe Price Group, Inc.   7,016,718 
       104,421,819 
         
   Chemicals — 1.3%     
49,750  Albemarle Corp.   12,460,883 
15,577  Sherwin-Williams (The) Co.   4,931,834 
       17,392,717 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Commercial Services & Supplies — 0.7%     
5,574  Cintas Corp.  $2,414,099 
45,879  Copart, Inc. (a)   7,124,550 
       9,538,649 
         
   Communications Equipment — 0.9%     
12,680  Arista Networks, Inc. (a)   5,194,869 
27,394  Motorola Solutions, Inc.   6,809,875 
       12,004,744 
         
   Construction Materials — 0.2%     
6,210  Martin Marietta Materials, Inc.   2,439,536 
         
         
   Consumer Finance — 0.6%     
70,939  Discover Financial Services   8,038,808 
         
         
   Containers & Packaging — 0.5%     
30,714  Avery Dennison Corp.   6,687,052 
         
         
   Distributors — 0.8%     
20,060  Pool Corp.   10,334,110 
         
         
   Electrical Equipment — 1.2%     
21,326  Generac Holdings, Inc. (a)   10,632,290 
14,817  Rockwell Automation, Inc.   4,732,550 
       15,364,840 
         
   Electronic Equipment, Instruments & Components — 2.6%     
86,906  Amphenol Corp., Class A   6,671,774 
34,962  CDW Corp.   6,525,657 
53,046  Keysight Technologies, Inc. (a)   9,549,341 
52,977  Trimble, Inc. (a)   4,628,600 
12,348  Zebra Technologies Corp., Class A (a)   6,593,215 
       33,968,587 
         
   Entertainment — 1.0%     
55,736  AMC Entertainment Holdings, Inc., Class A (a) (b)   1,971,382 
23,279  Live Nation Entertainment, Inc. (a)   2,354,671 
10,426  Netflix, Inc. (a)   7,197,172 
6,770  Roku, Inc. (a)   2,064,173 
       13,587,398 
         
   Equity Real Estate Investment Trusts — 4.8%     
19,659  AvalonBay Communities, Inc.   4,652,892 
43,156  Camden Property Trust   7,038,744 
44,316  Duke Realty Corp.   2,492,332 
55,792  Equity LifeStyle Properties, Inc.   4,714,982 
26,214  Equity Residential   2,264,890 

 

 

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Equity Real Estate Investment Trusts (Continued)     
13,628  Essex Property Trust, Inc.  $4,632,566 
25,939  Extra Space Storage, Inc.   5,119,580 
55,345  Invitation Homes, Inc.   2,282,981 
34,077  Mid-America Apartment Communities, Inc.   6,958,864 
16,913  Prologis, Inc.   2,451,709 
7,139  Public Storage   2,371,433 
33,526  Simon Property Group, Inc.   4,914,241 
34,382  Sun Communities, Inc.   6,738,184 
178,917  Weyerhaeuser Co.   6,390,915 
       63,024,313 
         
   Health Care Equipment & Supplies — 6.5%     
36,887  Abbott Laboratories   4,754,365 
16,370  Align Technology, Inc. (a)   10,220,937 
10,543  Cooper (The) Cos., Inc.   4,395,588 
35,783  Danaher Corp.   11,156,066 
36,543  DENTSPLY SIRONA, Inc.   2,090,625 
15,935  Dexcom, Inc. (a)   9,930,851 
56,214  Edwards Lifesciences Corp. (a)   6,735,562 
10,232  IDEXX Laboratories, Inc. (a)   6,815,944 
19,203  Intuitive Surgical, Inc. (a)   6,934,779 
16,097  Masimo Corp. (a)   4,564,143 
24,148  ResMed, Inc.   6,348,751 
25,661  West Pharmaceutical Services, Inc.   11,031,151 
       84,978,762 
         
   Health Care Providers & Services — 1.5%     
44,881  HCA Healthcare, Inc.   11,240,895 
30,966  Laboratory Corp. of America Holdings (a)   8,887,862 
       20,128,757 
         
   Hotels, Restaurants & Leisure — 3.8%     
97,021  Caesars Entertainment, Inc. (a)   10,619,919 
4,794  Chipotle Mexican Grill, Inc. (a)   8,528,670 
13,343  Domino’s Pizza, Inc.   6,524,327 
12,943  Expedia Group, Inc. (a)   2,127,959 
32,982  Hilton Worldwide Holdings, Inc. (a)   4,747,759 
8,799  McDonald’s Corp.   2,160,594 
147,490  MGM Resorts International   6,955,628 
19,230  Starbucks Corp.   2,039,726 
52,031  Yum! Brands, Inc.   6,500,753 
       50,205,335 
         
   Household Durables — 0.6%     
56,059  Garmin Ltd.   8,050,072 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
         
         
   Industrial Conglomerates — 0.3%     
42,293  General Electric Co.  $4,435,267 
         
         
   Insurance — 1.3%     
30,496  Aon PLC, Class A   9,756,280 
42,026  Marsh & McLennan Cos., Inc.   7,009,937 
       16,766,217 
         
   Interactive Media & Services — 1.8%     
4,074  Alphabet, Inc., Class A (a)   12,062,788 
12,838  Facebook, Inc., Class A (a)   4,153,992 
147,470  Snap, Inc., Class A (a)   7,753,972 
       23,970,752 
         
   Internet & Direct Marketing Retail — 0.9%     
1,327  Amazon.com, Inc. (a)   4,475,215 
30,602  Etsy, Inc. (a)   7,671,615 
       12,146,830 
         
   IT Services — 6.2%     
10,612  Automatic Data Processing, Inc.   2,382,288 
96,700  Cloudflare, Inc., Class A (a)   18,829,424 
19,096  EPAM Systems, Inc. (a)   12,856,191 
35,848  Gartner, Inc. (a)   11,898,310 
23,105  MongoDB, Inc. (a)   12,044,405 
38,749  Paychex, Inc.   4,776,977 
8,153  PayPal Holdings, Inc. (a)   1,896,306 
28,815  Snowflake, Inc., Class A (a)   10,195,900 
26,535  Square, Inc., Class A (a)   6,753,157 
       81,632,958 
         
   Life Sciences Tools & Services — 6.4%     
55,320  Agilent Technologies, Inc.   8,712,347 
266,345  Avantor, Inc. (a)   10,755,011 
13,134  Bio-Techne Corp.   6,877,619 
26,396  Charles River Laboratories International, Inc. (a)   11,843,357 
36,382  IQVIA Holdings, Inc. (a)   9,510,983 
3,165  Mettler-Toledo International, Inc. (a)   4,686,985 
62,863  PerkinElmer, Inc.   11,119,836 
19,067  Thermo Fisher Scientific, Inc.   12,070,746 
24,391  Waters Corp. (a)   8,964,912 
       84,541,796 
         
   Machinery — 1.5%     
13,006  Deere & Co.   4,452,084 
172,880  Ingersoll Rand, Inc. (a)   9,294,029 

 

 

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

  

Shares  Description  Value
         
   Common Stocks (Continued)     
   Machinery (Continued)     
77,347  Otis Worldwide Corp.  $6,211,737 
       19,957,850 
         
   Media — 0.6%     
5,990  Charter Communications, Inc., Class A (a)   4,042,591 
25,231  Liberty Broadband Corp., Class C (a)   4,098,776 
       8,141,367 
         
   Metals & Mining — 1.7%     
267,902  Freeport-McMoRan, Inc.   10,105,264 
110,605  Nucor Corp.   12,349,048 
       22,454,312 
         
   Multiline Retail — 0.6%     
27,818  Target Corp.   7,222,109 
         
         
   Oil, Gas & Consumable Fuels — 3.1%     
111,534  Cheniere Energy, Inc. (a)   11,532,616 
55,785  Hess Corp.   4,606,167 
215,151  Occidental Petroleum Corp.   7,214,013 
187,851  ONEOK, Inc.   11,951,081 
167,980  Williams (The) Cos., Inc.   4,718,558 
       40,022,435 
         
   Pharmaceuticals — 1.9%     
35,851  Bristol-Myers Squibb Co.   2,093,699 
81,862  Catalent, Inc. (a)   11,285,495 
27,543  Eli Lilly & Co.   7,016,855 
22,446  Zoetis, Inc.   4,852,825 
       25,248,874 
         
   Professional Services — 1.4%     
42,987  Equifax, Inc.   11,925,883 
38,798  TransUnion   4,473,022 
10,594  Verisk Analytics, Inc.   2,227,600 
       18,626,505 
         
   Road & Rail — 0.8%     
30,474  Old Dominion Freight Line, Inc.   10,402,300 
         
         
   Semiconductors & Semiconductor Equipment — 7.1%     
84,691  Advanced Micro Devices, Inc. (a)   10,182,399 
12,666  Analog Devices, Inc.   2,197,424 
49,437  Applied Materials, Inc.   6,755,566 
4,375  Broadcom, Inc.   2,326,056 
14,144  Enphase Energy, Inc. (a)   3,276,175 
50,548  Entegris, Inc.   7,116,147 
13,028  KLA Corp.   4,856,317 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Semiconductors & Semiconductor Equipment (Continued)     
3,727  Lam Research Corp.  $2,100,425 
72,249  Marvell Technology, Inc.   4,949,057 
27,642  Microchip Technology, Inc.   2,047,996 
22,475  Monolithic Power Systems, Inc.   11,809,714 
42,069  NVIDIA Corp.   10,755,781 
22,245  NXP Semiconductors N.V.   4,468,131 
190,406  ON Semiconductor Corp. (a)   9,152,816 
12,688  Qorvo, Inc. (a)   2,134,502 
16,448  QUALCOMM, Inc.   2,188,242 
12,873  Skyworks Solutions, Inc.   2,151,465 
19,431  Teradyne, Inc.   2,686,141 
11,037  Texas Instruments, Inc.   2,069,217 
       93,223,571 
         
   Software — 13.6%     
3,684  Adobe, Inc. (a)   2,395,926 
40,808  Bill.com Holdings, Inc. (a)   12,010,202 
28,775  Cadence Design Systems, Inc. (a)   4,981,240 
38,690  Ceridian HCM Holding, Inc. (a)   4,845,923 
35,458  Crowdstrike Holdings, Inc., Class A (a)   9,992,064 
61,652  Datadog, Inc., Class A (a)   10,298,967 
8,239  DocuSign, Inc. (a)   2,292,831 
153,494  Dynatrace, Inc. (a)   11,512,050 
37,303  Fortinet, Inc. (a)   12,546,491 
16,111  HubSpot, Inc. (a)   13,053,616 
16,153  Intuit, Inc.   10,111,616 
15,454  Microsoft Corp.   5,124,855 
83,848  NortonLifeLock, Inc.   2,133,932 
100,020  Oracle Corp.   9,595,919 
88,243  Palantir Technologies, Inc., Class A (a)   2,283,729 
22,742  Palo Alto Networks, Inc. (a)   11,577,725 
17,580  Paycom Software, Inc. (a)   9,631,203 
16,067  salesforce.com, Inc. (a)   4,815,119 
10,226  ServiceNow, Inc. (a)   7,135,294 
21,255  Synopsys, Inc. (a)   7,081,741 
30,176  Trade Desk (The), Inc., Class A (a)   2,260,484 
69,029  Unity Software, Inc. (a)   10,444,778 
41,543  Zscaler, Inc. (a)   13,246,401 
       179,372,106 
         
   Specialty Retail — 4.0%     
6,417  AutoZone, Inc. (a)   11,453,318 
172,831  Bath & Body Works, Inc.   11,940,894 
15,367  Burlington Stores, Inc. (a)   4,245,749 
28,900  Carvana Co. (a)   8,761,902 
31,373  Lowe’s Cos., Inc.   7,335,635 

 

 

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Specialty Retail (Continued)     
14,263  O’Reilly Automotive, Inc. (a)  $8,876,150 
       52,613,648 
         
   Technology Hardware, Storage & Peripherals — 2.0%     
44,977  Apple, Inc.   6,737,555 
83,765  Dell Technologies, Inc., Class C (a)   9,213,312 
121,363  NetApp, Inc.   10,837,716 
       26,788,583 
         
   Textiles, Apparel & Luxury Goods — 0.2%     
14,606  NIKE, Inc., Class B   2,443,438 
         
         
   Trading Companies & Distributors — 0.7%     
24,834  United Rentals, Inc. (a)   9,414,818 
         
         
   Water Utilities — 0.4%     
25,776  American Water Works Co., Inc.   4,489,664 
         
         
   Total Common Stocks — 100.0%   1,315,412,871 
   (Cost $1,012,859,045)     
         
   Money Market Funds — 0.1%     
304,079  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   304,079 
848,495  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)   848,495 
   Total Money Market Funds — 0.1%   1,152,574 
   (Cost $1,152,574)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.0%     
$ 396,011  BNP Paribas S.A., 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $396,012. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $404,343. (d)   396,011 
   (Cost $396,011)     

 

  Description  Value
         
   Total Investments — 100.1%  $1,316,961,456 
   (Cost $1,014,407,630) (e)     
   Net Other Assets and Liabilities — (0.1)%   (882,831)
   Net Assets — 100.0%  $1,316,078,625 

 

  

(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 $688,795 and the total value of the collateral held by the Fund is $700,090.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $305,827,656 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $3,273,830. The net unrealized appreciation was $302,553,826.

 

  

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total Value at 10/31/2021  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $1,315,412,871   $1,315,412,871   $—     $—   
Money Market Funds   1,152,574    1,152,574    —      —   
Repurchase Agreements   396,011    —      396,011    —   
Total Investments  $1,316,961,456   $1,316,565,445   $396,011   $—   
                     

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.8%     
   Aerospace & Defense — 1.9%     
2,422  BWX Technologies, Inc.  $137,424 
1,034  Curtiss-Wright Corp.   132,021 
1,970  General Dynamics Corp.   399,417 
1,350  Huntington Ingalls Industries, Inc.   273,686 
1,201  L3Harris Technologies, Inc.   276,879 
1,119  Lockheed Martin Corp.   371,866 
2,656  Maxar Technologies, Inc.   70,517 
779  Mercury Systems, Inc. (a)   40,150 
485  Moog, Inc., Class A   36,632 
1,468  Northrop Grumman Corp.   524,399 
1,093  Parsons Corp. (a)   37,862 
1,498  Raytheon Technologies Corp.   133,112 
5,531  Textron, Inc.   408,464 
       2,842,429 
         
   Air Freight & Logistics — 0.5%     
5,830  Air Transport Services Group, Inc. (a)   145,109 
2,303  Atlas Air Worldwide Holdings, Inc. (a)   186,819 
1,499  C.H. Robinson Worldwide, Inc.   145,388 
1,094  Hub Group, Inc., Class A (a)   85,956 
707  United Parcel Service, Inc., Class B   150,923 
       714,195 
         
   Airlines — 0.1%     
3,050  SkyWest, Inc. (a)   131,241 
         
         
   Auto Components — 1.0%     
7,545  BorgWarner, Inc.   340,053 
6,765  Dana, Inc.   150,115 
389  Dorman Products, Inc. (a)   40,604 
5,930  Gentex Corp.   209,863 
14,735  Goodyear Tire & Rubber (The) Co. (a)   281,733 
823  LCI Industries   114,924 
1,667  Lear Corp.   286,474 
1,806  Patrick Industries, Inc.   140,705 
       1,564,471 
         
   Automobiles — 1.3%     
37,334  Ford Motor Co. (a)   637,665 
12,536  General Motors Co. (a)   682,334 
5,342  Harley-Davidson, Inc.   194,930 
2,655  Thor Industries, Inc.   270,704 
2,076  Winnebago Industries, Inc.   140,524 
       1,926,157 
         
   Banks — 8.5%     
5,169  Associated Banc-Corp.   115,165 
3,005  Atlantic Union Bankshares Corp.   107,789 
615  BancFirst Corp.   39,981 
9,095  Bank of America Corp.   434,559 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Banks (Continued)     
4,550  Bank OZK  $203,248 
2,647  BankUnited, Inc.   107,362 
2,006  Banner Corp.   115,867 
2,912  BOK Financial Corp.   294,607 
5,052  Cadence Bank   146,609 
1,817  Cathay General Bancorp   76,659 
9,416  Citigroup, Inc.   651,211 
11,253  Citizens Financial Group, Inc.   533,167 
1,980  Columbia Banking System, Inc.   67,577 
2,430  Comerica, Inc.   206,769 
935  Commerce Bancshares, Inc.   65,927 
540  Community Bank System, Inc.   38,702 
550  Cullen/Frost Bankers, Inc.   71,225 
3,693  CVB Financial Corp.   73,934 
1,308  Eagle Bancorp, Inc.   74,020 
841  East West Bancorp, Inc.   66,843 
1,817  Eastern Bankshares, Inc.   37,739 
814  Enterprise Financial Services Corp.   38,274 
9,528  F.N.B. Corp.   111,001 
860  FB Financial Corp.   38,984 
12,457  Fifth Third Bancorp   542,253 
5,721  First BanCorp   78,092 
4,730  First Financial Bancorp   112,479 
2,563  First Hawaiian, Inc.   70,713 
16,009  First Horizon Corp.   271,673 
1,868  First Interstate BancSystem, Inc., Class A   77,653 
1,798  First Merchants Corp.   74,761 
7,247  Fulton Financial Corp.   116,677 
2,350  Hancock Whitney Corp.   116,278 
3,128  Heartland Financial USA, Inc.   156,775 
5,757  Hilltop Holdings, Inc.   204,028 
3,197  Home BancShares, Inc.   75,961 
7,668  Hope Bancorp, Inc.   111,876 
17,097  Huntington Bancshares, Inc.   269,107 
486  Independent Bank Corp.   41,067 
1,059  Independent Bank Group, Inc.   76,555 
2,658  International Bancshares Corp.   112,699 
2,358  JPMorgan Chase & Co.   400,601 
24,451  KeyCorp   568,975 
3,539  M&T Bank Corp.   520,658 
3,065  NBT Bancorp, Inc.   112,455 
8,876  Old National Bancorp   151,602 
4,316  PacWest Bancorp   204,880 
302  Park National Corp.   38,834 
1,351  PNC Financial Services Group (The), Inc.   285,102 
3,358  Popular, Inc.   273,475 
2,749  Prosperity Bancshares, Inc.   207,027 
3,071  Renasant Corp.   114,886 
2,417  Sandy Spring Bancorp, Inc.   114,711 
1,092  Seacoast Banking Corp. of Florida   39,782 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Banks (Continued)     
3,745  Simmons First National Corp., Class A  $111,938 
2,619  SouthState Corp.   204,518 
4,456  Synovus Financial Corp.   207,605 
1,845  Texas Capital Bancshares, Inc. (a)   111,807 
3,559  TowneBank   112,180 
6,583  Truist Financial Corp.   417,823 
4,669  Trustmark Corp.   148,521 
4,447  U.S. Bancorp   268,465 
2,022  UMB Financial Corp.   199,814 
9,659  Umpqua Holdings Corp.   197,527 
5,377  United Bankshares, Inc.   198,895 
2,293  United Community Banks, Inc.   79,888 
14,696  Valley National Bancorp   194,869 
2,394  Webster Financial Corp.   133,968 
11,390  Wells Fargo & Co.   582,712 
4,415  WesBanco, Inc.   153,510 
657  Westamerica BanCorp   36,634 
1,378  Wintrust Financial Corp.   121,953 
4,213  Zions Bancorp N.A.   265,377 
       13,006,858 
         
   Beverages — 0.1%     
3,768  Keurig Dr Pepper, Inc.   135,987 
1,405  Molson Coors Beverage Co., Class B   61,947 
       197,934 
         
   Biotechnology — 1.1%     
1,244  Amgen, Inc.   257,471 
934  Biogen, Inc. (a)   249,079 
3,755  Emergent BioSolutions, Inc. (a)   179,001 
5,528  Gilead Sciences, Inc.   358,657 
11,520  Ironwood Pharmaceuticals, Inc. (a)   147,110 
20,612  OPKO Health, Inc. (a) (b)   78,119 
4,244  Sage Therapeutics, Inc. (a)   171,288 
1,458  Vertex Pharmaceuticals, Inc. (a)   269,628 
       1,710,353 
         
   Building Products — 1.4%     
2,136  A.O. Smith Corp.   156,078 
6,301  Builders FirstSource, Inc. (a)   367,159 
5,108  Carrier Global Corp.   266,791 
2,526  Cornerstone Building Brands, Inc. (a)   36,147 
1,459  Fortune Brands Home & Security, Inc.   147,943 
531  Gibraltar Industries, Inc. (a)   34,600 
4,423  JELD-WEN Holding, Inc. (a)   121,234 
3,813  Owens Corning   356,172 
7,891  Resideo Technologies, Inc. (a)   194,592 
1,219  Simpson Manufacturing Co., Inc.   129,324 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Building Products (Continued)     
4,795  UFP Industries, Inc.  $392,375 
       2,202,415 
         
   Capital Markets — 2.3%     
10,198  Bank of New York Mellon (The) Corp.   603,722 
5,758  Brightsphere Investment Group, Inc.   172,625 
527  Cboe Global Markets, Inc.   69,532 
3,406  Federated Hermes, Inc.   113,454 
22,234  Franklin Resources, Inc.   700,149 
11,896  Golub Capital BDC, Inc. (b)   188,908 
8,780  Jefferies Financial Group, Inc.   377,540 
2,848  Lazard Ltd., Class A   139,523 
2,864  Raymond James Financial, Inc.   282,362 
3,299  SEI Investments Co.   207,969 
4,556  State Street Corp.   448,994 
2,879  Stifel Financial Corp.   209,793 
       3,514,571 
         
   Chemicals — 4.4%     
1,033  Air Products and Chemicals, Inc.   309,704 
2,194  Ashland Global Holdings, Inc.   210,646 
2,813  Avient Corp.   151,564 
2,233  Axalta Coating Systems Ltd. (a)   69,647 
4,386  Celanese Corp.   708,383 
2,337  CF Industries Holdings, Inc.   132,742 
2,243  Chemours (The) Co.   62,849 
12,563  Corteva, Inc.   542,093 
11,480  Dow, Inc.   642,536 
9,718  DuPont de Nemours, Inc.   676,373 
1,276  Eastman Chemical Co.   132,742 
712  FMC Corp.   64,799 
5,050  GCP Applied Technologies, Inc. (a)   114,181 
1,166  H.B. Fuller Co.   82,215 
11,017  Huntsman Corp.   358,934 
1,551  Ingevity Corp. (a)   120,838 
893  Innospec, Inc.   80,915 
6,061  Kronos Worldwide, Inc.   78,975 
7,042  LyondellBasell Industries N.V., Class A   653,638 
2,154  Minerals Technologies, Inc.   152,805 
9,126  Mosaic (The) Co.   379,368 
222  NewMarket Corp.   75,482 
1,848  PPG Industries, Inc.   296,733 
840  RPM International, Inc.   73,248 
890  Scotts Miracle-Gro (The) Co.   132,129 
980  Stepan Co.   117,620 
3,577  Westlake Chemical Corp.   348,185 
       6,769,344 
         
   Commercial Services & Supplies — 0.7%     
1,672  ABM Industries, Inc.   73,585 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Commercial Services & Supplies (Continued)     
16,119  ADT, Inc.  $134,594 
1,483  Brady Corp., Class A   77,249 
5,096  BrightView Holdings, Inc. (a)   80,823 
628  Clean Harbors, Inc. (a)   70,675 
3,084  Deluxe Corp.   110,006 
2,178  Harsco Corp. (a)   37,244 
1,476  Healthcare Services Group, Inc.   28,324 
3,016  HNI Corp.   112,798 
6,755  KAR Auction Services, Inc. (a)   99,096 
1,073  Republic Services, Inc.   144,426 
353  UniFirst Corp.   69,880 
       1,038,700 
         
   Communications Equipment — 0.6%     
3,810  Ciena Corp. (a)   206,845 
4,857  Cisco Systems, Inc.   271,846 
2,368  Juniper Networks, Inc.   69,903 
3,121  Lumentum Holdings, Inc. (a)   257,732 
2,791  NetScout Systems, Inc. (a)   75,525 
1,367  Viasat, Inc. (a)   81,596 
       963,447 
         
   Construction & Engineering — 0.6%     
2,208  Arcosa, Inc.   114,220 
1,055  Comfort Systems USA, Inc.   96,501 
517  Dycom Industries, Inc. (a)   41,060 
1,130  EMCOR Group, Inc.   137,283 
2,267  MasTec, Inc. (a)   202,058 
7,680  Primoris Services Corp.   206,976 
574  Quanta Services, Inc.   69,615 
       867,713 
         
   Construction Materials — 0.1%     
761  Vulcan Materials Co.   144,681 
         
         
   Consumer Finance — 2.0%     
12,944  Ally Financial, Inc.   617,947 
768  American Express Co.   133,463 
4,080  Capital One Financial Corp.   616,202 
334  Credit Acceptance Corp. (a) (b)   199,802 
3,817  Encore Capital Group, Inc. (a)   206,194 
422  FirstCash, Inc.   37,334 
2,372  Nelnet, Inc., Class A   195,998 
5,891  OneMain Holdings, Inc.   311,104 
3,570  PRA Group, Inc. (a)   153,082 
3,581  PROG Holdings, Inc.   144,852 
10,814  Synchrony Financial   502,310 
       3,118,288 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Containers & Packaging — 0.9%     
546  AptarGroup, Inc.  $65,946 
3,212  Berry Global Group, Inc. (a)   210,514 
646  Crown Holdings, Inc.   67,177 
6,849  Graphic Packaging Holding Co.   136,501 
2,328  Greif, Inc., Class A   150,575 
6,903  International Paper Co.   342,872 
5,273  O-I Glass, Inc. (a)   68,813 
950  Packaging Corp. of America   130,501 
5,098  Silgan Holdings, Inc.   204,940 
1,308  Westrock Co.   62,915 
       1,440,754 
         
   Distributors — 0.5%     
1,061  Genuine Parts Co.   139,108 
10,505  LKQ Corp. (a)   578,615 
       717,723 
         
   Diversified Consumer Services — 0.7%     
2,929  Adtalem Global Education, Inc. (a)   108,168 
320  Graham Holdings Co., Class B   187,472 
2,966  Grand Canyon Education, Inc. (a)   236,390 
10,431  H&R Block, Inc.   240,643 
1,082  Service Corp. International   74,106 
2,135  Strategic Education, Inc.   145,629 
       992,408 
         
   Diversified Financial Services — 0.8%     
2,422  Berkshire Hathaway, Inc., Class B (a)   695,138 
6,046  Cannae Holdings, Inc. (a)   206,169 
5,309  Voya Financial, Inc.   370,409 
       1,271,716 
         
   Diversified Telecommunication Services — 1.2%     
19,572  AT&T, Inc.   494,389 
11,696  Frontier Communications Parent, Inc. (a)   362,108 
11,468  Liberty Latin America Ltd., Class C (a)   137,960 
21,049  Lumen Technologies, Inc.   249,641 
12,234  Verizon Communications, Inc.   648,280 
       1,892,378 
         
   Electric Utilities — 5.2%     
2,528  ALLETE, Inc.   155,573 
6,896  Alliant Energy Corp.   390,107 
6,512  American Electric Power Co., Inc.   551,632 
3,956  Duke Energy Corp.   403,552 
9,531  Edison International   599,786 
5,324  Entergy Corp.   548,478 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Electric Utilities (Continued)     
8,498  Evergy, Inc.  $541,748 
4,721  Eversource Energy   400,813 
10,935  Exelon Corp.   581,633 
10,838  FirstEnergy Corp.   417,588 
4,790  Hawaiian Electric Industries, Inc.   194,282 
1,261  IDACORP, Inc.   131,548 
502  MGE Energy, Inc.   38,097 
6,387  NRG Energy, Inc.   254,777 
7,912  OGE Energy Corp.   269,562 
1,344  Otter Tail Corp.   83,341 
68,834  PG&E Corp. (a)   798,474 
3,605  Pinnacle West Capital Corp.   232,486 
5,550  Portland General Electric Co.   273,671 
9,481  PPL Corp.   273,053 
6,229  Southern (The) Co.   388,191 
6,177  Xcel Energy, Inc.   398,972 
       7,927,364 
         
   Electrical Equipment — 0.9%     
752  Acuity Brands, Inc.   154,483 
1,038  AMETEK, Inc.   137,431 
863  Eaton Corp. PLC   142,188 
2,806  Emerson Electric Co.   272,210 
1,983  Encore Wire Corp.   265,841 
1,752  EnerSys   140,230 
10,727  GrafTech International Ltd.   114,779 
362  Hubbell, Inc.   72,172 
868  Regal Rexnord Corp.   132,223 
       1,431,557 
         
   Electronic Equipment, Instruments & Components — 1.8%     
2,322  Arrow Electronics, Inc. (a)   268,771 
5,087  Avnet, Inc.   193,866 
633  Belden, Inc.   38,113 
14,488  Corning, Inc.   515,338 
835  Insight Enterprises, Inc. (a)   79,075 
412  IPG Photonics Corp. (a)   65,512 
3,351  Jabil, Inc.   200,926 
5,909  Knowles Corp. (a)   123,144 
239  Littelfuse, Inc.   70,397 
3,578  Methode Electronics, Inc.   150,526 
389  OSI Systems, Inc. (a)   36,220 
841  Plexus Corp. (a)   73,436 
4,880  Sanmina Corp. (a)   184,220 
1,927  TE Connectivity Ltd.   281,342 
11,970  TTM Technologies, Inc. (a)   158,483 
7,489  Vishay Intertechnology, Inc.   143,939 
3,880  Vontier Corp.   131,260 
       2,714,568 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Energy Equipment & Services — 0.3%     
1,346  Helmerich & Payne, Inc.  $41,780 
8,359  Patterson-UTI Energy, Inc.   71,553 
4,341  Schlumberger N.V.   140,041 
49,625  Transocean Ltd. (a)   175,176 
       428,550 
         
   Entertainment — 0.5%     
4,989  Activision Blizzard, Inc.   390,090 
1,716  Take-Two Interactive Software, Inc. (a)   310,596 
       700,686 
         
   Equity Real Estate Investment Trusts — 2.4%     
14,015  Brandywine Realty Trust   185,699 
1,369  Corporate Office Properties Trust   37,127 
3,496  Cousins Properties, Inc.   138,477 
1,421  Equity Commonwealth (a)   36,846 
4,696  Global Net Lease, Inc.   75,230 
2,198  Healthcare Trust of America, Inc., Class A   73,391 
7,895  Healthpeak Properties, Inc.   280,351 
1,404  Hudson Pacific Properties, Inc.   36,153 
4,358  Industrial Logistics Properties Trust   122,416 
4,923  Kilroy Realty Corp.   331,712 
3,143  Kimco Realty Corp.   71,032 
11,801  Lexington Realty Trust   171,941 
3,493  LTC Properties, Inc.   111,287 
9,746  Medical Properties Trust, Inc.   207,882 
2,069  National Health Investors, Inc.   111,271 
3,019  National Retail Properties, Inc.   136,942 
4,353  Omega Healthcare Investors, Inc.   127,804 
12,315  Paramount Group, Inc.   104,431 
2,095  Physicians Realty Trust   39,826 
6,352  Piedmont Office Realty Trust, Inc., Class A   112,811 
3,647  PotlatchDeltic Corp.   190,629 
2,508  Sabra Health Care REIT, Inc.   35,488 
3,682  SL Green Realty Corp.   257,998 
2,831  Spirit Realty Capital, Inc.   138,521 
2,035  STORE Capital Corp.   69,862 
5,286  WP Carey, Inc.   407,603 
       3,612,730 
         
   Food & Staples Retailing — 1.0%     
4,189  Albertsons Cos., Inc., Class A (b)   129,650 
1,187  BJ’s Wholesale Club Holdings, Inc. (a)   69,368 
691  Casey’s General Stores, Inc.   132,354 
3,488  Grocery Outlet Holding Corp. (a)   77,399 
9,548  Kroger (The) Co.   382,111 
475  PriceSmart, Inc.   34,176 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Food & Staples Retailing (Continued)     
6,495  Sprouts Farmers Market, Inc. (a)  $143,799 
2,286  United Natural Foods, Inc. (a)   99,189 
11,237  Walgreens Boots Alliance, Inc.   528,364 
       1,596,410 
         
   Food Products — 3.7%     
8,810  Archer-Daniels-Midland Co.   565,954 
2,517  B&G Foods, Inc. (b)   74,100 
4,008  Bunge Ltd.   371,301 
4,677  Campbell Soup Co.   186,846 
15,609  Conagra Brands, Inc.   502,610 
5,518  Flowers Foods, Inc.   136,571 
5,837  Fresh Del Monte Produce, Inc.   195,481 
6,454  General Mills, Inc.   398,857 
760  Hershey (The) Co.   133,266 
6,446  Hormel Foods Corp.   272,795 
4,331  Hostess Brands, Inc. (a)   81,899 
732  Ingredion, Inc.   69,708 
2,173  J.M. Smucker (The) Co.   266,975 
4,134  Kellogg Co.   253,414 
14,358  Kraft Heinz (The) Co.   515,309 
386  Lancaster Colony Corp.   65,620 
6,636  Mondelez International, Inc., Class A   403,071 
592  Post Holdings, Inc. (a)   60,076 
80  Seaboard Corp.   308,002 
2,776  TreeHouse Foods, Inc. (a)   100,325 
8,370  Tyson Foods, Inc., Class A   669,349 
       5,631,529 
         
   Gas Utilities — 1.0%     
2,956  Atmos Energy Corp.   272,307 
307  Chesapeake Utilities Corp.   40,238 
2,483  National Fuel Gas Co.   142,599 
1,060  New Jersey Resources Corp.   40,079 
3,272  Northwest Natural Holding Co.   147,534 
1,748  ONE Gas, Inc.   117,640 
7,076  South Jersey Industries, Inc.   161,050 
2,251  Southwest Gas Holdings, Inc.   155,882 
2,460  Spire, Inc.   154,390 
7,649  UGI Corp.   332,043 
       1,563,762 
         
   Health Care Equipment & Supplies — 0.9%     
1,183  Avanos Medical, Inc. (a)   37,312 
522  Becton, Dickinson and Co.   125,066 
4,677  Envista Holdings Corp. (a)   182,871 
8,952  Hologic, Inc. (a)   656,271 
280  ICU Medical, Inc. (a)   65,556 
413  Integer Holdings Corp. (a)   37,178 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Equipment & Supplies (Continued)     
1,806  Zimmer Biomet Holdings, Inc.  $258,475 
       1,362,729 
         
   Health Care Providers & Services — 2.5%     
875  Amedisys, Inc. (a)   148,172 
709  Anthem, Inc.   308,507 
2,065  Centene Corp. (a)   147,111 
140  Chemed Corp.   67,515 
3,302  Cigna Corp.   705,340 
6,229  CVS Health Corp.   556,125 
1,737  Encompass Health Corp.   110,404 
1,713  Henry Schein, Inc. (a)   130,787 
679  Humana, Inc.   314,486 
1,224  Patterson Cos., Inc.   38,262 
3,364  Premier, Inc., Class A   131,028 
4,547  Quest Diagnostics, Inc.   667,409 
330  UnitedHealth Group, Inc.   151,955 
2,356  Universal Health Services, Inc., Class B   292,380 
       3,769,481 
         
   Health Care Technology — 0.2%     
3,748  Cerner Corp.   278,439 
         
         
   Hotels, Restaurants & Leisure — 0.2%     
1,535  Brinker International, Inc. (a)   64,408 
792  Cracker Barrel Old Country Store, Inc.   105,471 
849  Darden Restaurants, Inc.   122,375 
       292,254 
         
   Household Durables — 3.8%     
157  Cavco Industries, Inc. (a)   37,740 
3,061  Century Communities, Inc.   205,271 
7,869  D.R. Horton, Inc.   702,466 
581  Helen of Troy Ltd. (a)   130,696 
959  iRobot Corp. (a)   80,000 
4,832  KB Home   194,005 
4,668  La-Z-Boy, Inc.   155,164 
4,362  Leggett & Platt, Inc.   204,360 
7,054  Lennar Corp., Class A   704,906 
2,298  LGI Homes, Inc. (a)   343,091 
4,026  M.D.C. Holdings, Inc.   197,193 
3,253  M/I Homes, Inc. (a)   186,267 
1,939  Meritage Homes Corp. (a)   210,789 
1,838  Mohawk Industries, Inc. (a)   325,712 
8,834  Newell Brands, Inc.   202,210 
81  NVR, Inc. (a)   396,479 
7,099  PulteGroup, Inc.   341,320 
7,296  Taylor Morrison Home Corp. (a)   222,747 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Household Durables (Continued)     
5,895  Toll Brothers, Inc.  $354,702 
319  TopBuild Corp. (a)   81,973 
8,947  Tri Pointe Homes, Inc. (a)   216,428 
1,599  Whirlpool Corp.   337,117 
       5,830,636 
         
   Household Products — 0.6%     
3,498  Central Garden & Pet Co., Class A (a)   161,607 
3,201  Church & Dwight Co., Inc.   279,639 
1,704  Colgate-Palmolive Co.   129,828 
971  Kimberly-Clark Corp.   125,735 
7,154  Reynolds Consumer Products, Inc.   193,015 
385  Spectrum Brands Holdings, Inc.   36,094 
       925,918 
         
   Independent Power and Renewable Electricity Producers — 0.0%     
554  Ormat Technologies, Inc.   40,071 
         
         
   Industrial Conglomerates — 0.3%     
2,200  3M Co.   393,096 
         
         
   Insurance — 10.4%     
12,677  Aflac, Inc.   680,375 
521  Alleghany Corp. (a)   339,369 
5,191  Allstate (The) Corp.   641,971 
6,359  American Equity Investment Life Holding Co.   202,661 
2,072  American Financial Group, Inc.   281,875 
12,039  American International Group, Inc.   711,384 
17,308  Arch Capital Group Ltd. (a)   723,821 
707  Argo Group International Holdings Ltd.   38,956 
827  Assurant, Inc.   133,403 
3,215  Assured Guaranty Ltd.   178,690 
4,248  Axis Capital Holdings Ltd.   221,193 
815  Brighthouse Financial, Inc. (a)   40,937 
2,320  Brown & Brown, Inc.   146,415 
3,810  Chubb Ltd.   744,398 
5,786  Cincinnati Financial Corp.   702,652 
6,215  CNA Financial Corp.   278,805 
7,989  CNO Financial Group, Inc.   192,854 
1,389  Enstar Group Ltd. (a)   320,553 
366  Erie Indemnity Co., Class A   75,326 
1,300  Everest Re Group Ltd.   339,950 
7,190  Fidelity National Financial, Inc.   344,473 
4,863  First American Financial Corp.   355,680 
50,153  Genworth Financial, Inc., Class A (a)   206,129 
2,930  Globe Life, Inc.   260,829 
2,012  Hanover Insurance Group (The), Inc.   253,512 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Insurance (Continued)     
9,407  Hartford Financial Services Group (The), Inc.  $686,052 
3,781  Horace Mann Educators Corp.   148,140 
2,929  Kemper Corp.   185,933 
2,846  Lincoln National Corp.   205,339 
4,836  Loews Corp.   271,155 
553  Markel Corp. (a)   726,161 
3,377  Mercury General Corp.   184,013 
6,254  MetLife, Inc.   392,751 
14,095  Old Republic International Corp.   364,074 
424  Primerica, Inc.   71,334 
5,995  Principal Financial Group, Inc.   402,205 
7,310  Progressive (The) Corp.   693,573 
6,282  Prudential Financial, Inc.   691,334 
2,344  Reinsurance Group of America, Inc.   276,780 
1,402  RenaissanceRe Holdings Ltd.   198,804 
3,452  Selective Insurance Group, Inc.   270,533 
20,311  SiriusPoint Ltd. (a)   190,923 
2,973  Stewart Information Services Corp.   211,588 
4,346  Travelers (The) Cos., Inc.   699,184 
10,407  Unum Group   265,066 
1,781  W.R. Berkley Corp.   141,768 
176  White Mountains Insurance Group Ltd.   185,678 
       15,878,599 
         
   Interactive Media & Services — 0.3%     
2,503  IAC/InterActiveCorp (a)   381,382 
         
         
   Internet & Direct Marketing Retail — 0.7%     
9,485  eBay, Inc.   727,689 
473  Overstock.com, Inc. (a)   45,044 
31,993  Qurate Retail, Inc., Series A   334,007 
       1,106,740 
         
   IT Services — 1.7%     
403  Accenture PLC, Class A   144,592 
2,527  Akamai Technologies, Inc. (a)   266,497 
1,938  Alliance Data Systems Corp.   165,215 
1,587  Broadridge Financial Solutions, Inc.   283,137 
5,202  Cognizant Technology Solutions Corp., Class A   406,224 
765  CSG Systems International, Inc.   38,288 
7,760  DXC Technology Co. (a)   252,743 
1,057  Fidelity National Information Services, Inc.   117,052 
1,186  Fiserv, Inc. (a)   116,809 
1,373  Genpact Ltd.   67,758 
816  Global Payments, Inc.   116,680 
926  International Business Machines Corp.   115,843 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   IT Services (Continued)     
2,351  MAXIMUS, Inc.  $198,824 
11,243  SolarWinds Corp.   181,012 
9,673  Western Union (The) Co.   176,242 
       2,646,916 
         
   Leisure Products — 0.3%     
730  Hasbro, Inc.   69,905 
1,076  Malibu Boats, Inc., Class A (a)   75,976 
2,180  Polaris, Inc.   250,591 
       396,472 
         
   Life Sciences Tools & Services — 0.5%     
886  Bio-Rad Laboratories, Inc., Class A (a)   704,086 
         
         
   Machinery — 4.3%     
2,129  AGCO Corp.   260,185 
539  Alamo Group, Inc.   81,497 
978  Albany International Corp., Class A   78,876 
5,538  Allison Transmission Holdings, Inc.   184,748 
1,358  Altra Industrial Motion Corp.   70,820 
1,803  Barnes Group, Inc.   75,618 
670  Caterpillar, Inc.   136,687 
1,421  Colfax Corp. (a)   73,352 
2,063  Crane Co.   213,067 
2,354  Cummins, Inc.   564,583 
1,136  Donaldson Co., Inc.   68,171 
828  Dover Corp.   139,998 
956  Federal Signal Corp.   40,926 
1,881  Flowserve Corp.   63,239 
9,364  Fortive Corp.   708,948 
462  Franklin Electric Co., Inc.   39,908 
12,022  Gates Industrial Corp. PLC (a)   197,642 
1,764  Hillenbrand, Inc.   80,191 
623  Illinois Tool Works, Inc.   141,963 
3,234  Kennametal, Inc.   128,551 
506  Lincoln Electric Holdings, Inc.   72,054 
5,196  Meritor, Inc. (a)   126,471 
3,661  Mueller Industries, Inc.   192,715 
2,425  Mueller Water Products, Inc., Class A   39,794 
2,548  Oshkosh Corp.   272,636 
6,697  PACCAR, Inc.   600,185 
1,381  Parker-Hannifin Corp.   409,591 
554  Proto Labs, Inc. (a)   33,135 
1,249  Snap-on, Inc.   253,834 
690  SPX Corp. (a)   40,082 
3,016  Stanley Black & Decker, Inc.   542,066 
499  Tennant Co.   39,651 
3,987  Timken (The) Co.   282,878 
3,066  Westinghouse Air Brake Technologies Corp.   278,178 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Machinery (Continued)     
577  Woodward, Inc.  $65,172 
       6,597,412 
         
   Marine — 0.1%     
2,309  Kirby Corp. (a)   121,015 
         
         
   Media — 1.7%     
3,230  AMC Networks, Inc., Class A (a)   128,522 
6,902  Comcast Corp., Class A   354,970 
12,845  Discovery, Inc., Class A (a)   301,087 
7,502  DISH Network Corp., Class A (a)   308,107 
6,590  Fox Corp., Class A   261,887 
8,241  Gray Television, Inc.   193,169 
1,440  John Wiley & Sons, Inc., Class A   78,005 
3,648  Omnicom Group, Inc.   248,356 
9,537  TEGNA, Inc.   187,497 
16,725  ViacomCBS, Inc., Class B   605,779 
       2,667,379 
         
   Metals & Mining — 1.5%     
24,387  Coeur Mining, Inc. (a)   154,370 
4,940  Commercial Metals Co.   158,969 
12,170  Newmont Corp.   657,180 
2,288  Reliance Steel & Aluminum Co.   334,414 
5,575  Steel Dynamics, Inc.   368,396 
14,838  United States Steel Corp.   391,575 
2,855  Worthington Industries, Inc.   155,083 
       2,219,987 
         
   Mortgage Real Estate Investment Trusts — 1.3%     
38,718  Annaly Capital Management, Inc.   327,554 
10,147  Apollo Commercial Real Estate Finance, Inc.   153,625 
6,452  Blackstone Mortgage Trust, Inc., Class A   212,271 
12,666  Chimera Investment Corp.   197,716 
41,155  MFA Financial, Inc.   185,609 
23,708  New Residential Investment Corp.   269,323 
44,149  New York Mortgage Trust, Inc.   193,814 
9,551  PennyMac Mortgage Investment Trust   192,453 
29,664  Two Harbors Investment Corp.   190,443 
       1,922,808 
         
   Multiline Retail — 1.2%     
4,337  Big Lots, Inc.   191,912 
1,247  Dollar General Corp.   276,235 
5,522  Dollar Tree, Inc. (a)   595,051 
6,923  Kohl’s Corp.   335,973 
11,540  Macy’s, Inc.   305,464 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Multiline Retail (Continued)     
2,162  Ollie’s Bargain Outlet Holdings, Inc. (a)  $146,281 
       1,850,916 
         
   Multi-Utilities — 3.3%     
4,765  Ameren Corp.   401,642 
3,847  Avista Corp.   153,149 
4,156  Black Hills Corp.   275,875 
21,490  CenterPoint Energy, Inc.   559,600 
6,464  CMS Energy Corp.   390,102 
7,282  Consolidated Edison, Inc.   549,063 
3,619  Dominion Energy, Inc.   274,791 
4,733  DTE Energy Co.   536,486 
8,789  MDU Resources Group, Inc.   270,086 
5,381  NiSource, Inc.   132,749 
2,627  NorthWestern Corp.   149,371 
6,339  Public Service Enterprise Group, Inc.   404,428 
4,178  Sempra Energy   533,238 
4,377  WEC Energy Group, Inc.   394,193 
       5,024,773 
         
   Oil, Gas & Consumable Fuels — 3.1%     
4,587  California Resources Corp. (a)   211,598 
3,806  Chevron Corp.   435,749 
5,961  CNX Resources Corp. (a)   87,090 
5,697  ConocoPhillips   424,369 
4,238  Continental Resources, Inc.   206,857 
5,993  Coterra Energy, Inc.   127,771 
3,623  Devon Energy Corp.   145,210 
6,586  EOG Resources, Inc.   608,941 
14,838  Equitrans Midstream Corp.   152,980 
7,871  HollyFrontier Corp.   266,040 
31,598  Kinder Morgan, Inc.   529,266 
19,078  Marathon Oil Corp.   311,353 
4,277  Marathon Petroleum Corp.   281,983 
1,478  Murphy Oil Corp.   41,133 
1,892  Oasis Petroleum, Inc.   228,175 
772  Pioneer Natural Resources Co.   144,349 
2,996  Renewable Energy Group, Inc. (a)   191,744 
3,221  Whiting Petroleum Corp. (a)   209,784 
3,292  World Fuel Services Corp.   100,505 
       4,704,897 
         
   Personal Products — 0.2%     
3,051  Edgewell Personal Care Co.   106,755 
4,648  Nu Skin Enterprises, Inc., Class A   186,617 
815  USANA Health Sciences, Inc. (a)   79,104 
       372,476 
         
   Pharmaceuticals — 1.0%     
1,637  Johnson & Johnson   266,634 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Pharmaceuticals (Continued)     
7,953  Organon & Co.  $292,273 
8,976  Pfizer, Inc.   392,610 
1,341  Prestige Consumer Healthcare, Inc. (a)   80,447 
39,015  Viatris, Inc.   520,850 
       1,552,814 
         
   Professional Services — 0.9%     
577  ASGN, Inc. (a)   69,044 
823  Booz Allen Hamilton Holding Corp.   71,486 
996  CACI International, Inc., Class A (a)   286,489 
1,141  CBIZ, Inc. (a)   41,886 
968  FTI Consulting, Inc. (a)   139,315 
414  ICF International, Inc.   41,603 
4,017  Leidos Holdings, Inc.   401,620 
602  ManpowerGroup, Inc.   58,183 
992  ManTech International Corp., Class A   85,530 
649  Robert Half International, Inc.   73,382 
1,523  Science Applications International Corp.   136,735 
       1,405,273 
         
   Real Estate Management & Development — 0.4%     
1,321  CBRE Group, Inc., Class A (a)   137,490 
743  Howard Hughes (The) Corp. (a)   64,738 
789  Jones Lang LaSalle, Inc. (a)   203,743 
1,852  Marcus & Millichap, Inc. (a)   87,229 
10,722  Realogy Holdings Corp. (a)   185,705 
       678,905 
         
   Road & Rail — 1.8%     
1,840  ArcBest Corp.   165,324 
12,981  CSX Corp.   469,523 
1,581  J.B. Hunt Transport Services, Inc.   311,757 
6,374  Knight-Swift Transportation Holdings, Inc.   361,342 
827  Landstar System, Inc.   145,395 
1,104  Norfolk Southern Corp.   323,527 
1,818  Ryder System, Inc.   154,439 
6,618  Schneider National, Inc., Class B   165,053 
657  Union Pacific Corp.   158,600 
3,399  Werner Enterprises, Inc.   154,043 
4,850  XPO Logistics, Inc. (a)   416,130 
       2,825,133 
         
   Semiconductors & Semiconductor Equipment — 0.8%     
990  FormFactor, Inc. (a)   39,382 
12,402  Intel Corp.   607,698 
9,311  Micron Technology, Inc.   643,390 
       1,290,470 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Software — 0.2%     
3,809  SS&C Technologies Holdings, Inc.  $302,701 
         
         
   Specialty Retail — 2.5%     
311  Advance Auto Parts, Inc.   70,137 
562  Asbury Automotive Group, Inc. (a)   109,989 
2,142  AutoNation, Inc. (a)   259,439 
5,001  Best Buy Co., Inc.   611,322 
1,935  Camping World Holdings, Inc., Class A   72,079 
2,065  CarMax, Inc. (a)   282,740 
7,140  Foot Locker, Inc.   340,364 
11,490  Gap (The), Inc.   260,708 
1,001  Group 1 Automotive, Inc.   179,980 
391  Home Depot (The), Inc.   145,350 
823  Lithia Motors, Inc.   262,718 
662  Murphy USA, Inc.   107,873 
1,874  ODP (The) Corp. (a)   81,144 
2,593  Penske Automotive Group, Inc.   274,988 
6,570  Sally Beauty Holdings, Inc. (a)   100,258 
2,863  Sonic Automotive, Inc., Class A   141,518 
635  Tractor Supply Co.   137,903 
356  Ulta Beauty, Inc. (a)   130,780 
6,335  Urban Outfitters, Inc. (a)   202,276 
       3,771,566 
         
   Technology Hardware, Storage & Peripherals — 1.4%     
46,372  Hewlett Packard Enterprise Co.   679,350 
19,322  HP, Inc.   586,036 
3,027  Super Micro Computer, Inc. (a)   107,126 
9,366  Western Digital Corp. (a)   489,748 
16,163  Xerox Holdings Corp.   287,701 
       2,149,961 
         
   Textiles, Apparel & Luxury Goods — 0.5%     
2,012  Carter’s, Inc.   198,222 
1,360  Columbia Sportswear Co.   141,222 
1,902  PVH Corp. (a)   207,946 
3,097  Skechers U.S.A., Inc., Class A (a)   143,112 
1,921  VF Corp.   140,003 
       830,505 
         
   Thrifts & Mortgage Finance — 1.6%     
3,211  Capitol Federal Financial, Inc.   38,949 
7,407  Essent Group Ltd.   355,536 
21,792  MGIC Investment Corp.   352,159 
4,569  Mr. Cooper Group, Inc. (a)   200,305 
15,198  New York Community Bancorp, Inc.   188,911 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Thrifts & Mortgage Finance (Continued)     
8,318  NMI Holdings, Inc., Class A (a)  $201,961 
8,336  Northwest Bancshares, Inc.   115,037 
5,333  PennyMac Financial Services, Inc.   330,966 
4,717  Provident Financial Services, Inc.   116,793 
14,349  Radian Group, Inc.   342,510 
2,192  Washington Federal, Inc.   77,509 
2,933  WSFS Financial Corp.   151,959 
       2,472,595 
         
   Tobacco — 0.1%     
2,826  Altria Group, Inc.   124,655 
         
         
   Trading Companies & Distributors — 1.4%     
8,286  Air Lease Corp.   331,854 
835  Applied Industrial Technologies, Inc.   81,396 
2,318  Beacon Roofing Supply, Inc. (a)   122,553 
3,484  Boise Cascade Co.   197,264 
2,493  Fastenal Co.   142,300 
1,235  GATX Corp.   117,140 
3,436  GMS, Inc. (a)   170,185 
1,539  McGrath RentCorp   111,023 
1,627  MSC Industrial Direct Co., Inc., Class A   136,782 
3,331  Rush Enterprises, Inc., Class A   173,479 
2,892  Triton International Ltd.   179,854 
328  W.W. Grainger, Inc.   151,900 
247  Watsco, Inc.   71,526 
1,131  WESCO International, Inc. (a)   146,532 
       2,133,788 
         
   Water Utilities — 0.0%     
558  SJW Group   36,783 
         
         
   Wireless Telecommunication Services — 0.6%     
4,764  Shenandoah Telecommunications Co.   131,677 
9,646  Telephone and Data Systems, Inc.   180,766 
3,022  T-Mobile US, Inc. (a)   347,621 
5,897  United States Cellular Corp. (a)   180,271 
       840,335 
   Total Common Stocks — 99.8%   152,538,898 
   (Cost $144,316,522)     
         
   Money Market Funds — 0.3%     
197,099  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   197,099 

 

 

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Money Market Funds (Continued)     
326,255  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (c)  $326,255 
   Total Money Market Funds — 0.3%   523,354 
   (Cost $523,354)     

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.2%     
$ 256,689  BNP Paribas S.A., 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $256,689. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $262,089. (d)   256,689 
   (Cost $256,689)     
         
   Total Investments — 100.3%   153,318,941 
   (Cost $145,096,565) (e)     
   Net Other Assets and Liabilities — (0.3)%   (463,934)
   Net Assets — 100.0%  $152,855,007 

 

  

(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 $446,918 and the total value of the collateral held by the Fund is $453,788.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $11,755,132 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $3,532,756. The net unrealized appreciation was $8,222,376.

  

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $152,538,898   $152,538,898   $—     $—   
Money Market Funds   523,354    523,354    —      —   
Repurchase Agreements   256,689    —      256,689    —   
Total Investments  $153,318,941   $153,062,252   $256,689   $—   

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 100.0%     
   Aerospace & Defense — 0.3%     
702  AeroVironment, Inc. (a)  $62,555 
2,448  Axon Enterprise, Inc. (a)   440,542 
2,717  Kratos Defense & Security Solutions, Inc. (a)   58,117 
4,847  Spirit AeroSystems Holdings, Inc., Class A   200,133 
       761,347 
         
   Air Freight & Logistics — 0.3%     
5,323  Expeditors International of Washington, Inc.   656,113 
         
         
   Airlines — 0.2%     
10,438  American Airlines Group, Inc. (a)   200,410 
4,961  Delta Air Lines, Inc. (a)   194,124 
2,337  Spirit Airlines, Inc. (a)   51,063 
       445,597 
         
   Auto Components — 0.8%     
5,962  Adient PLC (a)   248,138 
4,257  Aptiv PLC (a)   735,993 
2,964  Fox Factory Holding Corp. (a)   477,056 
3,817  Gentherm, Inc. (a)   281,046 
3,258  XPEL, Inc. (a) (b)   247,282 
       1,989,515 
         
   Automobiles — 0.5%     
1,120  Tesla, Inc. (a)   1,247,680 
         
         
   Banks — 2.7%     
4,764  Ameris Bancorp   249,586 
508  First Citizens BancShares, Inc., Class A   413,461 
2,331  First Financial Bankshares, Inc.   118,228 
3,288  First Republic Bank   711,293 
5,805  Glacier Bancorp, Inc.   320,959 
3,884  Live Oak Bancshares, Inc.   346,375 
5,964  Pacific Premier Bancorp, Inc.   250,428 
4,553  Pinnacle Financial Partners, Inc.   439,683 
40,749  Regions Financial Corp.   964,936 
3,177  ServisFirst Bancshares, Inc.   255,145 
1,573  Signature Bank   468,471 
1,070  Silvergate Capital Corp., Class A (a)   167,584 
1,678  SVB Financial Group (a)   1,203,797 
3,085  Triumph Bancorp, Inc. (a)   361,871 
6,279  Veritex Holdings, Inc.   257,125 
4,921  Western Alliance Bancorp   571,279 
       7,100,221 
         
   Beverages — 0.5%     
210  Boston Beer (The) Co., Inc., Class A (a)   103,421 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Beverages (Continued)     
5,944  Celsius Holdings, Inc. (a)  $573,715 
627  Coca-Cola Consolidated, Inc.   251,678 
6,121  National Beverage Corp.   345,224 
       1,274,038 
         
   Biotechnology — 5.0%     
4,025  AbbVie, Inc.   461,547 
1,867  Acceleron Pharma, Inc. (a)   325,194 
7,970  Alector, Inc. (a)   173,268 
17,363  Alkermes PLC (a)   525,925 
4,599  Alnylam Pharmaceuticals, Inc. (a)   733,816 
1,673  ALX Oncology Holdings, Inc. (a)   93,755 
12,939  Amicus Therapeutics, Inc. (a)   135,859 
8,860  Arcus Biosciences, Inc. (a)   296,278 
8,431  Avid Bioservices, Inc. (a)   258,663 
1,231  Beam Therapeutics, Inc. (a)   109,276 
17,199  BioCryst Pharmaceuticals, Inc. (a)   256,781 
3,855  Biohaven Pharmaceutical Holding Co., Ltd. (a)   548,644 
1,386  BioMarin Pharmaceutical, Inc. (a)   109,813 
4,167  Blueprint Medicines Corp. (a)   468,746 
3,380  CareDx, Inc. (a)   172,380 
5,722  Celldex Therapeutics, Inc. (a)   243,414 
957  CRISPR Therapeutics AG (a)   87,403 
8,644  Cytokinetics, Inc. (a)   301,762 
1,784  Deciphera Pharmaceuticals, Inc. (a)   59,568 
2,123  Denali Therapeutics, Inc. (a)   102,647 
3,007  Dicerna Pharmaceuticals, Inc. (a)   62,576 
1,476  Editas Medicine, Inc. (a)   54,199 
2,379  Global Blood Therapeutics, Inc. (a)   86,881 
5,265  Halozyme Therapeutics, Inc. (a)   200,438 
7,927  Horizon Therapeutics PLC (a)   950,527 
1,597  Intellia Therapeutics, Inc. (a)   212,369 
5,259  Kymera Therapeutics, Inc. (a)   309,650 
2,895  MacroGenics, Inc. (a)   56,539 
1,211  Mirati Therapeutics, Inc. (a)   228,903 
2,820  Moderna, Inc. (a)   973,492 
3,211  Morphic Holding, Inc. (a)   184,632 
5,632  Myriad Genetics, Inc. (a)   173,297 
2,883  Natera, Inc. (a)   330,305 
1,117  Neurocrine Biosciences, Inc. (a)   117,743 
2,066  Novavax, Inc. (a)   307,483 
12,771  Organogenesis Holdings, Inc. (a)   140,226 
4,337  Prothena Corp. PLC (a)   240,053 
1,629  PTC Therapeutics, Inc. (a)   61,788 
1,435  Regeneron Pharmaceuticals, Inc. (a)   918,314 
3,474  Sarepta Therapeutics, Inc. (a)   274,898 
3,735  Seagen, Inc. (a)   658,592 
1,001  Twist Bioscience Corp. (a)   118,919 
1,187  Ultragenyx Pharmaceutical, Inc. (a)   99,613 
2,321  United Therapeutics Corp. (a)   442,754 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Biotechnology (Continued)     
2,660  Veracyte, Inc. (a)  $127,361 
2,532  Vericel Corp. (a)   116,523 
2,461  Vir Biotechnology, Inc. (a)   92,853 
       13,005,667 
         
   Building Products — 1.0%     
928  AAON, Inc.   66,491 
2,970  Advanced Drainage Systems, Inc.   335,016 
1,621  Allegion PLC   207,974 
2,244  Armstrong World Industries, Inc.   237,079 
1,935  CSW Industrials, Inc.   268,230 
9,314  Johnson Controls International PLC   683,368 
364  Lennox International, Inc.   108,938 
3,152  Trex Co., Inc. (a)   335,373 
8,329  Zurn Water Solutions Corp.   302,176 
       2,544,645 
         
   Capital Markets — 6.9%     
2,127  Affiliated Managers Group, Inc.   357,081 
6,956  Apollo Global Management, Inc.   535,264 
7,253  Ares Management Corp., Class A   614,619 
3,718  Artisan Partners Asset Management, Inc., Class A   184,190 
4,186  B. Riley Financial, Inc.   299,969 
518  BlackRock, Inc.   488,712 
9,330  Blackstone, Inc.   1,291,459 
22,958  Carlyle Group (The), Inc.   1,289,092 
5,961  Charles Schwab (The) Corp.   488,981 
2,171  Cohen & Steers, Inc.   206,006 
3,205  Evercore, Inc., Class A   486,647 
814  FactSet Research Systems, Inc.   361,326 
4,719  Focus Financial Partners, Inc., Class A (a)   296,636 
2,297  Goldman Sachs Group (The), Inc.   949,465 
715  Hamilton Lane, Inc., Class A   74,725 
5,814  Houlihan Lokey, Inc.   651,633 
1,841  Intercontinental Exchange, Inc.   254,905 
13,326  Invesco Ltd.   338,614 
17,829  KKR & Co., Inc.   1,420,436 
3,416  LPL Financial Holdings, Inc.   560,292 
4,993  Moelis & Co., Class A   363,191 
595  Moody’s Corp.   240,469 
8,924  Morgan Stanley   917,209 
1,654  Morningstar, Inc.   523,904 
1,427  MSCI, Inc.   948,784 
5,623  Nasdaq, Inc.   1,180,099 
5,938  Open Lending Corp., Class A (a)   187,166 
2,231  Piper Sandler Cos.   367,423 
3,124  PJT Partners, Inc., Class A   255,512 
498  S&P Global, Inc.   236,132 
7,245  StepStone Group, Inc., Class A   340,370 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Capital Markets (Continued)     
3,224  T. Rowe Price Group, Inc.  $699,221 
1,326  Tradeweb Markets, Inc., Class A   118,147 
2,481  Virtu Financial, Inc., Class A   61,727 
995  Virtus Investment Partners, Inc.   318,400 
       17,907,806 
         
   Chemicals — 1.8%     
4,957  Albemarle Corp.   1,241,580 
15,600  Amyris, Inc. (a)   231,192 
2,953  Balchem Corp.   452,075 
24,699  Element Solutions, Inc.   560,914 
10,694  Livent Corp. (a)   301,784 
11,098  Olin Corp.   632,364 
1,352  Quaker Chemical Corp.   332,376 
1,552  Sherwin-Williams (The) Co.   491,379 
13,739  Valvoline, Inc.   466,576 
       4,710,240 
         
   Commercial Services & Supplies — 0.6%     
1,952  Brink’s (The) Co.   134,454 
2,395  Casella Waste Systems, Inc., Class A (a)   207,694 
698  Cimpress PLC (a)   62,345 
555  Cintas Corp.   240,371 
4,571  Copart, Inc. (a)   709,831 
3,925  IAA, Inc. (a)   234,126 
       1,588,821 
         
   Communications Equipment — 0.7%     
1,263  Arista Networks, Inc. (a)   517,438 
6,250  Calix, Inc. (a)   391,188 
7,881  CommScope Holding Co., Inc. (a)   84,406 
7,286  Infinera Corp. (a)   55,301 
2,729  Motorola Solutions, Inc.   678,402 
7,851  Viavi Solutions, Inc. (a)   120,905 
       1,847,640 
         
   Construction & Engineering — 0.6%     
4,230  Ameresco, Inc., Class A (a)   347,410 
3,105  MYR Group, Inc. (a)   317,175 
1,822  Valmont Industries, Inc.   435,385 
13,505  WillScot Mobile Mini Holdings Corp. (a)   469,299 
       1,569,269 
         
   Construction Materials — 0.3%     
1,633  Eagle Materials, Inc.   242,272 
619  Martin Marietta Materials, Inc.   243,168 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Construction Materials (Continued)     
5,689  Summit Materials, Inc., Class A (a)  $202,813 
       688,253 
         
   Consumer Finance — 0.8%     
7,068  Discover Financial Services   800,946 
10,939  LendingClub Corp. (a)   502,756 
15,658  Navient Corp.   308,463 
18,255  SLM Corp.   334,979 
       1,947,144 
         
   Containers & Packaging — 0.5%     
3,060  Avery Dennison Corp.   666,223 
9,215  Ranpak Holdings Corp. (a)   317,549 
5,864  Sealed Air Corp.   347,853 
       1,331,625 
         
   Distributors — 0.4%     
1,999  Pool Corp.   1,029,805 
         
         
   Diversified Consumer Services — 0.0%     
1,806  2U, Inc. (a)   53,349 
6,415  Vivint Smart Home, Inc. (a)   58,184 
       111,533 
         
   Diversified Telecommunication Services — 0.2%     
672  Bandwidth, Inc., Class A (a)   57,308 
108,899  Globalstar, Inc. (a) (c)   179,684 
5,375  Iridium Communications, Inc. (a)   217,956 
       454,948 
         
   Electrical Equipment — 1.0%     
3,554  Atkore, Inc. (a)   335,960 
2,119  Blink Charging Co. (a) (c)   67,384 
2,125  Generac Holdings, Inc. (a)   1,059,440 
1,477  Rockwell Automation, Inc.   471,754 
17,783  Vertiv Holdings Co.   456,667 
1,842  Vicor Corp. (a)   279,229 
       2,670,434 
         
   Electronic Equipment, Instruments & Components — 1.6%     
1,408  Advanced Energy Industries, Inc.   129,283 
8,659  Amphenol Corp., Class A   664,751 
1,798  Badger Meter, Inc.   183,845 
3,484  CDW Corp.   650,289 
3,608  II-VI, Inc. (a)   218,320 
5,285  Keysight Technologies, Inc. (a)   951,406 
2,150  nLight, Inc. (a)   60,458 
986  PAR Technology Corp. (a)   61,941 
975  Rogers Corp. (a)   196,092 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Electronic Equipment, Instruments & Components (Continued)     
5,279  Trimble, Inc. (a)  $461,226 
1,230  Zebra Technologies Corp., Class A (a)   656,758 
       4,234,369 
         
   Entertainment — 0.8%     
5,554  AMC Entertainment Holdings, Inc., Class A (a) (c)   196,445 
3,156  Cinemark Holdings, Inc. (a)   59,333 
2,320  Live Nation Entertainment, Inc. (a)   234,668 
1,039  Netflix, Inc. (a)   717,232 
674  Roku, Inc. (a)   205,502 
10,023  Warner Music Group Corp., Class A   496,038 
2,196  World Wrestling Entertainment, Inc., Class A   134,154 
14,223  Zynga, Inc., Class A (a)   104,966 
       2,148,338 
         
   Equity Real Estate Investment Trusts — 5.7%     
6,055  Acadia Realty Trust   129,456 
5,619  American Homes 4 Rent, Class A   228,131 
1,959  AvalonBay Communities, Inc.   463,656 
14,532  Brixmor Property Group, Inc.   340,630 
4,300  Camden Property Trust   701,330 
2,983  CareTrust REIT, Inc.   61,897 
1,546  CoreSite Realty Corp.   220,243 
6,631  CubeSmart   364,771 
2,767  CyrusOne, Inc.   226,949 
6,415  DiamondRock Hospitality Co. (a)   57,992 
20,493  DigitalBridge Group, Inc. (a)   137,303 
4,415  Duke Realty Corp.   248,300 
2,934  Easterly Government Properties, Inc.   61,702 
1,286  EastGroup Properties, Inc.   254,345 
6,044  Empire State Realty Trust, Inc., Class A   58,506 
5,559  Equity LifeStyle Properties, Inc.   469,791 
2,612  Equity Residential   225,677 
4,426  Essential Properties Realty Trust, Inc.   131,851 
1,358  Essex Property Trust, Inc.   461,625 
2,585  Extra Space Storage, Inc.   510,201 
1,815  Federal Realty Investment Trust   218,435 
2,056  First Industrial Realty Trust, Inc.   119,721 
2,257  Four Corners Property Trust, Inc.   65,453 
2,312  Gaming and Leisure Properties, Inc.   112,109 
8,937  Independence Realty Trust, Inc.   211,181 
2,316  Innovative Industrial Properties, Inc.   609,316 
5,515  Invitation Homes, Inc.   227,494 
12,324  Iron Mountain, Inc.   562,467 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Equity Real Estate Investment Trusts (Continued)     
9,854  iStar, Inc. (c)  $248,715 
6,069  Kite Realty Group Trust   123,201 
2,832  Lamar Advertising Co., Class A   320,582 
2,800  Life Storage, Inc.   374,668 
10,884  Macerich (The) Co.   196,892 
3,395  Mid-America Apartment Communities, Inc.   693,293 
6,086  National Storage Affiliates Trust   380,132 
2,939  NexPoint Residential Trust, Inc.   208,140 
7,217  Outfront Media, Inc.   179,631 
1,685  Prologis, Inc.   244,258 
683  PS Business Parks, Inc.   121,369 
712  Public Storage   236,512 
7,094  Retail Opportunity Investments Corp.   126,060 
3,774  Rexford Industrial Realty, Inc.   253,613 
3,839  Ryman Hospitality Properties, Inc. (a)   328,388 
2,980  Safehold, Inc.   222,606 
11,024  Service Properties Trust   118,729 
3,341  Simon Property Group, Inc.   489,724 
11,779  SITE Centers Corp.   187,168 
5,457  STAG Industrial, Inc.   237,543 
3,426  Sun Communities, Inc.   671,428 
7,581  Tanger Factory Outlet Centers, Inc. (c)   127,361 
1,694  Terreno Realty Corp.   123,882 
14,702  Uniti Group, Inc.   210,386 
6,749  Urban Edge Properties   118,310 
17,827  Weyerhaeuser Co.   636,780 
       14,659,903 
         
   Food Products — 0.3%     
5,958  Darling Ingredients, Inc. (a)   503,570 
751  Freshpet, Inc. (a)   117,088 
7,166  Simply Good Foods (The) Co. (a)   284,132 
       904,790 
         
   Gas Utilities — 0.1%     
55,079  Macquarie Infrastructure Holdings LLC   203,241 
         
         
   Health Care Equipment & Supplies — 5.1%     
3,675  Abbott Laboratories   473,671 
1,631  Align Technology, Inc. (a)   1,018,347 
1,777  AtriCure, Inc. (a)   133,382 
2,794  Axonics, Inc. (a)   204,940 
2,920  BioLife Solutions, Inc. (a)   155,198 
1,847  Cardiovascular Systems, Inc. (a)   64,793 
1,390  CONMED Corp.   203,329 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Equipment & Supplies (Continued)     
1,050  Cooper (The) Cos., Inc.  $437,766 
3,716  CryoPort, Inc. (a)   303,003 
3,565  Danaher Corp.   1,111,460 
3,641  DENTSPLY SIRONA, Inc.   208,302 
1,588  Dexcom, Inc. (a)   989,657 
5,601  Edwards Lifesciences Corp. (a)   671,112 
5,591  Globus Medical, Inc., Class A (a)   431,457 
1,195  Heska Corp. (a)   267,118 
1,020  IDEXX Laboratories, Inc. (a)   679,463 
1,321  Inari Medical, Inc. (a)   119,577 
1,407  Inogen, Inc. (a)   55,788 
4,692  Integra LifeSciences Holdings Corp. (a)   311,830 
1,914  Intuitive Surgical, Inc. (a)   691,203 
7,082  Lantheus Holdings, Inc. (a)   165,648 
1,604  Masimo Corp. (a)   454,798 
2,466  Neogen Corp. (a)   104,336 
2,500  Outset Medical, Inc. (a)   133,175 
804  Penumbra, Inc. (a)   222,346 
3,035  Quidel Corp. (a)   402,957 
2,406  ResMed, Inc.   632,561 
2,601  Shockwave Medical, Inc. (a)   555,834 
2,246  Silk Road Medical, Inc. (a)   131,863 
2,500  STAAR Surgical Co. (a)   296,150 
3,588  Tandem Diabetes Care, Inc. (a)   489,152 
2,557  West Pharmaceutical Services, Inc.   1,099,203 
       13,219,419 
         
   Health Care Providers & Services — 3.0%     
6,717  Acadia Healthcare Co., Inc. (a)   416,454 
1,438  Accolade, Inc. (a)   57,218 
2,603  AdaptHealth Corp. (a)   70,932 
16,226  Agiliti, Inc. (a)   365,896 
4,667  AMN Healthcare Services, Inc. (a)   460,633 
5,881  Apollo Medical Holdings, Inc. (a) (c)   403,613 
912  Castle Biosciences, Inc. (a)   56,863 
10,562  Community Health Systems, Inc. (a)   138,362 
1,659  CorVel Corp. (a)   303,962 
3,685  DaVita, Inc. (a)   380,439 
1,430  Ensign Group (The), Inc.   111,554 
2,748  Fulgent Genetics, Inc. (a) (c)   227,864 
857  Guardant Health, Inc. (a)   100,089 
4,472  HCA Healthcare, Inc.   1,120,057 
3,085  Laboratory Corp. of America Holdings (a)   885,457 
1,701  ModivCare, Inc. (a)   276,872 
12,734  Option Care Health, Inc. (a)   348,020 
1,937  Owens & Minor, Inc.   69,500 
7,650  Progyny, Inc. (a)   469,940 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Providers & Services (Continued)     
4,866  R1 RCM, Inc. (a)  $105,592 
8,432  RadNet, Inc. (a)   262,151 
8,883  Select Medical Holdings Corp.   295,093 
2,529  Surgery Partners, Inc. (a)   104,043 
8,060  Tenet Healthcare Corp. (a)   577,580 
1,117  US Physical Therapy, Inc.   120,480 
       7,728,664 
         
   Health Care Technology — 0.6%     
9,243  Allscripts Healthcare Solutions, Inc. (a)   127,368 
9,965  Evolent Health, Inc., Class A (a)   291,675 
3,013  GoodRx Holdings, Inc., Class A (a)   134,380 
1,212  Health Catalyst, Inc. (a)   63,800 
1,840  Inspire Medical Systems, Inc. (a)   496,027 
2,165  Omnicell, Inc. (a)   385,695 
2,003  Phreesia, Inc. (a)   141,292 
       1,640,237 
         
   Hotels, Restaurants & Leisure — 3.8%     
3,627  Bally’s Corp. (a)   166,153 
7,275  Bloomin’ Brands, Inc. (a)   157,285 
6,772  Boyd Gaming Corp. (a)   431,918 
9,667  Caesars Entertainment, Inc. (a)   1,058,150 
2,629  Cheesecake Factory (The), Inc. (a)   106,843 
478  Chipotle Mexican Grill, Inc. (a)   850,376 
1,784  Churchill Downs, Inc.   410,320 
4,745  Dave & Buster’s Entertainment, Inc. (a)   176,182 
1,329  Domino’s Pizza, Inc.   649,841 
12,776  Everi Holdings, Inc. (a)   306,624 
1,290  Expedia Group, Inc. (a)   212,089 
5,195  Hilton Grand Vacations, Inc. (a)   261,205 
3,287  Hilton Worldwide Holdings, Inc. (a)   473,164 
1,270  Jack in the Box, Inc.   125,666 
877  McDonald’s Corp.   215,347 
14,696  MGM Resorts International   693,063 
2,433  Papa John’s International, Inc.   301,887 
1,478  Penn National Gaming, Inc. (a)   105,825 
6,031  Red Rock Resorts, Inc., Class A (a)   328,147 
6,446  Scientific Games Corp. (a)   516,002 
4,468  SeaWorld Entertainment, Inc. (a)   283,718 
773  Shake Shack, Inc., Class A (a)   53,468 
2,908  Six Flags Entertainment Corp. (a)   119,606 
1,916  Starbucks Corp.   203,230 
3,518  Texas Roadhouse, Inc.   312,434 
3,928  Travel + Leisure Co.   213,448 
1,960  Wingstop, Inc.   338,041 
5,185  Yum! Brands, Inc.   647,814 
       9,717,846 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Household Durables — 0.8%     
5,586  Garmin Ltd.  $802,149 
1,153  Installed Building Products, Inc.   146,489 
5,144  Skyline Champion Corp. (a)   325,718 
9,929  Sonos, Inc. (a)   323,884 
11,538  Tempur Sealy International, Inc.   513,095 
       2,111,335 
         
   Household Products — 0.0%     
262  WD-40 Co.   59,474 
         
         
   Independent Power and Renewable Electricity Producers — 0.1%     
6,008  Clearway Energy, Inc., Class C   213,164 
         
         
   Industrial Conglomerates — 0.2%     
4,214  General Electric Co.   441,922 
         
         
   Insurance — 1.0%     
3,039  Aon PLC, Class A   972,237 
1,623  Goosehead Insurance, Inc., Class A   234,199 
764  Kinsale Capital Group, Inc.   142,983 
4,188  Marsh & McLennan Cos., Inc.   698,558 
2,250  Palomar Holdings, Inc. (a)   205,762 
2,136  RLI Corp.   231,350 
4,688  Selectquote, Inc. (a)   62,304 
1,379  Trupanion, Inc. (a)   141,210 
       2,688,603 
         
   Interactive Media & Services — 1.4%     
406  Alphabet, Inc., Class A (a)   1,202,133 
7,868  Cargurus, Inc. (a)   263,893 
1,279  Facebook, Inc., Class A (a)   413,846 
7,590  fuboTV, Inc. (a) (c)   226,258 
14,694  Snap, Inc., Class A (a)   772,611 
3,136  Ziff Davis, Inc. (a)   402,255 
5,251  ZoomInfo Technologies, Inc., Class A (a)   352,972 
       3,633,968 
         
   Internet & Direct Marketing Retail — 0.8%     
132  Amazon.com, Inc. (a)   445,161 
3,145  Chewy, Inc., Class A (a)   238,391 
3,049  Etsy, Inc. (a)   764,354 
4,599  RealReal (The), Inc. (a)   59,925 
4,001  Revolve Group, Inc. (a)   300,235 
2,181  Shutterstock, Inc.   264,228 
3,093  Stitch Fix, Inc., Class A (a)   107,018 
       2,179,312 
         

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   IT Services — 4.0%     
1,057  Automatic Data Processing, Inc.  $237,286 
9,636  Cloudflare, Inc., Class A (a)   1,876,322 
1,903  EPAM Systems, Inc. (a)   1,281,176 
3,978  EVERTEC, Inc.   179,845 
2,007  ExlService Holdings, Inc. (a)   246,118 
3,572  Gartner, Inc. (a)   1,185,582 
1,537  GoDaddy, Inc., Class A (a)   106,314 
1,306  Jack Henry & Associates, Inc.   217,423 
2,302  MongoDB, Inc. (a)   1,200,010 
3,861  Paychex, Inc.   475,984 
812  PayPal Holdings, Inc. (a)   188,863 
2,670  Perficient, Inc. (a)   330,012 
2,632  Repay Holdings Corp. (a)   55,298 
10,437  Sabre Corp. (a)   108,336 
1,381  Shift4 Payments, Inc., Class A (a)   87,182 
2,871  Snowflake, Inc., Class A (a)   1,015,875 
2,644  Square, Inc., Class A (a)   672,898 
7,163  Switch, Inc., Class A   181,081 
3,435  TTEC Holdings, Inc.   324,230 
9,831  Unisys Corp. (a)   251,379 
8,200  Verra Mobility Corp. (a)   122,016 
       10,343,230 
         
   Leisure Products — 0.8%     
5,292  Acushnet Holdings Corp.   269,574 
4,496  Brunswick Corp.   418,532 
3,876  Callaway Golf Co. (a)   104,846 
17,311  Mattel, Inc. (a)   377,553 
7,664  Vista Outdoor, Inc. (a)   320,662 
4,999  YETI Holdings, Inc. (a)   491,552 
       1,982,719 
         
   Life Sciences Tools & Services — 4.1%     
5,512  Agilent Technologies, Inc.   868,085 
26,539  Avantor, Inc. (a)   1,071,645 
1,309  Bio-Techne Corp.   685,458 
5,485  Bruker Corp.   440,445 
2,630  Charles River Laboratories International, Inc. (a)   1,180,028 
3,625  IQVIA Holdings, Inc. (a)   947,647 
2,263  Medpace Holdings, Inc. (a)   512,683 
315  Mettler-Toledo International, Inc. (a)   466,477 
4,440  NeoGenomics, Inc. (a)   204,240 
6,264  PerkinElmer, Inc.   1,108,039 
1,218  Quanterix Corp. (a)   61,643 
1,853  Repligen Corp. (a)   538,297 
4,897  Syneos Health, Inc. (a)   457,086 
1,900  Thermo Fisher Scientific, Inc.   1,202,833 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Life Sciences Tools & Services (Continued)     
2,430  Waters Corp. (a)  $893,147 
       10,637,753 
         
   Machinery — 2.1%     
2,802  Chart Industries, Inc. (a)   497,411 
1,296  Deere & Co.   443,634 
6,580  Evoqua Water Technologies Corp. (a)   275,241 
1,531  Graco, Inc.   115,101 
3,762  Helios Technologies, Inc.   342,530 
17,226  Ingersoll Rand, Inc. (a)   926,070 
1,211  Kadant, Inc.   268,987 
1,198  Lindsay Corp.   174,513 
2,512  Middleby (The) Corp. (a)   458,289 
7,707  Otis Worldwide Corp.   618,949 
1,009  RBC Bearings, Inc. (a)   236,035 
4,320  Terex Corp.   193,536 
2,199  Toro (The) Co.   209,939 
3,186  Watts Water Technologies, Inc., Class A   605,404 
       5,365,639 
         
   Marine — 0.1%     
3,828  Matson, Inc.   318,796 
         
         
   Media — 1.0%     
5,169  Altice USA, Inc., Class A (a)   84,255 
59  Cable One, Inc.   100,962 
597  Charter Communications, Inc., Class A (a)   402,909 
9,878  iHeartMedia, Inc., Class A (a)   191,436 
2,514  Liberty Broadband Corp., Class C (a)   408,399 
4,413  Magnite, Inc. (a)   119,283 
3,524  Nexstar Media Group, Inc., Class A   528,353 
7,801  Sinclair Broadcast Group, Inc., Class A   203,840 
2,999  TechTarget, Inc. (a)   282,836 
15,722  WideOpenWest, Inc. (a)   299,504 
       2,621,777 
         
   Metals & Mining — 1.5%     
10,942  Alcoa Corp.   502,785 
7,431  Allegheny Technologies, Inc. (a)   119,639 
27,031  Cleveland-Cliffs, Inc. (a)   651,717 
26,694  Freeport-McMoRan, Inc.   1,006,898 
11,022  Hecla Mining Co.   63,707 
2,268  Kaiser Aluminum Corp.   220,313 
11,021  Nucor Corp.   1,230,495 
       3,795,554 
         

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Mortgage Real Estate Investment Trusts — 0.2%     
6,791  AGNC Investment Corp.  $108,113 
9,814  Arbor Realty Trust, Inc.   197,359 
2,002  Hannon Armstrong Sustainable Infrastructure Capital, Inc.   120,921 
4,387  Starwood Property Trust, Inc.   111,737 
       538,130 
         
   Multiline Retail — 0.5%     
1,791  Dillard’s, Inc., Class A   413,972 
8,098  Nordstrom, Inc. (a)   232,655 
2,772  Target Corp.   719,667 
       1,366,294 
         
   Oil, Gas & Consumable Fuels — 4.0%     
30,834  Antero Midstream Corp.   328,074 
28,468  Antero Resources Corp. (a)   565,659 
24,988  APA Corp.   654,935 
6,295  Callon Petroleum Co. (a)   325,640 
11,113  Cheniere Energy, Inc. (a)   1,149,084 
7,438  Clean Energy Fuels Corp. (a)   68,578 
4,398  Denbury, Inc. (a)   372,335 
5,656  Diamondback Energy, Inc.   606,267 
5,558  Hess Corp.   458,924 
17,366  Magnolia Oil & Gas Corp., Class A   362,602 
8,121  Matador Resources Co.   339,864 
21,438  Occidental Petroleum Corp.   718,816 
18,718  ONEOK, Inc.   1,190,839 
16,286  Ovintiv, Inc.   611,051 
6,519  PDC Energy, Inc.   341,009 
13,652  Range Resources Corp. (a)   318,365 
11,711  SM Energy Co.   401,922 
55,764  Southwestern Energy Co. (a)   272,128 
10,882  Targa Resources Corp.   594,919 
46,512  Tellurian, Inc. (a)   182,327 
16,738  Williams (The) Cos., Inc.   470,170 
       10,333,508 
         
   Paper & Forest Products — 0.2%     
8,725  Louisiana-Pacific Corp.   514,164 
         
         
   Personal Products — 0.3%     
27,251  Coty, Inc., Class A (a)   231,088 
5,054  Herbalife Nutrition Ltd. (a)   234,506 
3,305  Inter Parfums, Inc.   305,316 
641  Medifast, Inc.   125,809 
       896,719 
         
   Pharmaceuticals — 1.3%     
2,606  Arvinas, Inc. (a)   225,628 
3,572  Bristol-Myers Squibb Co.   208,605 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Pharmaceuticals (Continued)     
8,157  Catalent, Inc. (a)  $1,124,524 
3,080  Corcept Therapeutics, Inc. (a)   55,440 
2,745  Eli Lilly & Co.   699,316 
6,448  Harmony Biosciences Holdings, Inc. (a)   267,399 
3,315  Intra-Cellular Therapies, Inc. (a)   142,777 
3,375  Nektar Therapeutics (a)   51,165 
2,884  NGM Biopharmaceuticals, Inc. (a)   53,267 
1,082  Pacira BioSciences, Inc. (a)   56,567 
4,435  Revance Therapeutics, Inc. (a)   60,981 
2,236  Zoetis, Inc.   483,423 
       3,429,092 
         
   Professional Services — 1.1%     
4,283  Equifax, Inc.   1,188,233 
2,840  Exponent, Inc.   326,032 
4,269  Korn Ferry   329,609 
3,866  TransUnion   445,711 
4,757  Upwork, Inc. (a)   224,150 
1,055  Verisk Analytics, Inc.   221,835 
       2,735,570 
         
   Real Estate Management & Development — 0.6%     
13,465  eXp World Holdings, Inc.   694,794 
5,907  Kennedy-Wilson Holdings, Inc.   132,140 
21,589  Newmark Group, Inc., Class A   321,244 
2,138  Redfin Corp. (a)   109,765 
4,320  St Joe (The) Co.   203,126 
       1,461,069 
         
   Road & Rail — 1.2%     
829  AMERCO   610,965 
4,596  Avis Budget Group, Inc. (a)   796,533 
3,036  Old Dominion Freight Line, Inc.   1,036,338 
1,800  Saia, Inc. (a)   562,752 
       3,006,588 
         
   Semiconductors & Semiconductor Equipment — 6.3%     
2,247  ACM Research, Inc., Class A (a)   238,564 
8,439  Advanced Micro Devices, Inc. (a)   1,014,621 
1,984  Ambarella, Inc. (a)   368,687 
21,462  Amkor Technology, Inc.   470,447 
1,262  Analog Devices, Inc.   218,944 
4,926  Applied Materials, Inc.   673,138 
436  Broadcom, Inc.   231,808 
5,232  Brooks Automation, Inc.   609,266 
2,601  Cirrus Logic, Inc. (a)   210,187 
5,694  Cohu, Inc. (a)   182,436 
3,410  Diodes, Inc. (a)   327,667 
1,409  Enphase Energy, Inc. (a)   326,367 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Semiconductors & Semiconductor Equipment (Continued)     
5,037  Entegris, Inc.  $709,109 
3,366  First Solar, Inc. (a)   402,540 
1,298  KLA Corp.   483,842 
371  Lam Research Corp.   209,084 
6,626  Lattice Semiconductor Corp. (a)   460,109 
6,604  MACOM Technology Solutions Holdings, Inc. (a)   461,091 
7,199  Marvell Technology, Inc.   493,131 
6,273  MaxLinear, Inc. (a)   395,199 
2,754  Microchip Technology, Inc.   204,044 
1,419  MKS Instruments, Inc.   212,921 
2,240  Monolithic Power Systems, Inc.   1,177,030 
4,192  NVIDIA Corp.   1,071,769 
2,217  NXP Semiconductors N.V.   445,307 
18,972  ON Semiconductor Corp. (a)   911,984 
3,421  Onto Innovation, Inc. (a)   270,977 
5,409  Power Integrations, Inc.   558,263 
1,264  Qorvo, Inc. (a)   212,643 
1,639  QUALCOMM, Inc.   218,053 
8,192  Rambus, Inc. (a)   190,628 
3,170  Semtech Corp. (a)   269,545 
764  Silicon Laboratories, Inc. (a)   144,213 
1,513  SiTime Corp. (a)   400,779 
1,283  Skyworks Solutions, Inc.   214,428 
4,722  SunPower Corp. (a) (c)   158,942 
2,383  Synaptics, Inc. (a)   463,660 
1,936  Teradyne, Inc.   267,633 
1,100  Texas Instruments, Inc.   206,228 
4,269  Ultra Clean Holdings, Inc. (a)   211,614 
       16,296,898 
         
   Software — 11.8%     
2,592  8x8, Inc. (a)   58,735 
367  Adobe, Inc. (a)   238,682 
1,581  Alarm.com Holdings, Inc. (a)   133,215 
1,793  Altair Engineering, Inc., Class A (a)   139,477 
3,518  Anaplan, Inc. (a)   229,409 
503  Appfolio, Inc., Class A (a)   66,240 
5,157  Asana, Inc., Class A (a)   700,321 
1,838  Avalara, Inc. (a)   330,178 
3,063  Avaya Holdings Corp. (a)   57,033 
4,066  Bill.com Holdings, Inc. (a)   1,196,664 
1,487  Black Knight, Inc. (a)   104,254 
1,757  Blackbaud, Inc. (a)   124,765 
1,814  Blackline, Inc. (a)   230,142 
5,221  Box, Inc., Class A (a)   134,858 
2,867  Cadence Design Systems, Inc. (a)   496,306 
1,286  Cerence, Inc. (a)   135,197 
3,855  Ceridian HCM Holding, Inc. (a)   482,839 
2,415  CommVault Systems, Inc. (a)   148,523 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Software (Continued)     
3,533  Crowdstrike Holdings, Inc., Class A (a)  $995,599 
6,143  Datadog, Inc., Class A (a)   1,026,188 
4,673  Digital Turbine, Inc. (a)   402,158 
821  DocuSign, Inc. (a)   228,476 
1,217  Dolby Laboratories, Inc., Class A   107,522 
2,927  Domo, Inc., Class B (a)   258,600 
10,996  Dropbox, Inc., Class A (a)   335,268 
2,421  Duck Creek Technologies, Inc. (a)   76,262 
15,294  Dynatrace, Inc. (a)   1,147,050 
2,875  Elastic N.V. (a)   498,841 
2,267  Envestnet, Inc. (a)   189,295 
2,127  Everbridge, Inc. (a)   338,852 
3,717  Fortinet, Inc. (a)   1,250,176 
1,606  HubSpot, Inc. (a)   1,301,229 
1,609  Intuit, Inc.   1,007,218 
4,721  Jamf Holding Corp. (a)   224,956 
3,634  LivePerson, Inc. (a)   187,187 
6,017  Mandiant, Inc. (a)   104,936 
2,100  Manhattan Associates, Inc. (a)   381,234 
5,759  Marathon Digital Holdings, Inc. (a)   300,850 
1,540  Microsoft Corp.   510,695 
185  MicroStrategy, Inc., Class A (a)   132,286 
3,886  Mimecast Ltd. (a)   293,160 
3,093  Momentive Global, Inc. (a)   70,892 
3,015  nCino, Inc. (a)   219,070 
5,526  NCR Corp. (a)   218,498 
4,477  New Relic, Inc. (a)   363,353 
8,355  NortonLifeLock, Inc.   212,635 
11,363  Nutanix, Inc., Class A (a)   389,865 
9,966  Oracle Corp.   956,138 
2,983  PagerDuty, Inc. (a)   124,540 
8,793  Palantir Technologies, Inc., Class A (a)   227,563 
2,266  Palo Alto Networks, Inc. (a)   1,153,598 
1,752  Paycom Software, Inc. (a)   959,833 
1,528  Paylocity Holding Corp. (a)   466,254 
843  Pegasystems, Inc.   100,081 
3,697  Progress Software Corp.   190,063 
1,110  Qualys, Inc. (a)   138,173 
3,790  Rapid7, Inc. (a)   487,963 
2,359  Riot Blockchain, Inc. (a)   64,212 
1,601  salesforce.com, Inc. (a)   479,804 
1,019  ServiceNow, Inc. (a)   711,017 
3,112  Smartsheet, Inc., Class A (a)   214,759 
2,533  Sprout Social, Inc., Class A (a)   323,413 
1,915  SPS Commerce, Inc. (a)   292,478 
2,118  Synopsys, Inc. (a)   705,675 
6,963  Tenable Holdings, Inc. (a)   370,780 
9,337  Teradata Corp. (a)   528,101 
3,007  Trade Desk (The), Inc., Class A (a)   225,254 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Software (Continued)     
6,878  Unity Software, Inc. (a)  $1,040,710 
5,280  Varonis Systems, Inc. (a)   341,827 
15,332  Vonage Holdings Corp. (a)   247,152 
3,799  Workiva, Inc. (a)   568,140 
9,653  Xperi Holding Corp.   172,982 
5,039  Yext, Inc. (a)   63,441 
4,139  Zscaler, Inc. (a)   1,319,762 
7,453  Zuora, Inc., Class A (a)   162,923 
       30,415,825 
         
   Specialty Retail — 4.0%     
6,568  Abercrombie & Fitch Co., Class A (a)   259,699 
8,302  American Eagle Outfitters, Inc.   197,090 
639  AutoZone, Inc. (a)   1,140,513 
17,221  Bath & Body Works, Inc.   1,189,799 
3,509  Bed Bath & Beyond, Inc. (a)   49,266 
3,476  Boot Barn Holdings, Inc. (a)   363,207 
6,243  Buckle (The), Inc.   259,834 
1,531  Burlington Stores, Inc. (a)   423,000 
2,880  Carvana Co. (a)   873,158 
4,471  Dick’s Sporting Goods, Inc.   555,343 
1,817  Five Below, Inc. (a)   358,494 
4,433  Floor & Decor Holdings, Inc., Class A (a)   602,533 
1,221  GameStop Corp., Class A (a) (c)   224,066 
2,457  GrowGeneration Corp. (a)   51,794 
3,126  Lowe’s Cos., Inc.   730,921 
9,432  National Vision Holdings, Inc. (a)   581,388 
1,421  O’Reilly Automotive, Inc. (a)   884,317 
4,397  Rent-A-Center, Inc.   234,184 
642  RH (a)   423,482 
3,913  Signet Jewelers Ltd.   348,961 
1,946  Sleep Number Corp. (a)   171,910 
3,020  Williams-Sonoma, Inc.   560,905 
       10,483,864 
         
   Technology Hardware, Storage & Peripherals — 1.4%     
4,482  3D Systems Corp. (a)   126,213 
4,482  Apple, Inc.   671,404 
6,289  Avid Technology, Inc. (a)   180,117 
4,766  Corsair Gaming, Inc. (a) (c)   116,529 
8,346  Dell Technologies, Inc., Class C (a)   917,976 
12,093  NetApp, Inc.   1,079,905 
17,027  Pure Storage, Inc., Class A (a)   457,345 
       3,549,489 
         
   Textiles, Apparel & Luxury Goods — 1.1%     
3,732  Crocs, Inc. (a)   602,531 
1,189  Deckers Outdoor Corp. (a)   470,024 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Textiles, Apparel & Luxury Goods (Continued)     
3,641  Kontoor Brands, Inc.  $192,973 
7,420  Levi Strauss & Co., Class A   194,256 
1,455  NIKE, Inc., Class B   243,407 
2,741  Oxford Industries, Inc.   254,146 
4,529  Steven Madden Ltd.   204,258 
8,679  Tapestry, Inc.   338,307 
15,921  Under Armour, Inc., Class A (a)   349,625 
       2,849,527 
         
   Thrifts & Mortgage Finance — 0.4%     
4,795  Axos Financial, Inc. (a)   254,135 
9,831  Columbia Financial, Inc. (a)   183,053 
5,887  Meta Financial Group, Inc.   326,375 
2,177  Walker & Dunlop, Inc.   283,163 
       1,046,726 
         
   Tobacco — 0.1%     
14,264  Vector Group Ltd.   189,141 
         
         
   Trading Companies & Distributors — 1.0%     
13,245  Custom Truck One Source, Inc. (a) (c)   119,867 
6,523  Global Industrial Co.   264,703 
1,890  Herc Holdings, Inc.   344,056 
2,685  SiteOne Landscape Supply, Inc. (a)   630,868 
2,474  United Rentals, Inc. (a)   937,918 
13,488  Univar Solutions, Inc. (a)   345,023 
       2,642,435 
         
   Water Utilities — 0.5%     
1,445  American States Water Co.   131,264 
2,568  American Water Works Co., Inc.   447,294 
3,086  California Water Service Group   187,876 
6,972  Essential Utilities, Inc.   328,172 
1,769  Middlesex Water Co.   194,802 
       1,289,408 
   Total Common Stocks — 100.0%   258,776,841 
   (Cost $205,817,383)     
         
   Money Market Funds — 0.3%     
764,890  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (d) (e)   764,890 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Money Market Funds (Continued)     
35,078  Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio - Institutional Class - 0.01% (d)  $35,078 
   Total Money Market Funds — 0.3%   799,968 
   (Cost $799,968)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.4%     
$ 996,139  BNP Paribas S.A., 0.03% (d), dated 10/29/21, due 11/01/21, with a maturity value of $996,142. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $1,017,098. (e)   996,139 
   (Cost $996,139)     
         
   Total Investments — 100.7%   260,572,948 
   (Cost $207,613,490) (f)     
   Net Other Assets and Liabilities — (0.7)%   (1,754,836)
   Net Assets — 100.0%  $258,818,112 

 

 

(a) Non-income producing security.
(b) This security may be resold to qualified foreign investors and foreign institutional buyers under Regulation S of the Securities Act of 1933, as amended.
(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 $1,713,901 and the total value of the collateral held by the Fund is $1,761,029.
(d) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $55,399,726 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $2,440,268. The net unrealized appreciation was $52,959,458.

 

 

 

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

  

Total

Value at 10/31/2021

  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  258,776,841   $258,776,841   $—     $—   
Money Market Funds   799,968    799,968    —      —   
Repurchase Agreements   996,139    —      996,139    —   
Total Investments  260,572,948   $259,576,809   $996,139   $—   
                     
* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Aerospace & Defense — 1.2%     
7,545  BWX Technologies, Inc.  $428,103 
3,220  Curtiss-Wright Corp.   411,130 
4,210  Huntington Ingalls Industries, Inc.   853,493 
       1,692,726 
         
   Air Freight & Logistics — 0.3%     
4,667  C.H. Robinson Worldwide, Inc.   452,652 
         
         
   Auto Components — 2.5%     
23,504  BorgWarner, Inc.   1,059,325 
18,477  Gentex Corp.   653,901 
45,902  Goodyear Tire & Rubber (The) Co. (a)   877,646 
5,194  Lear Corp.   892,589 
       3,483,461 
         
   Automobiles — 1.0%     
16,642  Harley-Davidson, Inc.   607,267 
8,270  Thor Industries, Inc.   843,209 
       1,450,476 
         
   Banks — 7.6%     
14,181  Bank OZK   633,465 
9,071  BOK Financial Corp.   917,713 
7,569  Comerica, Inc.   644,046 
2,915  Commerce Bancshares, Inc.   205,537 
1,715  Cullen/Frost Bankers, Inc.   222,092 
2,618  East West Bancorp, Inc.   208,079 
49,875  First Horizon Corp.   846,379 
13,447  PacWest Bancorp   638,329 
10,463  Popular, Inc.   852,107 
8,566  Prosperity Bancshares, Inc.   645,105 
8,164  SouthState Corp.   637,527 
13,885  Synovus Financial Corp.   646,902 
6,304  UMB Financial Corp.   622,961 
30,091  Umpqua Holdings Corp.   615,361 
16,749  United Bankshares, Inc.   619,545 
45,781  Valley National Bancorp   607,056 
7,458  Webster Financial Corp.   417,350 
13,130  Zions Bancorp N.A.   827,059 
       10,806,613 
         
   Beverages — 0.1%     
4,382  Molson Coors Beverage Co., Class B   193,202 
         
         
   Building Products — 3.8%     
6,650  A.O. Smith Corp.   485,915 
19,633  Builders FirstSource, Inc. (a)   1,144,015 
4,541  Fortune Brands Home & Security, Inc.   460,457 
11,882  Owens Corning   1,109,898 
24,579  Resideo Technologies, Inc. (a)   606,118 
3,796  Simpson Manufacturing Co., Inc.   402,718 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Building Products (Continued)     
14,941  UFP Industries, Inc.  $1,222,622 
       5,431,743 
         
   Capital Markets — 2.2%     
1,637  Cboe Global Markets, Inc.   215,986 
27,353  Jefferies Financial Group, Inc.   1,176,179 
8,870  Lazard Ltd., Class A   434,541 
10,278  SEI Investments Co.   647,925 
8,970  Stifel Financial Corp.   653,644 
       3,128,275 
         
   Chemicals — 4.3%     
6,836  Ashland Global Holdings, Inc.   656,324 
8,762  Avient Corp.   472,097 
6,957  Axalta Coating Systems Ltd. (a)   216,989 
7,275  CF Industries Holdings, Inc.   413,220 
6,992  Chemours (The) Co.   195,916 
2,220  FMC Corp.   202,042 
34,327  Huntsman Corp.   1,118,374 
28,436  Mosaic (The) Co.   1,182,084 
2,615  RPM International, Inc.   228,028 
2,777  Scotts Miracle-Gro (The) Co.   412,273 
11,146  Westlake Chemical Corp.   1,084,952 
       6,182,299 
         
   Commercial Services & Supplies — 0.5%     
50,218  ADT, Inc.   419,320 
1,959  Clean Harbors, Inc. (a)   220,466 
       639,786 
         
   Communications Equipment — 1.2%     
11,865  Ciena Corp. (a)   644,151 
7,381  Juniper Networks, Inc.   217,887 
9,727  Lumentum Holdings, Inc. (a)   803,256 
       1,665,294 
         
   Construction & Engineering — 0.9%     
3,523  EMCOR Group, Inc.   428,009 
7,064  MasTec, Inc. (a)   629,615 
1,786  Quanta Services, Inc.   216,606 
       1,274,230 
         
   Consumer Finance — 1.1%     
1,043  Credit Acceptance Corp. (a) (b)   623,933 
18,356  OneMain Holdings, Inc.   969,380 
       1,593,313 
         
   Containers & Packaging — 1.9%     
1,699  AptarGroup, Inc.   205,205 
10,007  Berry Global Group, Inc. (a)   655,859 
2,019  Crown Holdings, Inc.   209,956 
21,336  Graphic Packaging Holding Co.   425,226 
2,958  Packaging Corp. of America   406,340 

 

 

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Containers & Packaging (Continued)     
15,884  Silgan Holdings, Inc.  $638,537 
4,078  Westrock Co.   196,152 
       2,737,275 
         
   Diversified Consumer Services — 1.2%     
9,238  Grand Canyon Education, Inc. (a)   736,269 
32,499  H&R Block, Inc.   749,752 
3,368  Service Corp. International   230,674 
       1,716,695 
         
   Diversified Financial Services — 0.8%     
16,545  Voya Financial, Inc.   1,154,345 
         
         
   Diversified Telecommunication Services — 1.3%     
36,444  Frontier Communications Parent, Inc. (a)   1,128,306 
65,581  Lumen Technologies, Inc.   777,791 
       1,906,097 
         
   Electric Utilities — 3.0%     
14,927  Hawaiian Electric Industries, Inc.   605,439 
3,927  IDACORP, Inc.   409,665 
19,900  NRG Energy, Inc.   793,811 
24,654  OGE Energy Corp.   839,962 
11,228  Pinnacle West Capital Corp.   724,094 
17,292  Portland General Electric Co.   852,668 
       4,225,639 
         
   Electrical Equipment — 1.1%     
2,345  Acuity Brands, Inc.   481,733 
5,457  EnerSys   436,778 
1,123  Hubbell, Inc.   223,893 
2,705  Regal Rexnord Corp.   412,053 
       1,554,457 
         
   Electronic Equipment, Instruments & Components — 1.6%     
7,238  Arrow Electronics, Inc. (a)   837,798 
1,285  IPG Photonics Corp. (a)   204,328 
10,437  Jabil, Inc.   625,802 
743  Littelfuse, Inc.   218,851 
12,091  Vontier Corp.   409,039 
       2,295,818 
         
   Equity Real Estate Investment Trusts — 3.4%     
10,897  Cousins Properties, Inc.   431,630 
6,845  Healthcare Trust of America, Inc., Class A   228,555 
15,337  Kilroy Realty Corp.   1,033,407 
9,790  Kimco Realty Corp.   221,254 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Equity Real Estate Investment Trusts (Continued)     
30,365  Medical Properties Trust, Inc.  $647,685 
9,408  National Retail Properties, Inc.   426,747 
13,562  Omega Healthcare Investors, Inc.   398,180 
11,470  SL Green Realty Corp.   803,703 
8,822  Spirit Realty Capital, Inc.   431,661 
6,340  STORE Capital Corp.   217,652 
       4,840,474 
         
   Food & Staples Retailing — 0.7%     
13,047  Albertsons Cos., Inc., Class A (b)   403,805 
3,701  BJ’s Wholesale Club Holdings, Inc. (a)   216,286 
2,157  Casey’s General Stores, Inc.   413,152 
       1,033,243 
         
   Food Products — 3.2%     
12,487  Bunge Ltd.   1,156,796 
14,575  Campbell Soup Co.   582,271 
17,191  Flowers Foods, Inc.   425,477 
2,283  Ingredion, Inc.   217,410 
6,768  J.M. Smucker (The) Co.   831,517 
1,200  Lancaster Colony Corp.   204,000 
1,846  Post Holdings, Inc. (a)   187,332 
248  Seaboard Corp.   954,805 
       4,559,608 
         
   Gas Utilities — 1.6%     
9,215  Atmos Energy Corp.   848,886 
7,737  National Fuel Gas Co.   444,336 
23,828  UGI Corp.   1,034,373 
       2,327,595 
         
   Health Care Equipment & Supplies — 0.6%     
14,575  Envista Holdings Corp. (a)   569,883 
870  ICU Medical, Inc. (a)   203,693 
       773,576 
         
   Health Care Providers & Services — 1.9%     
2,725  Amedisys, Inc. (a)   461,451 
436  Chemed Corp.   210,261 
5,412  Encompass Health Corp.   343,987 
5,334  Henry Schein, Inc. (a)   407,251 
10,481  Premier, Inc., Class A   408,235 
7,337  Universal Health Services, Inc., Class B   910,522 
       2,741,707 
         
   Household Durables — 5.1%     
1,807  Helen of Troy Ltd. (a)   406,485 
13,589  Leggett & Platt, Inc.   636,645 
7,154  LGI Homes, Inc. (a)   1,068,092 

 

 

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Household Durables (Continued)     
5,723  Mohawk Industries, Inc. (a)  $1,014,173 
27,525  Newell Brands, Inc.   630,047 
22,120  PulteGroup, Inc.   1,063,530 
18,368  Toll Brothers, Inc.   1,105,202 
992  TopBuild Corp. (a)   254,914 
4,980  Whirlpool Corp.   1,049,933 
       7,229,021 
         
   Household Products — 0.4%     
22,293  Reynolds Consumer Products, Inc.   601,465 
         
         
   Insurance — 11.9%     
1,625  Alleghany Corp. (a)   1,058,493 
6,456  American Financial Group, Inc.   878,274 
2,579  Assurant, Inc.   416,018 
13,233  Axis Capital Holdings Ltd.   689,042 
19,362  CNA Financial Corp.   868,579 
4,328  Enstar Group Ltd. (a)   998,816 
1,136  Erie Indemnity Co., Class A   233,800 
4,048  Everest Re Group Ltd.   1,058,552 
22,399  Fidelity National Financial, Inc.   1,073,136 
15,145  First American Financial Corp.   1,107,705 
9,125  Globe Life, Inc.   812,308 
6,268  Hanover Insurance Group (The), Inc.   789,768 
9,123  Kemper Corp.   579,128 
8,864  Lincoln National Corp.   639,538 
15,066  Loews Corp.   844,751 
43,909  Old Republic International Corp.   1,134,169 
1,320  Primerica, Inc.   222,077 
7,304  Reinsurance Group of America, Inc.   862,456 
4,375  RenaissanceRe Holdings Ltd.   620,375 
10,761  Selective Insurance Group, Inc.   843,340 
32,423  Unum Group   825,814 
5,555  W.R. Berkley Corp.   442,178 
       16,998,317 
         
   Interactive Media & Services — 0.8%     
7,797  IAC/InterActiveCorp (a)   1,188,029 
         
         
   Internet & Direct Marketing Retail — 0.7%     
99,674  Qurate Retail, Inc., Series A   1,040,597 
         
         
   IT Services — 1.9%     
6,037  Alliance Data Systems Corp.   514,654 
24,176  DXC Technology Co. (a)   787,412 
4,276  Genpact Ltd.   211,021 
7,323  MAXIMUS, Inc.   619,306 
30,137  Western Union (The) Co.   549,096 
       2,681,489 
         
   Leisure Products — 0.7%     
2,279  Hasbro, Inc.   218,237 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Leisure Products (Continued)     
6,794  Polaris, Inc.  $780,970 
       999,207 
         
   Machinery — 4.4%     
6,632  AGCO Corp.   810,497 
17,252  Allison Transmission Holdings, Inc.   575,527 
4,423  Colfax Corp. (a)   228,315 
6,430  Crane Co.   664,090 
3,538  Donaldson Co., Inc.   212,315 
5,855  Flowserve Corp.   196,845 
37,454  Gates Industrial Corp. PLC (a)   615,744 
1,574  Lincoln Electric Holdings, Inc.   224,138 
7,937  Oshkosh Corp.   849,259 
3,891  Snap-on, Inc.   790,768 
12,418  Timken (The) Co.   881,057 
1,795  Woodward, Inc.   202,745 
       6,251,300 
         
   Media — 1.3%     
40,015  Discovery, Inc., Class A (a)   937,952 
23,370  DISH Network Corp., Class A (a)   959,806 
       1,897,758 
         
   Metals & Mining — 2.4%     
7,131  Reliance Steel & Aluminum Co.   1,042,267 
17,367  Steel Dynamics, Inc.   1,147,611 
46,232  United States Steel Corp.   1,220,063 
       3,409,941 
         
   Mortgage Real Estate Investment Trusts — 1.8%     
120,627  Annaly Capital Management, Inc.   1,020,504 
20,098  Blackstone Mortgage Trust, Inc., Class A   661,224 
73,863  New Residential Investment Corp.   839,084 
       2,520,812 
         
   Multiline Retail — 1.7%     
21,569  Kohl’s Corp.   1,046,743 
35,953  Macy’s, Inc.   951,676 
6,742  Ollie’s Bargain Outlet Holdings, Inc. (a)   456,164 
       2,454,583 
         
   Multi-Utilities — 1.5%     
12,948  Black Hills Corp.   859,488 
27,387  MDU Resources Group, Inc.   841,603 
16,764  NiSource, Inc.   413,568 
       2,114,659 
         
   Oil, Gas & Consumable Fuels — 2.0%     
13,205  Continental Resources, Inc.   644,536 
18,669  Coterra Energy, Inc.   398,023 

 

 

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Oil, Gas & Consumable Fuels (Continued)     
24,528  HollyFrontier Corp.  $829,047 
59,441  Marathon Oil Corp.   970,077 
       2,841,683 
         
   Pharmaceuticals — 0.6%     
24,782  Organon & Co.   910,739 
         
         
   Professional Services — 1.8%     
1,796  ASGN, Inc. (a)   214,909 
2,558  Booz Allen Hamilton Holding Corp.   222,188 
3,100  CACI International, Inc., Class A (a)   891,684 
3,019  FTI Consulting, Inc. (a)   434,495 
1,874  ManpowerGroup, Inc.   181,122 
2,027  Robert Half International, Inc.   229,193 
4,751  Science Applications International Corp.   426,545 
       2,600,136 
         
   Real Estate Management & Development — 0.6%     
2,311  Howard Hughes (The) Corp. (a)   201,357 
2,459  Jones Lang LaSalle, Inc. (a)   634,988 
       836,345 
         
   Road & Rail — 1.1%     
19,854  Knight-Swift Transportation Holdings, Inc.   1,125,523 
2,578  Landstar System, Inc.   453,238 
       1,578,761 
         
   Specialty Retail — 3.2%     
975  Advance Auto Parts, Inc.   219,882 
6,676  AutoNation, Inc. (a)   808,597 
22,245  Foot Locker, Inc.   1,060,419 
35,792  Gap (The), Inc.   812,121 
2,560  Lithia Motors, Inc.   817,203 
8,075  Penske Automotive Group, Inc.   856,354 
       4,574,576 
         
   Technology Hardware, Storage & Peripherals — 0.6%     
50,353  Xerox Holdings Corp.   896,283 
         
         
   Textiles, Apparel & Luxury Goods — 1.5%     
6,266  Carter’s, Inc.   617,327 
4,236  Columbia Sportswear Co.   439,866 
5,931  PVH Corp. (a)   648,436 
9,648  Skechers U.S.A., Inc., Class A (a)   445,834 
       2,151,463 
         
   Thrifts & Mortgage Finance — 3.4%     
23,076  Essent Group Ltd.   1,107,648 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Thrifts & Mortgage Finance (Continued)     
67,891  MGIC Investment Corp.  $1,097,118 
47,352  New York Community Bancorp, Inc.   588,585 
16,615  PennyMac Financial Services, Inc.   1,031,127 
44,703  Radian Group, Inc.   1,067,061 
       4,891,539 
         
   Trading Companies & Distributors — 1.5%     
25,814  Air Lease Corp.   1,033,851 
5,068  MSC Industrial Direct Co., Inc., Class A   426,067 
765  Watsco, Inc.   221,529 
3,524  WESCO International, Inc. (a)   456,569 
       2,138,016 
   Total Common Stocks — 99.9%   142,667,318 
   (Cost $137,995,171)     
         
   Money Market Funds — 0.2%     
357,702  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   357,702 
   (Cost $357,702)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.3%     
$ 465,846  BNP Paribas S.A., 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $465,847. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $475,647. (d)   465,846 
   (Cost $465,846)     
         
   Total Investments — 100.4%   143,490,866 
   (Cost $138,818,719) (e)     
   Net Other Assets and Liabilities — (0.4)%   (641,314)
   Net Assets — 100.0%  $142,849,552 

 

 

 

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
 
Portfolio of Investments (Continued)
October 31, 2021 (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 $812,735 and the total value of the collateral held by the Fund is $823,548.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $8,224,795 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $3,552,648. The net unrealized appreciation was $4,672,147.

 

  

 
Valuation Inputs
 
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $142,667,318   $142,667,318   $—     $—   
Money Market Funds   357,702    357,702    —      —   
Repurchase Agreements   465,846    —      465,846    —   
Total Investments  $143,490,866   $143,025,020   $465,846   $—   

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 100.0%     
   Aerospace & Defense — 0.8%     
14,112  Axon Enterprise, Inc. (a)  $2,539,595 
27,972  Spirit AeroSystems Holdings, Inc., Class A   1,154,964 
       3,694,559 
         
   Airlines — 0.3%     
60,238  American Airlines Group, Inc. (a)   1,156,570 
         
         
   Auto Components — 0.6%     
17,089  Fox Factory Holding Corp. (a)   2,750,475 
         
         
   Banks — 3.0%     
2,930  First Citizens BancShares, Inc., Class A   2,384,727 
13,450  First Financial Bankshares, Inc.   682,184 
33,467  Glacier Bancorp, Inc.   1,850,391 
26,254  Pinnacle Financial Partners, Inc.   2,535,349 
9,072  Signature Bank   2,701,823 
28,371  Western Alliance Bancorp   3,293,589 
       13,448,063 
         
   Beverages — 1.3%     
1,212  Boston Beer (The) Co., Inc., Class A (a)   596,885 
34,271  Celsius Holdings, Inc. (a)   3,307,837 
35,292  National Beverage Corp.   1,990,469 
       5,895,191 
         
   Biotechnology — 6.4%     
10,763  Acceleron Pharma, Inc. (a)   1,874,699 
100,111  Alkermes PLC (a)   3,032,362 
7,104  Beam Therapeutics, Inc. (a)   630,622 
22,225  Biohaven Pharmaceutical Holding Co., Ltd. (a)   3,163,062 
7,996  BioMarin Pharmaceutical, Inc. (a)   633,523 
24,025  Blueprint Medicines Corp. (a)   2,702,572 
19,488  CareDx, Inc. (a)   993,888 
5,520  CRISPR Therapeutics AG (a)   504,142 
12,248  Denali Therapeutics, Inc. (a)   592,191 
30,385  Halozyme Therapeutics, Inc. (a)   1,156,757 
9,207  Intellia Therapeutics, Inc. (a)   1,224,347 
6,981  Mirati Therapeutics, Inc. (a)   1,319,549 
16,623  Natera, Inc. (a)   1,904,497 
6,442  Neurocrine Biosciences, Inc. (a)   679,051 
11,914  Novavax, Inc. (a)   1,773,161 
20,030  Sarepta Therapeutics, Inc. (a)   1,584,974 
5,777  Twist Bioscience Corp. (a)   686,307 
6,853  Ultragenyx Pharmaceutical, Inc. (a)   575,104 
13,382  United Therapeutics Corp. (a)   2,552,750 
14,203  Vir Biotechnology, Inc. (a)   535,879 
       28,119,437 
         
   Building Products — 2.0%     
17,125  Advanced Drainage Systems, Inc.   1,931,700 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Building Products (Continued)     
9,349  Allegion PLC  $1,199,477 
12,945  Armstrong World Industries, Inc.   1,367,639 
2,101  Lennox International, Inc.   628,787 
18,173  Trex Co., Inc. (a)   1,933,607 
48,023  Zurn Water Solutions Corp.   1,742,275 
       8,803,485 
         
   Capital Markets — 6.2%     
12,260  Affiliated Managers Group, Inc.   2,058,209 
40,102  Apollo Global Management, Inc.   3,085,849 
41,819  Ares Management Corp., Class A   3,543,742 
18,479  Evercore, Inc., Class A   2,805,851 
4,693  FactSet Research Systems, Inc.   2,083,176 
33,522  Houlihan Lokey, Inc.   3,757,145 
76,834  Invesco Ltd.   1,952,352 
19,695  LPL Financial Holdings, Inc.   3,230,374 
9,536  Morningstar, Inc.   3,020,528 
34,238  Open Lending Corp., Class A (a)   1,079,182 
7,651  Tradeweb Markets, Inc., Class A   681,704 
       27,298,112 
         
   Chemicals — 3.5%     
90,027  Amyris, Inc. (a)   1,334,200 
17,025  Balchem Corp.   2,606,357 
142,408  Element Solutions, Inc.   3,234,086 
63,987  Olin Corp.   3,645,979 
7,793  Quaker Chemical Corp.   1,915,831 
79,215  Valvoline, Inc.   2,690,142 
       15,426,595 
         
   Commercial Services & Supplies — 0.3%     
22,631  IAA, Inc. (a)   1,349,939 
         
         
   Communications Equipment — 0.1%     
45,477  CommScope Holding Co., Inc. (a)   487,059 
         
         
   Construction & Engineering — 1.2%     
10,504  Valmont Industries, Inc.   2,510,036 
77,867  WillScot Mobile Mini Holdings Corp. (a)   2,705,878 
       5,215,914 
         
   Construction Materials — 0.3%     
9,416  Eagle Materials, Inc.   1,396,958 
         
         
   Consumer Finance — 0.4%     
105,254  SLM Corp.   1,931,411 
         
         
   Containers & Packaging — 0.5%     
33,811  Sealed Air Corp.   2,005,668 
         
         

 

 

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Diversified Telecommunication Services — 0.3%     
30,991  Iridium Communications, Inc. (a)  $1,256,685 
         
         
   Electrical Equipment — 0.6%     
102,529  Vertiv Holdings Co.   2,632,945 
         
         
   Electronic Equipment, Instruments & Components — 0.3%     
20,823  II-VI, Inc. (a)   1,260,000 
         
         
   Entertainment — 0.8%     
57,790  Warner Music Group Corp., Class A   2,860,027 
82,074  Zynga, Inc., Class A (a)   605,706 
       3,465,733 
         
   Equity Real Estate Investment Trusts — 7.3%     
32,423  American Homes 4 Rent, Class A   1,316,374 
83,784  Brixmor Property Group, Inc.   1,963,897 
8,914  CoreSite Realty Corp.   1,269,888 
38,234  CubeSmart   2,103,252 
15,966  CyrusOne, Inc.   1,309,531 
7,411  EastGroup Properties, Inc.   1,465,748 
10,467  Federal Realty Investment Trust   1,259,704 
11,868  First Industrial Realty Trust, Inc.   691,074 
13,343  Gaming and Leisure Properties, Inc.   647,002 
13,356  Innovative Industrial Properties, Inc.   3,513,830 
71,056  Iron Mountain, Inc.   3,242,996 
16,328  Lamar Advertising Co., Class A   1,848,330 
16,145  Life Storage, Inc.   2,160,363 
35,090  National Storage Affiliates Trust   2,191,721 
3,943  PS Business Parks, Inc.   700,671 
21,761  Rexford Industrial Realty, Inc.   1,462,339 
22,132  Ryman Hospitality Properties, Inc. (a)   1,893,171 
17,179  Safehold, Inc.   1,283,271 
31,465  STAG Industrial, Inc.   1,369,671 
9,776  Terreno Realty Corp.   714,919 
       32,407,752 
         
   Food Products — 0.8%     
34,353  Darling Ingredients, Inc. (a)   2,903,516 
4,333  Freshpet, Inc. (a)   675,558 
       3,579,074 
         
   Health Care Equipment & Supplies — 3.8%     
32,236  Globus Medical, Inc., Class A (a)   2,487,652 
7,619  Inari Medical, Inc. (a)   689,672 
27,051  Integra LifeSciences Holdings Corp. (a)   1,797,809 
14,229  Neogen Corp. (a)   602,029 
4,638  Penumbra, Inc. (a)   1,282,639 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Health Care Equipment & Supplies (Continued)     
17,498  Quidel Corp. (a)  $2,323,209 
14,997  Shockwave Medical, Inc. (a)   3,204,859 
14,413  STAAR Surgical Co. (a)   1,707,364 
20,690  Tandem Diabetes Care, Inc. (a)   2,820,668 
       16,915,901 
         
   Health Care Providers & Services — 4.5%     
38,726  Acadia Healthcare Co., Inc. (a)   2,401,012 
26,906  AMN Healthcare Services, Inc. (a)   2,655,622 
33,910  Apollo Medical Holdings, Inc. (a) (b)   2,327,243 
21,245  DaVita, Inc. (a)   2,193,334 
8,253  Ensign Group (The), Inc.   643,817 
4,942  Guardant Health, Inc. (a)   577,176 
44,106  Progyny, Inc. (a)   2,709,432 
28,080  R1 RCM, Inc. (a)   609,336 
51,214  Select Medical Holdings Corp.   1,701,329 
14,596  Surgery Partners, Inc. (a)   600,479 
46,468  Tenet Healthcare Corp. (a)   3,329,897 
       19,748,677 
         
   Health Care Technology — 1.2%     
10,607  Inspire Medical Systems, Inc. (a)   2,859,435 
12,479  Omnicell, Inc. (a)   2,223,134 
       5,082,569 
         
   Hotels, Restaurants & Leisure — 3.0%     
39,043  Boyd Gaming Corp. (a)   2,490,163 
10,287  Churchill Downs, Inc.   2,366,010 
8,527  Penn National Gaming, Inc. (a)   610,533 
37,167  Scientific Games Corp. (a)   2,975,218 
20,283  Texas Roadhouse, Inc.   1,801,333 
22,669  Travel + Leisure Co.   1,231,833 
11,301  Wingstop, Inc.   1,949,084 
       13,424,174 
         
   Household Durables — 1.1%     
57,246  Sonos, Inc. (a)   1,867,365 
66,526  Tempur Sealy International, Inc.   2,958,411 
       4,825,776 
         
   Insurance — 0.5%     
12,317  RLI Corp.   1,334,054 
7,955  Trupanion, Inc. (a)   814,592 
       2,148,646 
         
   Interactive Media & Services — 1.1%     
21,173  Ziff Davis, Inc. (a)   2,715,861 

 

 

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Interactive Media & Services (Continued)     
30,274  ZoomInfo Technologies, Inc., Class A (a)  $2,035,018 
       4,750,879 
         
   Internet & Direct Marketing Retail — 0.3%     
18,133  Chewy, Inc., Class A (a)   1,374,481 
         
         
   IT Services — 1.0%     
8,869  GoDaddy, Inc., Class A (a)   613,469 
7,527  Jack Henry & Associates, Inc.   1,253,095 
7,971  Shift4 Payments, Inc., Class A (a)   503,209 
19,805  TTEC Holdings, Inc.   1,869,394 
       4,239,167 
         
   Leisure Products — 1.8%     
25,926  Brunswick Corp.   2,413,451 
22,367  Callaway Golf Co. (a)   605,028 
99,810  Mattel, Inc. (a)   2,176,856 
28,825  YETI Holdings, Inc. (a)   2,834,362 
       8,029,697 
         
   Life Sciences Tools & Services — 2.8%     
31,624  Bruker Corp.   2,539,407 
13,050  Medpace Holdings, Inc. (a)   2,956,478 
25,622  NeoGenomics, Inc. (a)   1,178,612 
10,684  Repligen Corp. (a)   3,103,702 
28,235  Syneos Health, Inc. (a)   2,635,455 
       12,413,654 
         
   Machinery — 2.8%     
16,156  Chart Industries, Inc. (a)   2,868,013 
8,833  Graco, Inc.   664,065 
14,485  Middleby (The) Corp. (a)   2,642,643 
5,820  RBC Bearings, Inc. (a)   1,361,473 
12,678  Toro (The) Co.   1,210,369 
18,368  Watts Water Technologies, Inc., Class A   3,490,287 
       12,236,850 
         
   Media — 0.9%     
29,828  Altice USA, Inc., Class A (a)   486,197 
340  Cable One, Inc.   581,811 
20,318  Nexstar Media Group, Inc., Class A   3,046,278 
       4,114,286 
         
   Metals & Mining — 1.5%     
63,086  Alcoa Corp.   2,898,802 
155,851  Cleveland-Cliffs, Inc. (a)   3,757,567 
       6,656,369 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Mortgage Real Estate Investment Trusts — 0.4%     
39,189  AGNC Investment Corp.  $623,889 
11,555  Hannon Armstrong Sustainable Infrastructure Capital, Inc.   697,922 
25,320  Starwood Property Trust, Inc.   644,900 
       1,966,711 
         
   Multiline Retail — 0.3%     
46,690  Nordstrom, Inc. (a)   1,341,404 
         
         
   Oil, Gas & Consumable Fuels — 4.4%     
177,778  Antero Midstream Corp.   1,891,558 
164,137  Antero Resources Corp. (a)   3,261,402 
144,070  APA Corp.   3,776,075 
32,613  Diamondback Energy, Inc.   3,495,787 
93,901  Ovintiv, Inc.   3,523,166 
62,739  Targa Resources Corp.   3,429,941 
       19,377,929 
         
   Paper & Forest Products — 0.7%     
50,308  Louisiana-Pacific Corp.   2,964,650 
         
         
   Personal Products — 0.6%     
157,258  Coty, Inc., Class A (a)   1,333,548 
29,141  Herbalife Nutrition Ltd. (a)   1,352,142 
       2,685,690 
         
   Pharmaceuticals — 0.3%     
15,039  Arvinas, Inc. (a)   1,302,077 
         
         
   Professional Services — 0.7%     
16,372  Exponent, Inc.   1,879,506 
27,426  Upwork, Inc. (a)   1,292,313 
       3,171,819 
         
   Real Estate Management & Development — 1.1%     
77,632  eXp World Holdings, Inc.   4,005,811 
12,337  Redfin Corp. (a)   633,382 
       4,639,193 
         
   Road & Rail — 2.6%     
4,783  AMERCO   3,525,023 
26,500  Avis Budget Group, Inc. (a)   4,592,715 
10,378  Saia, Inc. (a)   3,244,578 
       11,362,316 
         
   Semiconductors & Semiconductor Equipment — 5.4%     
123,744  Amkor Technology, Inc.   2,712,468 
30,165  Brooks Automation, Inc.   3,512,714 
14,997  Cirrus Logic, Inc. (a)   1,211,908 
19,406  First Solar, Inc. (a)   2,320,764 
38,206  Lattice Semiconductor Corp. (a)   2,653,025 

 

 

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Semiconductors & Semiconductor Equipment (Continued)     
38,076  MACOM Technology Solutions Holdings, Inc. (a)  $2,658,466 
8,189  MKS Instruments, Inc.   1,228,759 
31,189  Power Integrations, Inc.   3,219,017 
4,410  Silicon Laboratories, Inc. (a)   832,432 
27,250  SunPower Corp. (a) (b)   917,235 
13,743  Synaptics, Inc. (a)   2,673,975 
       23,940,763 
         
   Software — 11.0%     
20,282  Anaplan, Inc. (a)   1,322,589 
29,733  Asana, Inc., Class A (a)   4,037,741 
10,600  Avalara, Inc. (a)   1,904,184 
8,584  Black Knight, Inc. (a)   601,824 
10,461  Blackline, Inc. (a)   1,327,187 
26,945  Digital Turbine, Inc. (a)   2,318,887 
7,021  Dolby Laboratories, Inc., Class A   620,305 
63,396  Dropbox, Inc., Class A (a)   1,932,944 
13,972  Duck Creek Technologies, Inc. (a)   440,118 
16,578  Elastic N.V. (a)   2,876,449 
12,264  Everbridge, Inc. (a)   1,953,778 
20,948  LivePerson, Inc. (a)   1,079,031 
34,722  Mandiant, Inc. (a)   605,552 
12,106  Manhattan Associates, Inc. (a)   2,197,723 
1,069  MicroStrategy, Inc., Class A (a)   764,399 
17,386  nCino, Inc. (a)   1,263,267 
31,861  NCR Corp. (a)   1,259,784 
25,810  New Relic, Inc. (a)   2,094,740 
65,515  Nutanix, Inc., Class A (a)   2,247,820 
8,809  Paylocity Holding Corp. (a)   2,687,978 
4,862  Pegasystems, Inc.   577,217 
21,855  Rapid7, Inc. (a)   2,813,831 
17,944  Smartsheet, Inc., Class A (a)   1,238,315 
40,149  Tenable Holdings, Inc. (a)   2,137,934 
53,835  Teradata Corp. (a)   3,044,908 
30,444  Varonis Systems, Inc. (a)   1,970,945 
21,903  Workiva, Inc. (a)   3,275,594 
       48,595,044 
         
   Specialty Retail — 4.6%     
47,866  American Eagle Outfitters, Inc.   1,136,339 
25,778  Dick’s Sporting Goods, Inc.   3,201,885 
10,478  Five Below, Inc. (a)   2,067,309 
25,561  Floor & Decor Holdings, Inc., Class A (a)   3,474,251 
7,037  GameStop Corp., Class A (a) (b)   1,291,360 
54,384  National Vision Holdings, Inc. (a)   3,352,230 
3,704  RH (a)   2,443,270 
17,411  Williams-Sonoma, Inc.   3,233,745 
       20,200,389 
         

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Technology Hardware, Storage & Peripherals — 0.6%     
98,170  Pure Storage, Inc., Class A (a)  $2,636,846 
         
         
   Textiles, Apparel & Luxury Goods — 2.3%     
21,519  Crocs, Inc. (a)   3,474,243 
6,857  Deckers Outdoor Corp. (a)   2,710,641 
50,040  Tapestry, Inc.   1,950,559 
91,797  Under Armour, Inc., Class A (a)   2,015,862 
       10,151,305 
         
   Trading Companies & Distributors — 1.3%     
15,479  SiteOne Landscape Supply, Inc. (a)   3,636,946 
77,770  Univar Solutions, Inc. (a)   1,989,356 
       5,626,302 
         
   Water Utilities — 0.4%     
40,200  Essential Utilities, Inc.   1,892,214 
   Total Common Stocks — 100.0%   441,397,403 
   (Cost $373,378,342)     
         
   Money Market Funds — 0.4%     
1,807,642  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   1,807,642 
   (Cost $1,807,642)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.5%     
$ 2,354,146  BNP Paribas S.A., 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $2,354,152. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $2,403,676. (d)   2,354,146 
   (Cost $2,354,146)     
         
   Total Investments — 100.9%   445,559,191 
   (Cost $377,540,130) (e)     
   Net Other Assets and Liabilities — (0.9)%   (4,175,090)
   Net Assets — 100.0%  $441,384,101 

 

 

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
 
Portfolio of Investments (Continued)
October 31, 2021 (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 $3,999,658 and the total value of the collateral held by the Fund is $4,161,788.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $75,739,745 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $7,720,684. The net unrealized appreciation was $68,019,061.

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $441,397,403   $441,397,403   $—     $—   
Money Market Funds   1,807,642    1,807,642    —      —   
Repurchase Agreements   2,354,146    —      2,354,146    —   
Total Investments  $445,559,191   $443,205,045   $2,354,146   $—   

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

First Trust Small Cap Value AlphaDEX® Fund (FYT)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 99.9%     
   Aerospace & Defense — 0.6%     
18,962  Maxar Technologies, Inc.  $503,441 
5,556  Mercury Systems, Inc. (a)   286,356 
3,456  Moog, Inc., Class A   261,032 
7,803  Parsons Corp. (a)   270,296 
       1,321,125 
         
   Air Freight & Logistics — 1.4%     
41,615  Air Transport Services Group, Inc. (a)   1,035,798 
16,436  Atlas Air Worldwide Holdings, Inc. (a)   1,333,288 
7,811  Hub Group, Inc., Class A (a)   613,710 
       2,982,796 
         
   Airlines — 0.4%     
21,769  SkyWest, Inc. (a)   936,720 
         
         
   Auto Components — 1.5%     
48,294  Dana, Inc.   1,071,644 
2,783  Dorman Products, Inc. (a)   290,489 
5,870  LCI Industries   819,687 
12,894  Patrick Industries, Inc.   1,004,572 
       3,186,392 
         
   Automobiles — 0.5%     
14,826  Winnebago Industries, Inc.   1,003,572 
         
         
   Banks — 13.4%     
36,898  Associated Banc-Corp.   822,088 
21,449  Atlantic Union Bankshares Corp.   769,376 
4,383  BancFirst Corp.   284,939 
18,899  BankUnited, Inc.   766,543 
14,317  Banner Corp.   826,950 
36,067  Cadence Bank   1,046,664 
12,976  Cathay General Bancorp   547,457 
14,137  Columbia Banking System, Inc.   482,496 
3,850  Community Bank System, Inc.   275,930 
26,363  CVB Financial Corp.   527,787 
9,340  Eagle Bancorp, Inc.   528,551 
12,978  Eastern Bankshares, Inc.   269,553 
5,819  Enterprise Financial Services Corp.   273,609 
68,015  F.N.B. Corp.   792,375 
6,144  FB Financial Corp.   278,508 
40,839  First BanCorp   557,452 
33,761  First Financial Bancorp   802,837 
18,297  First Hawaiian, Inc.   504,814 
13,338  First Interstate BancSystem, Inc., Class A   554,461 
12,835  First Merchants Corp.   533,679 
51,723  Fulton Financial Corp.   832,740 
16,772  Hancock Whitney Corp.   829,879 
22,339  Heartland Financial USA, Inc.   1,119,631 
41,095  Hilltop Holdings, Inc.   1,456,407 
22,822  Home BancShares, Inc.   542,251 
54,732  Hope Bancorp, Inc.   798,540 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Banks (Continued)     
3,460  Independent Bank Corp.  $292,370 
7,560  Independent Bank Group, Inc.   546,512 
18,980  International Bancshares Corp.   804,752 
21,882  NBT Bancorp, Inc.   802,851 
63,367  Old National Bancorp   1,082,308 
2,160  Park National Corp.   277,754 
21,923  Renasant Corp.   820,139 
17,250  Sandy Spring Bancorp, Inc.   818,685 
7,791  Seacoast Banking Corp. of Florida   283,826 
26,738  Simmons First National Corp., Class A   799,199 
13,167  Texas Capital Bancshares, Inc. (a)   797,920 
25,406  TowneBank   800,797 
33,335  Trustmark Corp.   1,060,386 
16,362  United Community Banks, Inc.   570,052 
31,516  WesBanco, Inc.   1,095,811 
4,682  Westamerica BanCorp   261,068 
9,834  Wintrust Financial Corp.   870,309 
       29,010,256 
         
   Biotechnology — 1.9%     
26,815  Emergent BioSolutions, Inc. (a)   1,278,271 
82,240  Ironwood Pharmaceuticals, Inc. (a)   1,050,205 
147,130  OPKO Health, Inc. (a) (b)   557,623 
30,299  Sage Therapeutics, Inc. (a)   1,222,867 
       4,108,966 
         
   Building Products — 0.6%     
18,031  Cornerstone Building Brands, Inc. (a)   258,024 
3,783  Gibraltar Industries, Inc. (a)   246,500 
31,575  JELD-WEN Holding, Inc. (a)   865,471 
       1,369,995 
         
   Capital Markets — 1.6%     
41,105  Brightsphere Investment Group, Inc.   1,232,328 
24,318  Federated Hermes, Inc.   810,032 
84,919  Golub Capital BDC, Inc. (b)   1,348,514 
       3,390,874 
         
   Chemicals — 2.7%     
36,057  GCP Applied Technologies, Inc. (a)   815,249 
8,318  H.B. Fuller Co.   586,502 
11,073  Ingevity Corp. (a)   862,698 
6,376  Innospec, Inc.   577,729 
43,274  Kronos Worldwide, Inc.   563,860 
15,379  Minerals Technologies, Inc.   1,090,986 
1,585  NewMarket Corp.   538,916 
6,999  Stepan Co.   840,020 
       5,875,960 
         
   Commercial Services & Supplies — 2.3%     
11,931  ABM Industries, Inc.   525,083 

 

 

First Trust Small Cap Value AlphaDEX® Fund (FYT)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Commercial Services & Supplies (Continued)     
10,593  Brady Corp., Class A  $551,789 
36,385  BrightView Holdings, Inc. (a)   577,066 
22,022  Deluxe Corp.   785,525 
15,543  Harsco Corp. (a)   265,785 
10,542  Healthcare Services Group, Inc.   202,301 
21,524  HNI Corp.   804,998 
48,221  KAR Auction Services, Inc. (a)   707,402 
2,526  UniFirst Corp.   500,047 
       4,919,996 
         
   Communications Equipment — 0.5%     
19,928  NetScout Systems, Inc. (a)   539,252 
9,752  Viasat, Inc. (a)   582,097 
       1,121,349 
         
   Construction & Engineering — 1.5%     
15,752  Arcosa, Inc.   814,851 
7,529  Comfort Systems USA, Inc.   688,678 
3,698  Dycom Industries, Inc. (a)   293,695 
54,820  Primoris Services Corp.   1,477,399 
       3,274,623 
         
   Consumer Finance — 2.4%     
27,250  Encore Capital Group, Inc. (a)   1,472,045 
3,010  FirstCash, Inc.   266,295 
16,942  Nelnet, Inc., Class A   1,399,917 
25,489  PRA Group, Inc. (a)   1,092,968 
25,568  PROG Holdings, Inc.   1,034,226 
       5,265,451 
         
   Containers & Packaging — 0.7%     
16,626  Greif, Inc., Class A   1,075,370 
37,633  O-I Glass, Inc. (a)   491,110 
       1,566,480 
         
   Diversified Consumer Services — 1.5%     
20,903  Adtalem Global Education, Inc. (a)   771,948 
2,279  Graham Holdings Co., Class B   1,335,152 
15,236  Strategic Education, Inc.   1,039,247 
       3,146,347 
         
   Diversified Financial Services — 0.7%     
43,155  Cannae Holdings, Inc. (a)   1,471,586 
         
         
   Diversified Telecommunication Services — 0.5%     
81,863  Liberty Latin America Ltd., Class C (a)   984,812 
         
         
   Electric Utilities — 0.9%     
18,045  ALLETE, Inc.   1,110,489 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Electric Utilities (Continued)     
3,583  MGE Energy, Inc.  $271,914 
9,596  Otter Tail Corp.   595,048 
       1,977,451 
         
   Electrical Equipment — 1.3%     
14,156  Encore Wire Corp.   1,897,753 
76,583  GrafTech International Ltd.   819,438 
       2,717,191 
         
   Electronic Equipment, Instruments & Components — 3.9%     
36,316  Avnet, Inc.   1,384,003 
4,521  Belden, Inc.   272,210 
5,962  Insight Enterprises, Inc. (a)   564,601 
42,174  Knowles Corp. (a)   878,906 
25,543  Methode Electronics, Inc.   1,074,594 
2,779  OSI Systems, Inc. (a)   258,753 
6,006  Plexus Corp. (a)   524,444 
34,835  Sanmina Corp. (a)   1,315,021 
85,447  TTM Technologies, Inc. (a)   1,131,318 
53,464  Vishay Intertechnology, Inc.   1,027,578 
       8,431,428 
         
   Energy Equipment & Services — 1.0%     
9,613  Helmerich & Payne, Inc.   298,387 
59,671  Patterson-UTI Energy, Inc.   510,784 
354,241  Transocean Ltd. (a)   1,250,471 
       2,059,642 
         
   Equity Real Estate Investment Trusts — 4.5%     
100,042  Brandywine Realty Trust   1,325,556 
9,765  Corporate Office Properties Trust   264,827 
10,140  Equity Commonwealth (a)   262,930 
33,522  Global Net Lease, Inc.   537,022 
10,030  Hudson Pacific Properties, Inc.   258,273 
31,104  Industrial Logistics Properties Trust   873,711 
84,239  Lexington Realty Trust   1,227,362 
24,940  LTC Properties, Inc.   794,588 
14,772  National Health Investors, Inc.   794,438 
87,912  Paramount Group, Inc.   745,494 
14,952  Physicians Realty Trust   284,238 
45,343  Piedmont Office Realty Trust, Inc., Class A   805,292 
26,028  PotlatchDeltic Corp.   1,360,484 
17,898  Sabra Health Care REIT, Inc.   253,257 
       9,787,472 
         
   Food & Staples Retailing — 1.2%     
24,898  Grocery Outlet Holding Corp. (a)   552,487 
3,398  PriceSmart, Inc.   244,486 
46,355  Sprouts Farmers Market, Inc. (a)   1,026,300 

 

 

First Trust Small Cap Value AlphaDEX® Fund (FYT)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Food & Staples Retailing (Continued)     
16,324  United Natural Foods, Inc. (a)  $708,298 
       2,531,571 
         
   Food Products — 1.5%     
17,967  B&G Foods, Inc. (b)   528,948 
41,669  Fresh Del Monte Produce, Inc.   1,395,495 
30,917  Hostess Brands, Inc. (a)   584,640 
19,818  TreeHouse Foods, Inc. (a)   716,223 
       3,225,306 
         
   Gas Utilities — 2.7%     
2,195  Chesapeake Utilities Corp.   287,699 
7,568  New Jersey Resources Corp.   286,146 
23,354  Northwest Natural Holding Co.   1,053,032 
12,473  ONE Gas, Inc.   839,433 
50,521  South Jersey Industries, Inc.   1,149,858 
16,060  Southwest Gas Holdings, Inc.   1,112,155 
17,556  Spire, Inc.   1,101,814 
       5,830,137 
         
   Health Care Equipment & Supplies — 0.2%     
8,442  Avanos Medical, Inc. (a)   266,261 
2,949  Integer Holdings Corp. (a)   265,469 
       531,730 
         
   Health Care Providers & Services — 0.1%     
8,741  Patterson Cos., Inc.   273,244 
         
         
   Hotels, Restaurants & Leisure — 0.6%     
10,950  Brinker International, Inc. (a)   459,462 
5,653  Cracker Barrel Old Country Store, Inc.   752,810 
       1,212,272 
         
   Household Durables — 5.6%     
1,114  Cavco Industries, Inc. (a)   267,783 
21,849  Century Communities, Inc.   1,465,194 
6,843  iRobot Corp. (a)   570,843 
34,495  KB Home   1,384,974 
33,324  La-Z-Boy, Inc.   1,107,690 
28,737  M.D.C. Holdings, Inc.   1,407,538 
23,226  M/I Homes, Inc. (a)   1,329,921 
13,840  Meritage Homes Corp. (a)   1,504,547 
52,078  Taylor Morrison Home Corp. (a)   1,589,941 
63,872  Tri Pointe Homes, Inc. (a)   1,545,064 
       12,173,495 
         
   Household Products — 0.7%     
24,979  Central Garden & Pet Co., Class A (a)   1,154,030 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Household Products (Continued)     
2,753  Spectrum Brands Holdings, Inc.  $258,094 
       1,412,124 
         
   Independent Power and Renewable Electricity Producers — 0.1%     
3,955  Ormat Technologies, Inc.   286,065 
         
         
   Insurance — 5.9%     
45,402  American Equity Investment Life Holding Co.   1,446,962 
5,045  Argo Group International Holdings Ltd.   277,979 
22,946  Assured Guaranty Ltd.   1,275,339 
5,826  Brighthouse Financial, Inc. (a)   292,640 
57,033  CNO Financial Group, Inc.   1,376,777 
358,019  Genworth Financial, Inc., Class A (a)   1,471,458 
26,994  Horace Mann Educators Corp.   1,057,625 
24,117  Mercury General Corp.   1,314,135 
144,986  SiriusPoint Ltd. (a)   1,362,868 
21,222  Stewart Information Services Corp.   1,510,370 
1,255  White Mountains Insurance Group Ltd.   1,324,012 
       12,710,165 
         
   Internet & Direct Marketing Retail — 0.1%     
3,382  Overstock.com, Inc. (a)   322,068 
         
         
   IT Services — 0.7%     
5,466  CSG Systems International, Inc.   273,573 
80,250  SolarWinds Corp.   1,292,025 
       1,565,598 
         
   Leisure Products — 0.2%     
7,675  Malibu Boats, Inc., Class A (a)   541,932 
         
         
   Machinery — 3.5%     
3,848  Alamo Group, Inc.   581,818 
6,987  Albany International Corp., Class A   563,502 
9,702  Altra Industrial Motion Corp.   505,959 
12,870  Barnes Group, Inc.   539,768 
6,822  Federal Signal Corp.   292,050 
3,300  Franklin Electric Co., Inc.   285,054 
12,591  Hillenbrand, Inc.   572,387 
23,089  Kennametal, Inc.   917,788 
37,086  Meritor, Inc. (a)   902,673 
26,133  Mueller Industries, Inc.   1,375,641 
17,309  Mueller Water Products, Inc., Class A   284,041 
3,956  Proto Labs, Inc. (a)   236,608 
4,928  SPX Corp. (a)   286,267 
3,564  Tennant Co.   283,195 
       7,626,751 
         

 

 

First Trust Small Cap Value AlphaDEX® Fund (FYT)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Marine — 0.4%     
16,480  Kirby Corp. (a)  $863,717 
         
         
   Media — 1.9%     
23,055  AMC Networks, Inc., Class A (a)   917,358 
58,834  Gray Television, Inc.   1,379,069 
10,287  John Wiley & Sons, Inc., Class A   557,247 
68,082  TEGNA, Inc.   1,338,492 
       4,192,166 
         
   Metals & Mining — 1.5%     
174,078  Coeur Mining, Inc. (a)   1,101,914 
35,261  Commercial Metals Co.   1,134,699 
20,379  Worthington Industries, Inc.   1,106,987 
       3,343,600 
         
   Mortgage Real Estate Investment Trusts — 3.7%     
72,425  Apollo Commercial Real Estate Finance, Inc.   1,096,514 
90,410  Chimera Investment Corp.   1,411,300 
293,780  MFA Financial, Inc.   1,324,948 
315,157  New York Mortgage Trust, Inc.   1,383,539 
68,185  PennyMac Mortgage Investment Trust   1,373,928 
211,762  Two Harbors Investment Corp.   1,359,512 
       7,949,741 
         
   Multiline Retail — 0.6%     
30,962  Big Lots, Inc.   1,370,069 
         
         
   Multi-Utilities — 1.0%     
27,455  Avista Corp.   1,092,983 
18,745  NorthWestern Corp.   1,065,841 
       2,158,824 
         
   Oil, Gas & Consumable Fuels — 4.0%     
32,745  California Resources Corp. (a)   1,510,527 
42,553  CNX Resources Corp. (a)   621,699 
105,923  Equitrans Midstream Corp.   1,092,066 
10,549  Murphy Oil Corp.   293,579 
13,503  Oasis Petroleum, Inc.   1,628,462 
21,395  Renewable Energy Group, Inc. (a)   1,369,280 
22,984  Whiting Petroleum Corp. (a)   1,496,948 
23,508  World Fuel Services Corp.   717,699 
       8,730,260 
         
   Personal Products — 1.2%     
21,773  Edgewell Personal Care Co.   761,837 
33,174  Nu Skin Enterprises, Inc., Class A   1,331,936 
5,826  USANA Health Sciences, Inc. (a)   565,472 
       2,659,245 
         
Shares  Description  Value
         
   Common Stocks (Continued)     
   Pharmaceuticals — 0.3%     
9,571  Prestige Consumer Healthcare, Inc. (a)  $574,164 
         
         
   Professional Services — 0.6%     
8,146  CBIZ, Inc. (a)   299,040 
2,951  ICF International, Inc.   296,546 
7,074  ManTech International Corp., Class A   609,920 
       1,205,506 
         
   Real Estate Management & Development — 0.9%     
13,222  Marcus & Millichap, Inc. (a)   622,756 
76,544  Realogy Holdings Corp. (a)   1,325,742 
       1,948,498 
         
   Road & Rail — 2.1%     
13,136  ArcBest Corp.   1,180,270 
12,985  Ryder System, Inc.   1,103,076 
47,233  Schneider National, Inc., Class B   1,177,991 
24,261  Werner Enterprises, Inc.   1,099,508 
       4,560,845 
         
   Semiconductors & Semiconductor Equipment — 0.1%     
7,057  FormFactor, Inc. (a)   280,727 
         
         
   Specialty Retail — 3.3%     
4,017  Asbury Automotive Group, Inc. (a)   786,167 
13,817  Camping World Holdings, Inc., Class A   514,683 
7,146  Group 1 Automotive, Inc.   1,284,851 
4,726  Murphy USA, Inc.   770,102 
13,373  ODP (The) Corp. (a)   579,051 
46,906  Sally Beauty Holdings, Inc. (a)   715,786 
20,444  Sonic Automotive, Inc., Class A   1,010,547 
45,221  Urban Outfitters, Inc. (a)   1,443,906 
       7,105,093 
         
   Technology Hardware, Storage & Peripherals — 0.4%     
21,613  Super Micro Computer, Inc. (a)   764,884 
         
         
   Thrifts & Mortgage Finance — 3.0%     
22,928  Capitol Federal Financial, Inc.   278,117 
32,611  Mr. Cooper Group, Inc. (a)   1,429,666 
59,379  NMI Holdings, Inc., Class A (a)   1,441,722 
59,514  Northwest Bancshares, Inc.   821,293 
33,674  Provident Financial Services, Inc.   833,768 
15,653  Washington Federal, Inc.   553,490 
20,933  WSFS Financial Corp.   1,084,539 
       6,442,595 
         

 

 

First Trust Small Cap Value AlphaDEX® Fund (FYT)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Trading Companies & Distributors — 3.8%     
5,958  Applied Industrial Technologies, Inc.  $580,786 
16,548  Beacon Roofing Supply, Inc. (a)   874,893 
24,872  Boise Cascade Co.   1,408,252 
8,825  GATX Corp.   837,051 
24,522  GMS, Inc. (a)   1,214,575 
10,984  McGrath RentCorp   792,386 
23,784  Rush Enterprises, Inc., Class A   1,238,671 
20,638  Triton International Ltd.   1,283,477 
       8,230,091 
         
   Water Utilities — 0.1%     
3,989  SJW Group   262,955 
         
         
   Wireless Telecommunication Services — 1.6%     
34,010  Shenandoah Telecommunications Co.   940,037 
68,849  Telephone and Data Systems, Inc.   1,290,230 
42,100  United States Cellular Corp. (a)   1,286,997 
       3,517,264 
   Total Common Stocks — 99.9%   216,313,186 
   (Cost $213,151,568)     
         
   Money Market Funds — 0.4%     
839,658  Goldman Sachs Financial Square Treasury Obligations Fund - Institutional Class - 0.01% (c) (d)   839,658 
   (Cost $839,658)     
         

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 0.5%     
$ 1,093,512  BNP Paribas S.A., 0.03% (c), dated 10/29/21, due 11/01/21, with a maturity value of $1,093,514. Collateralized by U.S. Treasury Notes, interest rates of 0.375% to 0.750%, due 04/15/24 to 01/31/28. The value of the collateral including accrued interest is $1,116,518. (d)   1,093,512 
   (Cost $1,093,512)     
         
   Total Investments — 100.8%   218,246,356 
   (Cost $215,084,738) (e)     
   Net Other Assets and Liabilities — (0.8)%   (1,674,098)
   Net Assets — 100.0%  $216,572,258 

 

  

(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 $1,889,349 and the total value of the collateral held by the Fund is $1,933,170.
(c) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $12,569,482 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $9,407,864. The net unrealized appreciation was $3,161,618.

 

 

 

 

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1 Quoted Prices  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $216,313,186   $216,313,186   $—     $—   
Money Market Funds   839,658    839,658    —      —   
Repurchase Agreements   1,093,512    —      1,093,512    —   
Total Investments  $218,246,356   $217,152,844   $1,093,512   $—   

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

 

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
 
Portfolio of Investments
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks — 100.0%     
   Aerospace & Defense — 0.2%     
4,804  AeroVironment, Inc. (a)  $428,084 
18,592  Kratos Defense & Security Solutions, Inc. (a)   397,683 
       825,767 
         
   Airlines — 0.1%     
15,990  Spirit Airlines, Inc. (a)   349,382 
         
         
   Auto Components — 1.5%     
40,797  Adient PLC (a)   1,697,971 
26,119  Gentherm, Inc. (a)   1,923,142 
22,291  XPEL, Inc. (a) (b)   1,691,887 
       5,313,000 
         
   Banks — 3.7%     
32,596  Ameris Bancorp   1,707,704 
26,576  Live Oak Bancshares, Inc.   2,370,048 
40,807  Pacific Premier Bancorp, Inc.   1,713,486 
21,735  ServisFirst Bancshares, Inc.   1,745,538 
7,320  Silvergate Capital Corp., Class A (a)   1,146,458 
21,111  Triumph Bancorp, Inc. (a)   2,476,320 
42,964  Veritex Holdings, Inc.   1,759,376 
       12,918,930 
         
   Beverages — 0.5%     
4,291  Coca-Cola Consolidated, Inc.   1,722,407 
         
         
   Biotechnology — 6.7%     
54,531  Alector, Inc. (a)   1,185,504 
11,448  ALX Oncology Holdings, Inc. (a)   641,546 
88,538  Amicus Therapeutics, Inc. (a)   929,649 
60,620  Arcus Biosciences, Inc. (a)   2,027,133 
57,691  Avid Bioservices, Inc. (a)   1,769,960 
117,682  BioCryst Pharmaceuticals, Inc. (a)   1,756,992 
39,152  Celldex Therapeutics, Inc. (a)   1,665,526 
59,145  Cytokinetics, Inc. (a)   2,064,752 
12,208  Deciphera Pharmaceuticals, Inc. (a)   407,625 
20,576  Dicerna Pharmaceuticals, Inc. (a)   428,186 
10,096  Editas Medicine, Inc. (a)   370,725 
16,279  Global Blood Therapeutics, Inc. (a)   594,509 
35,986  Kymera Therapeutics, Inc. (a)   2,118,856 
19,809  MacroGenics, Inc. (a)   386,870 
21,971  Morphic Holding, Inc. (a)   1,263,332 
38,539  Myriad Genetics, Inc. (a)   1,185,845 
87,384  Organogenesis Holdings, Inc. (a)   959,476 
29,677  Prothena Corp. PLC (a)   1,642,622 
11,147  PTC Therapeutics, Inc. (a)   422,806 
18,202  Veracyte, Inc. (a)   871,512 
17,328  Vericel Corp. (a)   797,435 
       23,490,861 
         
   Building Products — 0.7%     
6,349  AAON, Inc.   454,906 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Building Products (Continued)     
13,244  CSW Industrials, Inc.  $1,835,883 
       2,290,789 
         
   Capital Markets — 5.4%     
25,435  Artisan Partners Asset Management, Inc., Class A   1,260,050 
28,643  B. Riley Financial, Inc.   2,052,557 
14,854  Cohen & Steers, Inc.   1,409,496 
32,292  Focus Financial Partners, Inc., Class A (a)   2,029,875 
4,889  Hamilton Lane, Inc., Class A   510,949 
34,167  Moelis & Co., Class A   2,485,308 
15,268  Piper Sandler Cos.   2,514,487 
21,376  PJT Partners, Inc., Class A   1,748,343 
49,574  StepStone Group, Inc., Class A   2,328,987 
16,977  Virtu Financial, Inc., Class A   422,388 
6,813  Virtus Investment Partners, Inc.   2,180,160 
       18,942,600 
         
   Chemicals — 0.6%     
73,174  Livent Corp. (a)   2,064,970 
         
         
   Commercial Services & Supplies — 0.8%     
13,356  Brink’s (The) Co.   919,961 
16,387  Casella Waste Systems, Inc., Class A (a)   1,421,081 
4,778  Cimpress PLC (a)   426,771 
       2,767,813 
         
   Communications Equipment — 1.1%     
42,764  Calix, Inc. (a)   2,676,599 
49,855  Infinera Corp. (a)   378,399 
53,718  Viavi Solutions, Inc. (a)   827,257 
       3,882,255 
         
   Construction & Engineering — 1.3%     
28,943  Ameresco, Inc., Class A (a)   2,377,089 
21,246  MYR Group, Inc. (a)   2,170,279 
       4,547,368 
         
   Construction Materials — 0.4%     
38,921  Summit Materials, Inc., Class A (a)   1,387,534 
         
         
   Consumer Finance — 1.6%     
74,852  LendingClub Corp. (a)   3,440,198 
107,139  Navient Corp.   2,110,638 
       5,550,836 
         
   Containers & Packaging — 0.6%     
63,053  Ranpak Holdings Corp. (a)   2,172,806 
         
         
   Diversified Consumer Services — 0.2%     
12,356  2U, Inc. (a)   364,996 

 

 

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Diversified Consumer Services (Continued)     
43,893  Vivint Smart Home, Inc. (a)  $398,110 
       763,106 
         
   Diversified Telecommunication Services — 0.5%     
4,596  Bandwidth, Inc., Class A (a)   391,947 
745,135  Globalstar, Inc. (a)   1,229,473 
       1,621,420 
         
   Electrical Equipment — 1.3%     
24,319  Atkore, Inc. (a)   2,298,875 
14,498  Blink Charging Co. (a) (c)   461,036 
12,603  Vicor Corp. (a)   1,910,489 
       4,670,400 
         
   Electronic Equipment, Instruments & Components — 1.2%     
9,634  Advanced Energy Industries, Inc.   884,594 
12,305  Badger Meter, Inc.   1,258,186 
14,715  nLight, Inc. (a)   413,786 
6,742  PAR Technology Corp. (a)   423,532 
6,672  Rogers Corp. (a)   1,341,873 
       4,321,971 
         
   Entertainment — 0.4%     
21,593  Cinemark Holdings, Inc. (a)   405,948 
15,028  World Wrestling Entertainment, Inc., Class A   918,061 
       1,324,009 
         
   Equity Real Estate Investment Trusts — 5.4%     
41,429  Acadia Realty Trust   885,752 
20,413  CareTrust REIT, Inc.   423,570 
43,893  DiamondRock Hospitality Co. (a)   396,793 
140,221  DigitalBridge Group, Inc. (a)   939,481 
20,077  Easterly Government Properties, Inc.   422,219 
41,354  Empire State Realty Trust, Inc., Class A   400,307 
30,283  Essential Properties Realty Trust, Inc.   902,131 
15,443  Four Corners Property Trust, Inc.   447,847 
61,147  Independence Realty Trust, Inc.   1,444,904 
67,427  iStar, Inc. (c)   1,701,857 
41,527  Kite Realty Group Trust   842,998 
74,468  Macerich (The) Co.   1,347,126 
20,110  NexPoint Residential Trust, Inc.   1,424,190 
49,380  Outfront Media, Inc.   1,229,068 
48,538  Retail Opportunity Investments Corp.   862,520 
75,427  Service Properties Trust   812,349 
80,593  SITE Centers Corp.   1,280,623 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Equity Real Estate Investment Trusts (Continued)     
51,873  Tanger Factory Outlet Centers, Inc. (c)  $871,466 
100,595  Uniti Group, Inc.   1,439,514 
46,177  Urban Edge Properties   809,483 
       18,884,198 
         
   Food Products — 0.6%     
49,032  Simply Good Foods (The) Co. (a)   1,944,119 
         
         
   Gas Utilities — 0.4%     
376,881  Macquarie Infrastructure Holdings LLC   1,390,691 
         
         
   Health Care Equipment & Supplies — 3.5%     
12,156  AtriCure, Inc. (a)   912,429 
19,116  Axonics, Inc. (a)   1,402,159 
19,979  BioLife Solutions, Inc. (a)   1,061,884 
12,634  Cardiovascular Systems, Inc. (a)   443,201 
9,512  CONMED Corp.   1,391,415 
25,427  CryoPort, Inc. (a)   2,073,318 
8,176  Heska Corp. (a)   1,827,581 
9,626  Inogen, Inc. (a)   381,671 
48,457  Lantheus Holdings, Inc. (a)   1,133,409 
17,102  Outset Medical, Inc. (a)   911,023 
15,366  Silk Road Medical, Inc. (a)   902,138 
       12,440,228 
         
   Health Care Providers & Services — 4.5%     
9,835  Accolade, Inc. (a)   391,335 
17,810  AdaptHealth Corp. (a)   485,322 
111,020  Agiliti, Inc. (a)   2,503,501 
6,238  Castle Biosciences, Inc. (a)   388,939 
72,268  Community Health Systems, Inc. (a)   946,711 
11,352  CorVel Corp. (a)   2,079,913 
18,801  Fulgent Genetics, Inc. (a) (c)   1,558,979 
11,639  ModivCare, Inc. (a)   1,894,480 
87,133  Option Care Health, Inc. (a)   2,381,345 
13,254  Owens & Minor, Inc.   475,553 
57,698  RadNet, Inc. (a)   1,793,831 
7,646  US Physical Therapy, Inc.   824,698 
       15,724,607 
         
   Health Care Technology — 1.5%     
63,241  Allscripts Healthcare Solutions, Inc. (a)   871,461 
68,189  Evolent Health, Inc., Class A (a)   1,995,892 
20,611  GoodRx Holdings, Inc., Class A (a)   919,251 
8,295  Health Catalyst, Inc. (a)   436,649 
13,706  Phreesia, Inc. (a)   966,821 
       5,190,074 
         

 

 

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Hotels, Restaurants & Leisure — 4.7%     
24,817  Bally’s Corp. (a)  $1,136,867 
49,776  Bloomin’ Brands, Inc. (a)   1,076,157 
17,992  Cheesecake Factory (The), Inc. (a)   731,195 
32,465  Dave & Buster’s Entertainment, Inc. (a)   1,205,425 
87,421  Everi Holdings, Inc. (a)   2,098,104 
35,550  Hilton Grand Vacations, Inc. (a)   1,787,454 
8,689  Jack in the Box, Inc.   859,777 
16,646  Papa John’s International, Inc.   2,065,436 
41,269  Red Rock Resorts, Inc., Class A (a)   2,245,446 
30,568  SeaWorld Entertainment, Inc. (a)   1,941,068 
5,286  Shake Shack, Inc., Class A (a)   365,633 
19,895  Six Flags Entertainment Corp. (a)   818,281 
       16,330,843 
         
   Household Durables — 0.9%     
7,891  Installed Building Products, Inc.   1,002,552 
35,197  Skyline Champion Corp. (a)   2,228,674 
       3,231,226 
         
   Household Products — 0.1%     
1,793  WD-40 Co.   407,011 
         
         
   Independent Power and Renewable Electricity Producers — 0.4%     
41,109  Clearway Energy, Inc., Class C   1,458,547 
         
         
   Insurance — 1.3%     
11,106  Goosehead Insurance, Inc., Class A   1,602,596 
5,230  Kinsale Capital Group, Inc.   978,794 
15,393  Palomar Holdings, Inc. (a)   1,407,690 
32,079  Selectquote, Inc. (a)   426,330 
       4,415,410 
         
   Interactive Media & Services — 1.0%     
53,838  Cargurus, Inc. (a)   1,805,726 
51,937  fuboTV, Inc. (a) (c)   1,548,242 
       3,353,968 
         
   Internet & Direct Marketing Retail — 1.4%     
31,473  RealReal (The), Inc. (a)   410,093 
27,378  Revolve Group, Inc. (a)   2,054,445 
14,925  Shutterstock, Inc.   1,808,164 
21,163  Stitch Fix, Inc., Class A (a)   732,240 
       5,004,942 
         
   IT Services — 2.9%     
27,216  EVERTEC, Inc.   1,230,435 
13,734  ExlService Holdings, Inc. (a)   1,684,201 
18,272  Perficient, Inc. (a)   2,258,419 
18,009  Repay Holdings Corp. (a)   378,369 
71,413  Sabre Corp. (a)   741,267 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   IT Services (Continued)     
49,010  Switch, Inc., Class A  $1,238,973 
67,267  Unisys Corp. (a)   1,720,017 
56,108  Verra Mobility Corp. (a)   834,887 
       10,086,568 
         
   Leisure Products — 1.2%     
36,213  Acushnet Holdings Corp.   1,844,690 
52,439  Vista Outdoor, Inc. (a)   2,194,048 
       4,038,738 
         
   Life Sciences Tools & Services — 0.1%     
8,329  Quanterix Corp. (a)   421,531 
         
         
   Machinery — 2.5%     
45,024  Evoqua Water Technologies Corp. (a)   1,883,354 
25,743  Helios Technologies, Inc.   2,343,900 
8,286  Kadant, Inc.   1,840,486 
8,199  Lindsay Corp.   1,194,348 
29,557  Terex Corp.   1,324,154 
       8,586,242 
         
   Marine — 0.6%     
26,189  Matson, Inc.   2,181,020 
         
         
   Media — 2.1%     
67,588  iHeartMedia, Inc., Class A (a)   1,309,855 
30,197  Magnite, Inc. (a)   816,225 
53,380  Sinclair Broadcast Group, Inc., Class A   1,394,819 
20,516  TechTarget, Inc. (a)   1,934,864 
107,574  WideOpenWest, Inc. (a)   2,049,285 
       7,505,048 
         
   Metals & Mining — 0.8%     
50,843  Allegheny Technologies, Inc. (a)   818,572 
75,416  Hecla Mining Co.   435,905 
15,520  Kaiser Aluminum Corp.   1,507,613 
       2,762,090 
         
   Mortgage Real Estate Investment Trusts — 0.4%     
67,155  Arbor Realty Trust, Inc.   1,350,487 
         
         
   Multiline Retail — 0.8%     
12,252  Dillard’s, Inc., Class A   2,831,927 
         
         
   Oil, Gas & Consumable Fuels — 5.8%     
43,070  Callon Petroleum Co. (a)   2,228,011 
50,896  Clean Energy Fuels Corp. (a)   469,261 
30,088  Denbury, Inc. (a)   2,547,250 
118,820  Magnolia Oil & Gas Corp., Class A   2,480,962 
55,567  Matador Resources Co.   2,325,479 
44,604  PDC Energy, Inc.   2,333,235 

 

 

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Oil, Gas & Consumable Fuels (Continued)     
93,411  Range Resources Corp. (a)  $2,178,344 
80,129  SM Energy Co.   2,750,027 
381,559  Southwestern Energy Co. (a)   1,862,008 
318,255  Tellurian, Inc. (a)   1,247,560 
       20,422,137 
         
   Personal Products — 0.8%     
22,618  Inter Parfums, Inc.   2,089,451 
4,390  Medifast, Inc.   861,625 
       2,951,076 
         
   Pharmaceuticals — 1.3%     
21,075  Corcept Therapeutics, Inc. (a)   379,350 
44,120  Harmony Biosciences Holdings, Inc. (a)   1,829,656 
22,680  Intra-Cellular Therapies, Inc. (a)   976,828 
23,097  Nektar Therapeutics (a)   350,150 
19,734  NGM Biopharmaceuticals, Inc. (a)   364,487 
7,406  Pacira BioSciences, Inc. (a)   387,186 
30,351  Revance Therapeutics, Inc. (a)   417,326 
       4,704,983 
         
   Professional Services — 0.6%     
29,213  Korn Ferry   2,255,536 
         
         
   Real Estate Management & Development — 1.3%     
40,416  Kennedy-Wilson Holdings, Inc.   904,106 
147,719  Newmark Group, Inc., Class A   2,198,059 
29,557  St Joe (The) Co.   1,389,770 
       4,491,935 
         
   Semiconductors & Semiconductor Equipment — 5.6%     
15,375  ACM Research, Inc., Class A (a)   1,632,364 
13,573  Ambarella, Inc. (a)   2,522,271 
38,959  Cohu, Inc. (a)   1,248,246 
23,334  Diodes, Inc. (a)   2,242,164 
42,919  MaxLinear, Inc. (a)   2,703,897 
23,405  Onto Innovation, Inc. (a)   1,853,910 
56,052  Rambus, Inc. (a)   1,304,330 
21,690  Semtech Corp. (a)   1,844,301 
10,355  SiTime Corp. (a)   2,742,936 
29,211  Ultra Clean Holdings, Inc. (a)   1,447,989 
       19,542,408 
         
   Software — 8.0%     
17,733  8x8, Inc. (a)   401,830 
10,815  Alarm.com Holdings, Inc. (a)   911,272 
12,264  Altair Engineering, Inc., Class A (a)   954,017 
3,445  Appfolio, Inc., Class A (a)   453,672 
20,961  Avaya Holdings Corp. (a)   390,294 
12,020  Blackbaud, Inc. (a)   853,540 
35,722  Box, Inc., Class A (a)   922,699 

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Software (Continued)     
8,796  Cerence, Inc. (a)  $924,723 
16,522  CommVault Systems, Inc. (a)   1,016,103 
20,028  Domo, Inc., Class B (a)   1,769,474 
15,507  Envestnet, Inc. (a)   1,294,834 
32,306  Jamf Holding Corp. (a)   1,539,381 
39,403  Marathon Digital Holdings, Inc. (a) (c)   2,058,413 
26,589  Mimecast Ltd. (a)   2,005,874 
21,161  Momentive Global, Inc. (a)   485,010 
20,414  PagerDuty, Inc. (a)   852,284 
25,297  Progress Software Corp.   1,300,519 
7,596  Qualys, Inc. (a)   945,550 
16,138  Riot Blockchain, Inc. (a) (c)   439,276 
17,335  Sprout Social, Inc., Class A (a)   2,213,333 
13,104  SPS Commerce, Inc. (a)   2,001,374 
104,905  Vonage Holdings Corp. (a)   1,691,069 
66,050  Xperi Holding Corp.   1,183,616 
34,479  Yext, Inc. (a)   434,091 
50,999  Zuora, Inc., Class A (a)   1,114,838 
       28,157,086 
         
   Specialty Retail — 3.4%     
44,940  Abercrombie & Fitch Co., Class A (a)   1,776,928 
24,012  Bed Bath & Beyond, Inc. (a)   337,128 
23,785  Boot Barn Holdings, Inc. (a)   2,485,295 
42,716  Buckle (The), Inc.   1,777,840 
16,813  GrowGeneration Corp. (a)   354,418 
30,085  Rent-A-Center, Inc.   1,602,327 
26,771  Signet Jewelers Ltd.   2,387,438 
13,312  Sleep Number Corp. (a)   1,175,982 
       11,897,356 
         
   Technology Hardware, Storage & Peripherals — 0.8%     
30,668  3D Systems Corp. (a)   863,611 
43,027  Avid Technology, Inc. (a)   1,232,293 
32,607  Corsair Gaming, Inc. (a) (c)   797,241 
       2,893,145 
         
   Textiles, Apparel & Luxury Goods — 1.7%     
24,912  Kontoor Brands, Inc.   1,320,336 
50,770  Levi Strauss & Co., Class A   1,329,158 
18,753  Oxford Industries, Inc.   1,738,778 
30,986  Steven Madden Ltd.   1,397,469 
       5,785,741 
         
   Thrifts & Mortgage Finance — 2.0%     
32,810  Axos Financial, Inc. (a)   1,738,930 
67,265  Columbia Financial, Inc. (a)   1,252,475 
40,280  Meta Financial Group, Inc.   2,233,123 

 

 

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
 
Portfolio of Investments (Continued)
October 31, 2021 (Unaudited)

 

Shares  Description  Value
         
   Common Stocks (Continued)     
   Thrifts & Mortgage Finance (Continued)     
14,900  Walker & Dunlop, Inc.  $1,938,043 
       7,162,571 
         
   Tobacco — 0.4%     
97,600  Vector Group Ltd.   1,294,176 
         
         
   Trading Companies & Distributors — 1.4%     
90,627  Custom Truck One Source, Inc. (a) (c)   820,175 
44,631  Global Industrial Co.   1,811,126 
12,932  Herc Holdings, Inc.   2,354,141 
       4,985,442 
         
   Water Utilities — 1.0%     
9,888  American States Water Co.   898,226 
21,116  California Water Service Group   1,285,542 
12,108  Middlesex Water Co.   1,333,333 
       3,517,101 
   Total Common Stocks — 100.0%   350,528,432 
   (Cost $308,809,488)     

 

Principal
Value
  Description  Value
         
   Repurchase Agreements — 1.2%     
$ 2,000,000  Citigroup, Inc., 0.05% (d), dated 10/29/21, due 11/01/21, with a maturity value of $2,000,003. Collateralized by U.S. Treasury Securities, interest rates of 0.000% to 6.250%, due 10/31/21 to 02/15/50. The value of the collateral including accrued interest is $2,040,000. (e)   2,000,000 
1,272,498  JPMorgan Chase & Co., 0.05% (d), dated 10/29/21, due 11/01/21, with a maturity value of $1,272,500. Collateralized by U.S. Treasury Securities, interest rates of 0.000% to 2.875%, due 02/24/22 to 12/15/23. The value of the collateral including accrued interest is $1,297,948. (e)   1,272,498 
1,000,000  Mizuho Financial Group, Inc., 0.03% (d), dated 10/29/21, due 11/01/21, with a maturity value of $1,000,001. Collateralized by U.S. Treasury Securities, interest rates of 0.125% to 2.750%, due 01/31/22 to 05/15/29. The value of the collateral including accrued interest is $1,020,000. (e)   1,000,000 

 

  Description  Value
         
   Total Repurchase Agreements — 1.2%  $4,272,498 
   (Cost $4,272,498)     
         
   Total Investments — 101.2%   354,800,930 
   (Cost $313,081,986) (f)     
   Net Other Assets and Liabilities — (1.2)%   (4,100,848)
   Net Assets — 100.0%  $350,700,082 

 

  

(a) Non-income producing security.
(b) This security may be resold to qualified foreign investors and foreign institutional buyers under Regulation S of the Securities Act of 1933, as amended.
(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 $4,167,993 and the total value of the collateral held by the Fund is $4,272,498.
(d) Rate shown reflects yield as of October 31, 2021.
(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, 2021, the aggregate gross unrealized appreciation for all investments in which there was an excess of value over tax cost was $54,135,582 and the aggregate gross unrealized depreciation for all investments in which there was an excess of tax cost over value was $12,416,638. The net unrealized appreciation was $41,718,944.

 

  

     
Valuation Inputs    
       
A summary of the inputs used to value the Fund’s investments as of October 31, 2021 is as follows (see Valuation Inputs in the Additional Information section):

 

   Total
Value at
10/31/2021
  Level 1
Quoted
Prices
  Level 2 Significant Observable Inputs  Level 3 Significant Unobservable Inputs
Common Stocks*  $350,528,432   $350,528,432   $—     $—   
Repurchase Agreements   4,272,498    —      4,272,498    —   
Total Investments  $354,800,930   $350,528,432   $4,272,498   $—   

 

* See Portfolio of Investments for industry breakout.

 

 

 

 

 

Additional Information

 

First Trust Exchange-Traded AlphaDEX® Fund

Style Funds

October 31, 2021 (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 and Nasdaq AlphaDEX® Small Cap Growth 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.