0001752724-24-143837.txt : 20240625 0001752724-24-143837.hdr.sgml : 20240625 20240625134658 ACCESSION NUMBER: 0001752724-24-143837 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240430 FILED AS OF DATE: 20240625 DATE AS OF CHANGE: 20240625 PERIOD START: 20240731 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIRST TRUST EXCHANGE-TRADED ALPHADEX FUND CENTRAL INDEX KEY: 0001383496 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22019 FILM NUMBER: 241067872 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 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74164F103 39702.00000000 NS USD 1850113.20000000 0.220874071634 Long EC CORP US N 1 N N N Sprout Social Inc N/A Sprout Social Inc 85209W109 9434.00000000 NS USD 475945.30000000 0.056820294177 Long EC CORP US N 1 N N N Summit Therapeutics Inc N/A Summit Therapeutics Inc 86627T108 408237.00000000 NS USD 1604371.41000000 0.191536412874 Long EC CORP US N 1 N N Powell Industries Inc 549300V08RO7MX2UBN26 Powell Industries Inc 739128106 19795.00000000 NS USD 2830685.00000000 0.337938738810 Long EC CORP US N 1 N N N Kaiser Aluminum Corp N/A Kaiser Aluminum Corp 483007704 12609.00000000 NS USD 1140988.41000000 0.136215857388 Long EC CORP US N 1 N N N Scotts Miracle-Gro Co/The 2TH9E0JTOUXOEGI2R879 Scotts Miracle-Gro Co/The 810186106 22658.00000000 NS USD 1552979.32000000 0.185401015231 Long EC CORP US N 1 N N N Cable One Inc 549300648QS85T0XSH18 Cable One Inc 12685J105 6657.00000000 NS USD 2621859.45000000 0.313008291586 Long EC CORP US N 1 N N N Apartment Investment and Manag 549300O8FT5GJ4RU1D57 Apartment Investment and Management Co 03748R747 68787.00000000 NS USD 550296.00000000 0.065696584470 Long EC CORP US N 1 N N N Gulfport Energy Corp 254900DJRGZBUZ3F5038 Gulfport Energy Corp 402635502 10555.00000000 NS USD 1675184.05000000 0.199990315111 Long EC CORP US N 1 N N N OceanFirst Financial Corp N/A OceanFirst Financial Corp 675234108 137323.00000000 NS USD 2026887.48000000 0.241978107313 Long EC CORP US N 1 N N N Grocery Outlet Holding Corp N/A Grocery Outlet Holding Corp 39874R101 19575.00000000 NS USD 508362.75000000 0.060690421785 Long EC CORP US N 1 N N N Skyward Specialty Insurance Gr 549300GXGXJG0YH4VN21 Skyward Specialty Insurance Group Inc 830940102 75297.00000000 NS USD 2629371.24000000 0.313905079763 Long EC CORP US N 1 N N N Stepan Co IZU1EW9GB3WC7CYCSR17 Stepan Co 858586100 12514.00000000 NS USD 1038536.86000000 0.123984772829 Long EC CORP US N 1 N N N Dream Finders Homes Inc N/A Dream Finders Homes Inc 26154D100 64415.00000000 NS USD 2286732.50000000 0.272999467283 Long EC CORP US N 1 N N N Stock Yards Bancorp Inc 549300YERP9H5TDIQW16 Stock Yards Bancorp Inc 861025104 23037.00000000 NS USD 1026298.35000000 0.122523689510 Long EC CORP US N 1 N N N Arch Resources Inc W47HVZ7Q6FXL86RELH91 Arch Resources Inc 03940R107 17519.00000000 NS USD 2781666.82000000 0.332086748239 Long EC CORP US N 1 N N N Innoviva Inc 549300ACOX4QTBES6535 Innoviva Inc 45781M101 184832.00000000 NS USD 2792811.52000000 0.333417248052 Long EC CORP US N 1 N N N Vicor Corp 5299005KMQOTR6B51F09 Vicor Corp 925815102 29465.00000000 NS USD 954076.70000000 0.113901573903 Long EC CORP US N 1 N N N WesBanco Inc N/A WesBanco Inc 950810101 75595.00000000 NS USD 2041065.00000000 0.243670677567 Long EC CORP US N 1 N N N Hillman Solutions Corp N/A Hillman Solutions Corp 431636109 52948.00000000 NS USD 506182.88000000 0.060430180000 Long EC CORP US N 1 N N N Astrana Health Inc 5493008O4R82Q4STJ936 Astrana Health Inc 03763A207 13417.00000000 NS USD 498441.55000000 0.059505988401 Long EC CORP US N 1 N N N World Kinect Corp D3W7PCXCBRQLL17DZ313 World Kinect Corp 981475106 63899.00000000 NS USD 1501626.50000000 0.179270305800 Long EC CORP US N 1 N N N Uniti Group Inc 549300V3NU625PJUVA84 Uniti Group Inc 91325V108 286458.00000000 NS USD 1647133.50000000 0.196641525864 Long EC CORP US N 1 N N N AvidXchange Holdings Inc N/A AvidXchange Holdings Inc 05368X102 171367.00000000 NS USD 1998139.22000000 0.238546022596 Long EC CORP US N 1 N N N Hertz Global Holdings Inc 549300NBK3K85MH1EX16 Hertz Global Holdings Inc 42806J700 359750.00000000 NS USD 1636862.50000000 0.195415331927 Long EC CORP US N 1 N N N SolarWinds Corp N/A SolarWinds Corp 83417Q204 89281.00000000 NS USD 983876.62000000 0.117459210087 Long EC CORP US N 1 N N N Ingevity Corp 5493009UTFC4B5IMGF87 Ingevity Corp 45688C107 11811.00000000 NS USD 604014.54000000 0.072109723219 Long EC CORP US N 1 N N N Werner Enterprises Inc 549300P6XRGOCHHJST37 Werner Enterprises Inc 950755108 57604.00000000 NS USD 1970056.80000000 0.235193428578 Long EC CORP US N 1 N N N Minerals Technologies Inc 549300D3I1QU67GP6403 Minerals Technologies Inc 603158106 22451.00000000 NS USD 1636453.39000000 0.195366490703 Long EC CORP US N 1 N N N Couchbase Inc 5493004VX52ODFMQLF07 Couchbase Inc 22207T101 85650.00000000 NS USD 2067591.00000000 0.246837459807 Long EC CORP US N 1 N N N Easterly Government Properties 549300ERMCEFC6S8HL77 Easterly Government Properties Inc 27616P103 146838.00000000 NS USD 1716536.22000000 0.204927106092 Long EC CORP US N 1 N N N Red Rock Resorts Inc N/A Red Rock Resorts Inc 75700L108 28253.00000000 NS USD 1500799.36000000 0.179171558448 Long EC CORP US N 1 N N N AZZ Inc 549300HD1X2NFLWPYC83 AZZ Inc 002474104 36435.00000000 NS USD 2609839.05000000 0.311573247130 Long EC CORP US N 1 N N N Frontdoor Inc 5493008RB0JZJI3QGZ06 Frontdoor Inc 35905A109 34584.00000000 NS USD 1061382.96000000 0.126712233574 Long EC CORP US N 1 N N N LXP Industrial Trust 549300S4MH2ICXDBFV43 LXP Industrial Trust 529043101 124916.00000000 NS USD 1043048.60000000 0.124523402781 Long EC CORP US N 1 N N N LeMaitre Vascular Inc 549300FZUBUB7MHY8R17 LeMaitre Vascular Inc 525558201 25468.00000000 NS USD 1650326.40000000 0.197022707309 Long EC CORP US N 1 N N N JetBlue Airways Corp 54930070J9H97ZO93T57 JetBlue Airways Corp 477143101 227776.00000000 NS USD 1293767.68000000 0.154455270753 Long EC CORP US N 1 N N N Cavco Industries Inc N/A Cavco Industries Inc 149568107 2823.00000000 NS USD 1028164.83000000 0.122746517517 Long EC CORP US N 1 N N N Alkami Technology Inc N/A Alkami Technology Inc 01644J108 68787.00000000 NS USD 1655703.09000000 0.197664598526 Long EC CORP US N 1 N N N Virtu Financial Inc 5493001OPW2K42CH3884 Virtu Financial Inc 928254101 27455.00000000 NS USD 595773.50000000 0.071125874198 Long EC CORP US N 1 N N N Helix Energy Solutions Group I 416AP2JOUTCWEGSOZW41 Helix Energy Solutions Group Inc 42330P107 207885.00000000 NS USD 2232684.90000000 0.266547044007 Long EC CORP US N 1 N N N Atlantic Union Bankshares Corp N/A Atlantic Union Bankshares Corp 04911A107 47865.00000000 NS USD 1520671.05000000 0.181543921977 Long EC CORP US N 1 N N N Oceaneering International Inc 549300L6PH74701W0R30 Oceaneering International Inc 675232102 48152.00000000 NS USD 1103162.32000000 0.131700024242 Long EC CORP US N 1 N N N Materion Corp 549300CJ5RI351SUYT02 Materion Corp 576690101 8552.00000000 NS USD 982966.88000000 0.117350601610 Long EC CORP US N 1 N N N Catalyst Pharmaceuticals Inc 5299004O0R5XXLA5H544 Catalyst Pharmaceuticals Inc 14888U101 70686.00000000 NS USD 1063824.30000000 0.127003690717 Long EC CORP US N 1 N N N Dorian LPG Ltd 549300WP1W2WGMC7F395 Dorian LPG Ltd 000000000 58593.00000000 NS USD 2421062.76000000 0.289036362468 Long EC CORP US N 1 N N N Innospec Inc 213800SQBACNY5IWJO68 Innospec Inc 45768S105 8738.00000000 NS USD 1048560.00000000 0.125181376227 Long EC CORP US N 1 N N N Winnebago Industries Inc 549300B7OYKYJLTE3G11 Winnebago Industries Inc 974637100 22839.00000000 NS USD 1406425.62000000 0.167904835844 Long EC CORP US N 1 N N N Remitly Global Inc N/A Remitly Global Inc 75960P104 54327.00000000 NS USD 968650.41000000 0.115641442938 Long EC CORP US N 1 N N N RingCentral Inc 549300C8EH0H1614VE84 RingCentral Inc 76680R206 48650.00000000 NS USD 1441013.00000000 0.172034018560 Long EC CORP US N 1 N N N John Bean Technologies Corp 5493007CT6ATBZ2L6826 John Bean Technologies Corp 477839104 26855.00000000 NS USD 2392511.95000000 0.285627850139 Long EC CORP US N 1 N N N 2024-06-25 First Trust Exchange-Traded AlphaDEX Fund Derek Maltbie Derek Maltbie Treasurer, Chief Financial Officer and Chief Accounting Officer XXXX NPORT-EX 2 290044FT043024.htm EDGAR HTML
First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
 
Aerospace & Defense — 2.7%
 
13,783
Axon Enterprise, Inc. (a)
$4,323,176
7,633
General Dynamics Corp.
2,191,358
24,568
General Electric Co.
3,975,594
5,645
HEICO Corp.
1,170,773
78,771
Howmet Aerospace, Inc.
5,257,964
10,118
L3Harris Technologies, Inc.
2,165,758
4,740
Lockheed Martin Corp.
2,203,768
2,253
Northrop Grumman Corp.
1,092,773
11,054
RTX Corp.
1,122,202
33,714
Textron, Inc.
2,851,867
3,502
TransDigm Group, Inc.
4,370,601
 
 
30,725,834
 
Air Freight & Logistics —
0.8%
 
17,736
Expeditors International of
Washington, Inc.
1,974,194
14,883
FedEx Corp.
3,896,072
21,760
United Parcel Service, Inc.,
Class B
3,209,165
 
 
9,079,431
 
Automobile Components —
0.4%
 
67,676
Aptiv PLC (a)
4,804,996
 
Automobiles — 0.9%
 
405,899
Ford Motor Co.
4,931,673
118,861
General Motors Co.
5,292,880
 
 
10,224,553
 
Banks — 4.3%
 
85,290
Bank of America Corp.
3,156,583
68,189
Citigroup, Inc.
4,182,031
118,828
Citizens Financial Group, Inc.
4,053,223
86,917
Fifth Third Bancorp
3,168,994
3,297
First Citizens BancShares, Inc.,
Class A
5,561,248
309,124
Huntington Bancshares, Inc.
4,163,900
26,911
JPMorgan Chase & Co.
5,159,915
136,377
KeyCorp
1,976,103
29,650
M&T Bank Corp.
4,281,164
20,014
PNC Financial Services Group
(The), Inc.
3,067,346
204,956
Regions Financial Corp.
3,949,502
72,354
U.S. Bancorp
2,939,743
74,401
Wells Fargo & Co.
4,413,467
 
 
50,073,219
 
Beverages — 0.4%
 
3,968
Constellation Brands, Inc.,
Class A
1,005,729
105,452
Keurig Dr Pepper, Inc.
3,553,733
 
 
4,559,462
Shares
Description
Value
 
 
Biotechnology — 1.2%
 
9,999
Biogen, Inc. (a)
$2,147,985
58,871
Gilead Sciences, Inc.
3,838,389
56,770
Incyte Corp. (a)
2,954,879
15,633
Neurocrine Biosciences, Inc. (a)
2,150,163
2,240
Regeneron Pharmaceuticals,
Inc. (a)
1,995,078
2,578
Vertex Pharmaceuticals, Inc. (a)
1,012,664
 
 
14,099,158
 
Broadline Retail — 1.0%
 
23,905
Amazon.com, Inc. (a)
4,183,375
121,199
Coupang, Inc. (a)
2,726,977
102,129
eBay, Inc.
5,263,729
 
 
12,174,081
 
Building Products — 2.3%
 
20,678
Builders FirstSource, Inc. (a)
3,780,352
8,253
Carlisle Cos., Inc.
3,204,227
33,008
Johnson Controls
International PLC
2,147,831
6,617
Lennox International, Inc.
3,066,450
54,670
Masco Corp.
3,742,162
32,316
Owens Corning
5,435,874
17,957
Trane Technologies PLC
5,698,474
 
 
27,075,370
 
Capital Markets — 3.6%
 
24,321
Ares Management Corp.,
Class A
3,236,882
93,550
Bank of New York Mellon (The)
Corp.
5,284,640
1,293
BlackRock, Inc.
975,750
5,868
Cboe Global Markets, Inc.
1,062,988
153,407
Franklin Resources, Inc.
3,503,816
7,742
Goldman Sachs Group (The),
Inc.
3,303,589
53,592
KKR & Co., Inc.
4,987,807
12,241
LPL Financial Holdings, Inc.
3,294,420
2,744
Moody’s Corp.
1,016,186
22,898
Morgan Stanley
2,080,054
36,373
Northern Trust Corp.
2,996,771
16,788
Raymond James Financial, Inc.
2,048,136
41,829
State Street Corp.
3,032,184
44,212
T. Rowe Price Group, Inc.
4,844,309
 
 
41,667,532
 
Chemicals — 3.1%
 
13,350
Air Products and Chemicals, Inc.
3,155,139
31,365
Celanese Corp.
4,817,978
64,780
CF Industries Holdings, Inc.
5,115,677
18,694
Corteva, Inc.
1,011,906
37,219
Dow, Inc.
2,117,761
28,122
DuPont de Nemours, Inc.
2,038,845
14,007
Ecolab, Inc.
3,167,683
2,322
Linde PLC
1,023,909

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Chemicals (Continued)
 
42,162
LyondellBasell Industries N.V.,
Class A
$4,214,935
7,440
PPG Industries, Inc.
959,760
18,127
RPM International, Inc.
1,937,958
9,312
Sherwin-Williams (The) Co.
2,789,968
21,167
Westlake Corp.
3,119,169
 
 
35,470,688
 
Commercial Services &
Supplies — 1.2%
 
4,707
Cintas Corp.
3,098,806
55,840
Copart, Inc. (a)
3,032,670
16,895
Republic Services, Inc.
3,238,772
23,300
Rollins, Inc.
1,038,248
15,174
Waste Management, Inc.
3,156,496
 
 
13,564,992
 
Communications Equipment
— 0.9%
 
14,870
Arista Networks, Inc. (a)
3,815,047
86,400
Cisco Systems, Inc.
4,059,072
6,073
Motorola Solutions, Inc.
2,059,658
 
 
9,933,777
 
Construction & Engineering
— 0.5%
 
20,747
Quanta Services, Inc.
5,364,344
 
Construction Materials —
0.7%
 
7,023
Martin Marietta Materials, Inc.
4,122,992
15,801
Vulcan Materials Co.
4,070,812
 
 
8,193,804
 
Consumer Finance — 0.7%
 
28,963
Capital One Financial Corp.
4,154,163
100,007
Synchrony Financial
4,398,308
 
 
8,552,471
 
Consumer Staples Distribution
& Retail — 1.1%
 
5,886
Costco Wholesale Corp.
4,254,989
13,817
Dollar General Corp.
1,923,188
56,611
Kroger (The) Co.
3,135,117
13,281
Sysco Corp.
987,044
12,166
Target Corp.
1,958,483
17,917
Walmart, Inc.
1,063,374
 
 
13,322,195
 
Containers & Packaging —
0.3%
 
16,005
Ball Corp.
1,113,468
17,041
Packaging Corp. of America
2,947,752
 
 
4,061,220
 
Distributors — 0.7%
 
20,876
Genuine Parts Co.
3,281,916
Shares
Description
Value
 
 
Distributors (Continued)
 
80,739
LKQ Corp.
$3,482,273
2,672
Pool Corp.
968,680
 
 
7,732,869
 
Diversified REITs — 0.4%
 
76,404
WP Carey, Inc.
4,189,995
 
Diversified Telecommunication
Services — 0.8%
 
306,270
AT&T, Inc.
5,172,901
102,772
Verizon Communications, Inc.
4,058,466
 
 
9,231,367
 
Electric Utilities — 3.5%
 
37,564
American Electric Power Co.,
Inc.
3,231,631
23,329
Constellation Energy Corp.
4,337,794
33,443
Duke Energy Corp.
3,286,109
45,725
Edison International
3,249,218
51,007
Entergy Corp.
5,440,917
114,780
Exelon Corp.
4,313,432
83,744
FirstEnergy Corp.
3,210,745
50,605
NextEra Energy, Inc.
3,389,017
257,296
PG&E Corp.
4,402,335
39,160
PPL Corp.
1,075,334
80,229
Xcel Energy, Inc.
4,310,704
 
 
40,247,236
 
Electrical Equipment — 1.4%
 
5,894
AMETEK, Inc.
1,029,446
17,240
Eaton Corp. PLC
5,486,803
10,391
Hubbell, Inc.
3,850,073
66,002
Vertiv Holdings Co., Class A
6,138,186
 
 
16,504,508
 
Electronic Equipment,
Instruments & Components
— 1.3%
 
18,693
Amphenol Corp., Class A
2,257,554
65,417
Corning, Inc.
2,183,619
24,144
Jabil, Inc.
2,833,540
37,114
TE Connectivity Ltd.
5,250,889
7,532
Teledyne Technologies, Inc. (a)
2,873,307
 
 
15,398,909
 
Energy Equipment & Services
— 0.9%
 
128,725
Baker Hughes Co.
4,199,009
136,741
Halliburton Co.
5,123,685
19,670
Schlumberger N.V.
933,932
 
 
10,256,626
 
Entertainment — 1.0%
 
50,963
Live Nation Entertainment,
Inc. (a)
4,531,120

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Entertainment (Continued)
 
7,100
Netflix, Inc. (a)
$3,909,544
493,961
Warner Bros Discovery, Inc. (a)
3,635,553
 
 
12,076,217
 
Financial Services — 2.4%
 
47,935
Apollo Global Management, Inc.
5,195,195
12,819
Berkshire Hathaway, Inc.,
Class B (a)
5,085,682
75,048
Corebridge Financial, Inc. (b)
1,993,275
6,987
Corpay, Inc. (a)
2,111,052
26,982
Fiserv, Inc. (a)
4,119,342
24,197
Global Payments, Inc.
2,970,666
4,478
Mastercard, Inc., Class A
2,020,473
48,279
PayPal Holdings, Inc. (a)
3,279,110
3,862
Visa, Inc., Class A
1,037,372
 
 
27,812,167
 
Food Products — 3.3%
 
85,820
Archer-Daniels-Midland Co.
5,034,201
52,578
Bunge Global S.A.
5,350,337
72,761
Campbell Soup Co.
3,325,905
145,489
Conagra Brands, Inc.
4,478,151
46,223
General Mills, Inc.
3,256,873
11,086
Hershey (The) Co.
2,149,797
92,698
Hormel Foods Corp.
3,296,341
18,818
Kellanova
1,088,810
116,865
Kraft Heinz (The) Co.
4,512,158
10,120
Lamb Weston Holdings, Inc.
843,401
14,037
McCormick & Co., Inc.
1,067,654
46,202
Mondelez International, Inc.,
Class A
3,323,772
 
 
37,727,400
 
Gas Utilities — 0.4%
 
36,277
Atmos Energy Corp.
4,277,058
 
Ground Transportation —
1.1%
 
29,082
CSX Corp.
966,104
16,233
J.B. Hunt Transport Services,
Inc.
2,638,999
4,231
Norfolk Southern Corp.
974,484
70,014
Uber Technologies, Inc. (a)
4,639,828
64,672
U-Haul Holding Co.
3,965,687
 
 
13,185,102
 
Health Care Equipment &
Supplies — 2.0%
 
9,485
Abbott Laboratories
1,005,125
47,221
Boston Scientific Corp. (a)
3,393,773
15,546
Dexcom, Inc. (a)
1,980,405
33,846
Edwards Lifesciences Corp. (a)
2,865,741
11,860
GE HealthCare Technologies,
Inc.
904,206
Shares
Description
Value
 
 
Health Care Equipment &
Supplies (Continued)
 
13,830
Hologic, Inc. (a)
$1,047,899
8,104
Intuitive Surgical, Inc. (a)
3,003,505
24,741
Medtronic PLC
1,985,218
5,445
ResMed, Inc.
1,165,176
4,795
STERIS PLC
980,865
6,025
Stryker Corp.
2,027,413
24,505
Zimmer Biomet Holdings, Inc.
2,947,461
 
 
23,306,787
 
Health Care Providers &
Services — 2.4%
 
54,948
Centene Corp. (a)
4,014,501
8,905
Cigna Group (The)
3,179,441
67,582
CVS Health Corp.
4,575,977
4,158
Elevance Health, Inc.
2,197,836
3,233
HCA Healthcare, Inc.
1,001,648
9,328
Humana, Inc.
2,817,896
9,871
Laboratory Corp. of America
Holdings
1,987,723
5,249
Molina Healthcare, Inc. (a)
1,795,683
32,396
Quest Diagnostics, Inc.
4,476,479
4,359
UnitedHealth Group, Inc.
2,108,448
 
 
28,155,632
 
Health Care REITs — 0.2%
 
49,521
Ventas, Inc.
2,192,790
 
Health Care Technology —
0.1%
 
4,654
Veeva Systems, Inc., Class A (a)
924,098
 
Hotel & Resort REITs — 0.2%
 
104,261
Host Hotels & Resorts, Inc.
1,967,405
 
Hotels, Restaurants & Leisure
— 4.0%
 
13,071
Airbnb, Inc., Class A (a)
2,072,668
595
Booking Holdings, Inc.
2,053,958
197,933
Carnival Corp. (a)
2,933,367
1,483
Chipotle Mexican Grill, Inc. (a)
4,685,687
6,450
Darden Restaurants, Inc.
989,494
6,508
Domino’s Pizza, Inc.
3,444,489
39,140
DoorDash, Inc., Class A (a)
5,059,236
118,704
DraftKings, Inc., Class A (a)
4,933,338
23,479
Expedia Group, Inc. (a)
3,160,978
20,215
Hilton Worldwide Holdings, Inc.
3,988,015
20,852
Las Vegas Sands Corp.
924,995
17,091
Marriott International, Inc.,
Class A
4,035,698
68,506
MGM Resorts International (a)
2,701,877
38,777
Royal Caribbean Cruises Ltd. (a)
5,414,433
 
 
46,398,233
 
Household Durables — 1.7%
 
32,758
D.R. Horton, Inc.
4,667,687

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Household Durables
(Continued)
 
21,725
Garmin Ltd.
$3,138,611
31,343
Lennar Corp., Class A
4,752,226
266
NVR, Inc. (a)
1,978,734
44,689
PulteGroup, Inc.
4,979,248
 
 
19,516,506
 
Household Products — 0.5%
 
10,336
Church & Dwight Co., Inc.
1,115,151
23,943
Colgate-Palmolive Co.
2,200,841
8,335
Kimberly-Clark Corp.
1,137,977
6,645
Procter & Gamble (The) Co.
1,084,464
 
 
5,538,433
 
Independent Power and
Renewable Electricity
Producers — 0.5%
 
77,392
Vistra Corp.
5,869,409
 
Insurance — 5.1%
 
37,668
Aflac, Inc.
3,150,928
55,166
American International Group,
Inc.
4,154,551
3,231
Aon PLC, Class A
911,174
58,312
Arch Capital Group Ltd. (a)
5,454,504
4,311
Arthur J. Gallagher & Co.
1,011,749
49,261
Brown & Brown, Inc.
4,016,742
16,641
Chubb Ltd.
4,137,618
43,411
Cincinnati Financial Corp.
5,022,219
10,738
Erie Indemnity Co., Class A
4,109,003
13,561
Everest Group Ltd.
4,968,886
40,605
Fidelity National Financial, Inc.
2,009,947
41,846
Hartford Financial Services
Group (The), Inc.
4,054,459
55,080
Loews Corp.
4,139,262
3,544
Markel Group, Inc. (a)
5,168,570
5,234
Marsh & McLennan Cos., Inc.
1,043,817
18,366
Prudential Financial, Inc.
2,029,076
9,370
Travelers (The) Cos., Inc.
1,987,939
24,379
W.R. Berkley Corp.
1,876,452
 
 
59,246,896
 
Interactive Media & Services
— 0.7%
 
14,287
Alphabet, Inc., Class A (a)
2,325,638
11,102
Meta Platforms, Inc., Class A
4,775,747
31,096
Pinterest, Inc., Class A (a)
1,040,161
 
 
8,141,546
 
IT Services — 1.9%
 
44,535
Cloudflare, Inc., Class A (a)
3,892,359
73,549
Cognizant Technology Solutions
Corp., Class A
4,830,698
3,904
EPAM Systems, Inc. (a)
918,455
Shares
Description
Value
 
 
IT Services (Continued)
 
4,525
Gartner, Inc. (a)
$1,866,970
36,336
GoDaddy, Inc., Class A (a)
4,446,800
16,937
International Business Machines
Corp.
2,814,929
3,006
MongoDB, Inc. (a)
1,097,731
20,610
Okta, Inc. (a)
1,916,318
 
 
21,784,260
 
Life Sciences Tools & Services
— 0.7%
 
4,317
Danaher Corp.
1,064,658
8,526
IQVIA Holdings, Inc. (a)
1,976,071
41,068
Revvity, Inc.
4,208,238
1,854
Thermo Fisher Scientific, Inc.
1,054,407
 
 
8,303,374
 
Machinery — 3.9%
 
14,711
Caterpillar, Inc.
4,921,859
10,498
Deere & Co.
4,109,022
12,168
Dover Corp.
2,181,723
12,534
Fortive Corp.
943,434
11,535
Graco, Inc.
925,107
4,418
IDEX Corp.
973,992
56,770
Ingersoll Rand, Inc.
5,297,777
16,881
Lincoln Electric Holdings, Inc.
3,705,886
3,927
Nordson Corp.
1,013,912
21,720
Otis Worldwide Corp.
1,980,864
43,508
PACCAR, Inc.
4,616,634
5,819
Parker-Hannifin Corp.
3,170,831
14,558
Snap-on, Inc.
3,900,962
29,601
Westinghouse Air Brake
Technologies Corp.
4,768,129
16,684
Xylem, Inc.
2,180,599
 
 
44,690,731
 
Media — 1.8%
 
11,129
Charter Communications, Inc.,
Class A (a)
2,848,356
124,345
Comcast Corp., Class A
4,738,788
68,953
Fox Corp., Class A
2,138,232
132,157
Interpublic Group of (The) Cos.,
Inc.
4,022,859
123,537
News Corp., Class A
2,940,181
22,283
Omnicom Group, Inc.
2,068,754
24,663
Trade Desk (The), Inc.,
Class A (a)
2,043,330
 
 
20,800,500
 
Metals & Mining — 1.3%
 
22,927
Freeport-McMoRan, Inc.
1,144,974
27,238
Nucor Corp.
4,590,420
16,130
Reliance, Inc.
4,592,534
36,364
Steel Dynamics, Inc.
4,731,684
 
 
15,059,612

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Multi-Utilities — 3.3%
 
58,306
Ameren Corp.
$4,307,064
151,361
CenterPoint Energy, Inc.
4,410,660
53,599
CMS Energy Corp.
3,248,635
59,359
Consolidated Edison, Inc.
5,603,490
87,666
Dominion Energy, Inc.
4,469,213
38,454
DTE Energy Co.
4,242,245
64,574
Public Service Enterprise Group,
Inc.
4,460,772
60,035
Sempra
4,300,307
39,384
WEC Energy Group, Inc.
3,254,694
 
 
38,297,080
 
Office REITs — 0.1%
 
8,363
Alexandria Real Estate Equities,
Inc.
969,021
 
Oil, Gas & Consumable Fuels
— 7.4%
 
33,422
Cheniere Energy, Inc.
5,274,660
34,173
Chevron Corp.
5,511,080
42,351
ConocoPhillips
5,320,133
193,340
Coterra Energy, Inc.
5,289,782
107,420
Devon Energy Corp.
5,497,756
27,200
Diamondback Energy, Inc.
5,470,736
42,166
EOG Resources, Inc.
5,571,394
145,409
EQT Corp.
5,829,447
46,373
Exxon Mobil Corp.
5,484,535
235,130
Kinder Morgan, Inc.
4,298,176
190,203
Marathon Oil Corp.
5,106,950
26,752
Marathon Petroleum Corp.
4,861,373
82,941
Occidental Petroleum Corp.
5,485,718
53,788
ONEOK, Inc.
4,255,706
33,001
Phillips 66
4,726,073
9,627
Targa Resources Corp.
1,098,056
31,580
Valero Energy Corp.
5,048,695
27,665
Williams (The) Cos., Inc.
1,061,229
 
 
85,191,499
 
Passenger Airlines — 1.2%
 
112,603
Delta Air Lines, Inc.
5,638,032
110,798
Southwest Airlines Co.
2,874,100
112,580
United Airlines Holdings,
Inc. (a)
5,793,367
 
 
14,305,499
 
Personal Care Products —
0.1%
 
50,237
Kenvue, Inc.
945,460
 
Pharmaceuticals — 1.4%
 
99,397
Bristol-Myers Squibb Co.
4,367,504
5,542
Eli Lilly & Co.
4,328,856
13,629
Johnson & Johnson
1,970,617
Shares
Description
Value
 
 
Pharmaceuticals (Continued)
 
38,849
Pfizer, Inc.
$995,312
361,162
Viatris, Inc.
4,178,644
 
 
15,840,933
 
Professional Services — 1.1%
 
36,314
Booz Allen Hamilton Holding
Corp.
5,362,489
8,059
Equifax, Inc.
1,774,511
14,026
Jacobs Solutions, Inc.
2,013,152
50,244
SS&C Technologies Holdings,
Inc.
3,109,601
13,510
TransUnion
986,230
 
 
13,245,983
 
Real Estate Management &
Development — 0.2%
 
11,087
CBRE Group, Inc., Class A (a)
963,349
11,160
CoStar Group, Inc. (a)
1,021,475
 
 
1,984,824
 
Residential REITs — 0.6%
 
51,247
Equity Residential
3,300,307
30,274
Invitation Homes, Inc.
1,035,371
24,581
Mid-America Apartment
Communities, Inc.
3,195,530
 
 
7,531,208
 
Retail REITs — 0.5%
 
219,901
Kimco Realty Corp.
4,096,756
13,778
Simon Property Group, Inc.
1,936,222
 
 
6,032,978
 
Semiconductors &
Semiconductor Equipment
— 3.4%
 
17,920
Advanced Micro Devices,
Inc. (a)
2,838,170
20,911
Applied Materials, Inc.
4,153,970
2,440
Broadcom, Inc.
3,172,659
30,684
Entegris, Inc.
4,078,517
48,816
Intel Corp.
1,487,423
4,629
KLA Corp.
3,190,723
4,439
Lam Research Corp.
3,970,286
15,210
Marvell Technology, Inc.
1,002,491
1,592
Monolithic Power Systems, Inc.
1,065,573
5,967
NVIDIA Corp.
5,155,607
4,351
NXP Semiconductors N.V.
1,114,683
12,736
QUALCOMM, Inc.
2,112,266
49,764
Skyworks Solutions, Inc.
5,304,345
9,555
Teradyne, Inc.
1,111,438
 
 
39,758,151
 
Software — 4.3%
 
4,139
Autodesk, Inc. (a)
880,986
6,927
Cadence Design Systems,
Inc. (a)
1,909,289

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Software (Continued)
 
16,813
Crowdstrike Holdings, Inc.,
Class A (a)
$4,918,475
17,445
Datadog, Inc., Class A (a)
2,189,347
1,726
Fair Isaac Corp. (a)
1,956,128
15,783
Fortinet, Inc. (a)
997,170
96,256
Gen Digital, Inc.
1,938,596
3,441
HubSpot, Inc. (a)
2,081,358
1,659
Intuit, Inc.
1,037,904
12,925
Manhattan Associates, Inc. (a)
2,663,325
5,125
Microsoft Corp.
1,995,316
87,336
Nutanix, Inc., Class A (a)
5,301,295
17,165
Oracle Corp.
1,952,519
187,409
Palantir Technologies, Inc.,
Class A (a)
4,117,376
3,795
Palo Alto Networks, Inc. (a)
1,103,927
11,411
PTC, Inc. (a)
2,024,768
1,922
Roper Technologies, Inc.
983,026
10,738
Salesforce, Inc.
2,887,878
4,243
ServiceNow, Inc. (a)
2,941,799
3,774
Synopsys, Inc. (a)
2,002,447
3,953
Workday, Inc., Class A (a)
967,418
32,983
Zoom Video Communications,
Inc., Class A (a)
2,015,261
5,596
Zscaler, Inc. (a)
967,772
 
 
49,833,380
 
Specialized REITs — 0.5%
 
7,483
Digital Realty Trust, Inc.
1,038,491
40,321
Iron Mountain, Inc.
3,125,684
60,043
Weyerhaeuser Co.
1,811,497
 
 
5,975,672
 
Specialty Retail — 1.8%
 
1,026
AutoZone, Inc. (a)
3,033,267
39,427
Best Buy Co., Inc.
2,903,404
5,620
Home Depot (The), Inc.
1,878,317
8,463
Lowe’s Cos., Inc.
1,929,479
2,864
O’Reilly Automotive, Inc. (a)
2,901,977
22,037
Ross Stores, Inc.
2,854,893
21,259
TJX (The) Cos., Inc.
2,000,259
4,118
Tractor Supply Co.
1,124,544
4,123
Ulta Beauty, Inc. (a)
1,669,155
 
 
20,295,295
 
Technology Hardware, Storage
& Peripherals — 1.8%
 
304,024
Hewlett Packard Enterprise Co.
5,168,408
71,349
HP, Inc.
2,004,193
30,810
NetApp, Inc.
3,149,090
82,943
Pure Storage, Inc., Class A (a)
4,180,327
Shares
Description
Value
 
 
Technology Hardware, Storage
& Peripherals (Continued)
 
23,172
Seagate Technology
Holdings PLC
$1,990,707
5,336
Super Micro Computer, Inc. (a)
4,582,557
 
 
21,075,282
 
Textiles, Apparel & Luxury
Goods — 0.5%
 
5,728
Deckers Outdoor Corp. (a)
4,688,196
11,471
NIKE, Inc., Class B
1,058,315
 
 
5,746,511
 
Trading Companies &
Distributors — 1.1%
 
41,927
Fastenal Co.
2,848,520
7,474
United Rentals, Inc.
4,992,557
4,239
W.W. Grainger, Inc.
3,905,603
2,496
Watsco, Inc.
1,117,509
 
 
12,864,189
 
Water Utilities — 0.2%
 
17,643
American Water Works Co., Inc.
2,158,092
 
Wireless Telecommunication
Services — 0.1%
 
6,605
T-Mobile US, Inc.
1,084,343
 
Total Common Stocks
1,156,618,193
 
(Cost $1,008,669,307)
 
MONEY MARKET FUNDS — 0.3%
1,940,715
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (c) (d)
1,940,715
1,115,767
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
5.15% (c)
1,115,767
 
Total Money Market Funds
3,056,482
 
(Cost $3,056,482)
 
 
 
 
Total Investments — 100.2%
1,159,674,675
 
(Cost $1,011,725,789)
 
 
Net Other Assets and
Liabilities — (0.2)%
(1,833,174
)
 
Net Assets — 100.0%
$1,157,841,501
(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, including those sold
and pending settlement, is $1,877,792 and the total value of
the collateral held by the Fund is $1,940,715.
(c)
Rate shown reflects yield as of April 30, 2024.
(d)
This security serves as collateral for securities on loan.

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,156,618,193
$1,156,618,193
$
$
Money Market
Funds
3,056,482
3,056,482
Total
Investments
$1,159,674,675
$1,159,674,675
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
 
Aerospace & Defense — 1.9%
 
23,417
AeroVironment, Inc. (a)
$3,741,802
34,978
BWX Technologies, Inc.
3,349,843
10,519
Curtiss-Wright Corp.
2,665,725
12,317
Hexcel Corp.
790,875
9,236
Huntington Ingalls Industries,
Inc.
2,557,725
40,621
Leonardo DRS, Inc. (a)
874,164
22,482
Moog, Inc., Class A
3,576,212
23,289
Woodward, Inc.
3,781,202
 
 
21,337,548
 
Air Freight & Logistics —
0.2%
 
11,786
C.H. Robinson Worldwide, Inc.
836,806
33,383
GXO Logistics, Inc. (a)
1,657,800
 
 
2,494,606
 
Automobile Components —
1.2%
 
103,320
BorgWarner, Inc.
3,385,796
49,687
Gentex Corp.
1,704,264
130,711
Goodyear Tire & Rubber (The)
Co. (a)
1,563,304
24,774
Lear Corp.
3,118,303
47,135
Modine Manufacturing Co. (a)
4,366,115
 
 
14,137,782
 
Automobiles — 0.5%
 
82,061
Harley-Davidson, Inc.
2,822,078
22,942
Thor Industries, Inc.
2,280,893
 
 
5,102,971
 
Banks — 6.2%
 
55,643
Ameris Bancorp
2,641,930
78,955
Bank OZK
3,525,341
29,261
BOK Financial Corp.
2,596,329
123,771
Cadence Bank
3,424,744
185,495
Columbia Banking System, Inc.
3,489,161
48,953
Comerica, Inc.
2,455,972
16,867
Commerce Bancshares, Inc.
922,288
15,943
Cullen/Frost Bankers, Inc.
1,663,493
34,028
East West Bancorp, Inc.
2,534,746
190,922
F.N.B. Corp.
2,546,899
233,073
First Horizon Corp.
3,477,449
22,278
Glacier Bancorp, Inc.
806,018
58,471
Hancock Whitney Corp.
2,653,999
109,565
Home BancShares, Inc.
2,594,499
278,676
New York Community Bancorp,
Inc.
738,491
206,165
Old National Bancorp
3,409,969
31,347
Pinnacle Financial Partners, Inc.
2,404,315
30,560
Popular, Inc.
2,597,294
40,925
Prosperity Bancshares, Inc.
2,536,122
Shares
Description
Value
 
 
Banks (Continued)
 
27,045
ServisFirst Bancshares, Inc.
$1,594,573
31,660
SouthState Corp.
2,396,662
67,199
Synovus Financial Corp.
2,405,052
20,631
UMB Financial Corp.
1,643,465
75,218
United Bankshares, Inc.
2,441,576
450,922
Valley National Bancorp
3,160,963
53,022
Webster Financial Corp.
2,323,954
41,937
Western Alliance Bancorp
2,383,280
25,787
Wintrust Financial Corp.
2,492,056
62,027
Zions Bancorp N.A.
2,529,461
 
 
70,390,101
 
Beverages — 0.8%
 
54,108
Celsius Holdings, Inc. (a)
3,856,277
3,180
Coca-Cola Consolidated, Inc.
2,626,680
53,374
Molson Coors Beverage Co.,
Class B
3,056,195
 
 
9,539,152
 
Biotechnology — 1.8%
 
33,149
Alkermes PLC (a)
813,477
15,267
Apellis Pharmaceuticals, Inc. (a)
674,649
28,377
Blueprint Medicines Corp. (a)
2,591,955
12,798
Cytokinetics, Inc. (a)
784,773
37,813
Exelixis, Inc. (a)
887,093
22,059
Halozyme Therapeutics, Inc. (a)
840,448
33,074
Insmed, Inc. (a)
817,589
49,056
Natera, Inc. (a)
4,556,321
27,842
REVOLUTION Medicines,
Inc. (a)
1,037,950
85,136
Roivant Sciences Ltd. (a)
927,982
6,932
Sarepta Therapeutics, Inc. (a)
878,007
19,218
Ultragenyx Pharmaceutical,
Inc. (a)
817,534
19,532
United Therapeutics Corp. (a)
4,576,934
 
 
20,204,712
 
Broadline Retail — 0.7%
 
7,609
Dillard’s, Inc., Class A
3,332,666
134,668
Macy’s, Inc.
2,481,931
22,556
Ollie’s Bargain Outlet Holdings,
Inc. (a)
1,649,746
 
 
7,464,343
 
Building Products — 2.4%
 
20,060
A.O. Smith Corp.
1,661,770
40,743
AAON, Inc.
3,833,509
15,630
Advanced Drainage Systems,
Inc.
2,453,910
13,323
Allegion PLC
1,619,544
28,896
Armstrong World Industries, Inc.
3,319,573
89,342
AZEK (The) Co., Inc. (a)
4,077,569
10,598
Fortune Brands Innovations, Inc.
774,714
8,746
Simpson Manufacturing Co., Inc.
1,520,842
26,988
Trex Co., Inc. (a)
2,389,787

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Building Products (Continued)
 
29,180
UFP Industries, Inc.
$3,288,586
80,429
Zurn Elkay Water Solutions
Corp.
2,515,819
 
 
27,455,623
 
Capital Markets — 2.4%
 
26,792
Affiliated Managers Group, Inc.
4,182,231
190,315
Blue Owl Capital, Inc.
3,595,050
4,659
Evercore, Inc., Class A
845,608
7,958
Hamilton Lane, Inc., Class A
889,068
6,999
Houlihan Lokey, Inc.
892,303
32,131
Interactive Brokers Group, Inc.,
Class A
3,698,921
54,088
Invesco Ltd.
766,427
20,348
Jefferies Financial Group, Inc.
876,185
5,820
Morningstar, Inc.
1,645,023
222,883
Robinhood Markets, Inc.,
Class A (a)
3,675,341
37,441
SEI Investments Co.
2,469,234
22,959
Stifel Financial Corp.
1,834,883
17,228
Tradeweb Markets, Inc., Class A
1,752,260
 
 
27,122,534
 
Chemicals — 2.7%
 
27,647
Ashland, Inc.
2,635,588
41,353
Avient Corp.
1,754,194
52,186
Axalta Coating Systems Ltd. (a)
1,640,728
5,792
Balchem Corp.
818,873
19,465
Cabot Corp.
1,775,792
35,816
Eastman Chemical Co.
3,382,463
35,921
Element Solutions, Inc.
830,853
70,435
FMC Corp.
4,156,369
22,507
H.B. Fuller Co.
1,681,498
68,946
Huntsman Corp.
1,645,051
138,222
Mosaic (The) Co.
4,338,789
4,242
NewMarket Corp.
2,235,195
45,782
Olin Corp.
2,393,483
4,373
Quaker Chemical Corp.
815,696
 
 
30,104,572
 
Commercial Services &
Supplies — 1.1%
 
38,854
Brink’s (The) Co.
3,398,171
18,151
Casella Waste Systems, Inc.,
Class A (a)
1,640,850
13,374
Clean Harbors, Inc. (a)
2,533,704
13,906
MSA Safety, Inc.
2,508,643
14,575
Tetra Tech, Inc.
2,838,044
 
 
12,919,412
Shares
Description
Value
 
 
Communications Equipment
— 0.2%
 
36,291
Ciena Corp. (a)
$1,677,733
4,733
F5, Inc. (a)
782,412
 
 
2,460,145
 
Construction & Engineering
— 1.8%
 
91,401
API Group Corp. (a)
3,525,336
20,902
Arcosa, Inc.
1,588,970
14,121
Comfort Systems USA, Inc.
4,369,179
12,811
EMCOR Group, Inc.
4,575,705
9,623
MasTec, Inc. (a)
853,464
142,433
MDU Resources Group, Inc.
3,518,095
3,932
Valmont Industries, Inc.
805,274
19,298
WillScot Mobile Mini Holdings
Corp. (a)
713,254
 
 
19,949,277
 
Construction Materials —
0.5%
 
16,510
Eagle Materials, Inc.
4,139,222
40,266
Summit Materials, Inc.,
Class A (a)
1,566,347
 
 
5,705,569
 
Consumer Finance — 1.1%
 
88,429
Ally Financial, Inc.
3,391,252
1,626
Credit Acceptance Corp. (a)
835,309
28,142
FirstCash Holdings, Inc.
3,179,483
52,691
OneMain Holdings, Inc.
2,745,728
82,362
SLM Corp.
1,745,251
122,923
SoFi Technologies, Inc. (a) (b)
833,418
 
 
12,730,441
 
Consumer Staples Distribution
& Retail — 1.1%
 
11,863
BJ’s Wholesale Club Holdings,
Inc. (a)
885,929
8,453
Casey’s General Stores, Inc.
2,701,410
36,066
Performance Food Group Co. (a)
2,448,160
69,583
Sprouts Farmers Market, Inc. (a)
4,594,565
33,254
US Foods Holding Corp. (a)
1,671,014
 
 
12,301,078
 
Containers & Packaging —
1.6%
 
12,473
AptarGroup, Inc.
1,800,852
59,348
Berry Global Group, Inc.
3,361,471
22,642
Crown Holdings, Inc.
1,858,229
92,256
Graphic Packaging Holding Co.
2,384,817
68,991
International Paper Co.
2,410,545
24,121
Sealed Air Corp.
759,329
55,436
Silgan Holdings, Inc.
2,586,644
62,056
Sonoco Products Co.
3,478,239
 
 
18,640,126

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Diversified Consumer Services
— 0.9%
 
534,126
ADT, Inc.
$3,471,819
31,663
Bright Horizons Family
Solutions, Inc. (a)
3,283,770
8,136
Duolingo, Inc. (a)
1,836,702
6,587
Grand Canyon Education,
Inc. (a)
856,442
12,091
Service Corp. International
867,045
 
 
10,315,778
 
Diversified REITs — 0.1%
 
33,659
Essential Properties Realty Trust,
Inc.
886,578
 
Diversified Telecommunication
Services — 0.4%
 
13,735
Cogent Communications
Holdings, Inc.
881,513
146,502
Frontier Communications Parent,
Inc. (a)
3,390,056
 
 
4,271,569
 
Electric Utilities — 2.1%
 
60,184
ALLETE, Inc.
3,564,096
53,412
Alliant Energy Corp.
2,659,918
67,242
Evergy, Inc.
3,526,843
28,981
IDACORP, Inc.
2,746,819
104,645
OGE Energy Corp.
3,625,949
10,384
Otter Tail Corp.
886,378
48,032
Pinnacle West Capital Corp.
3,537,557
85,461
Portland General Electric Co.
3,694,479
 
 
24,242,039
 
Electrical Equipment — 1.6%
 
6,679
Acuity Brands, Inc.
1,658,396
18,856
Atkore, Inc.
3,305,457
17,073
Encore Wire Corp.
4,769,513
37,997
EnerSys
3,436,829
7,114
Generac Holdings, Inc. (a)
967,219
79,733
NEXTracker, Inc., Class A (a)
3,411,775
 
 
17,549,189
 
Electronic Equipment,
Instruments & Components
— 2.6%
 
34,657
Arrow Electronics, Inc. (a)
4,424,659
90,494
Avnet, Inc.
4,422,442
11,091
Badger Meter, Inc.
2,028,766
43,490
Crane NXT Co.
2,644,627
4,836
Insight Enterprises, Inc. (a)
882,909
39,578
IPG Photonics Corp. (a)
3,323,760
11,107
Littelfuse, Inc.
2,561,718
57,724
Sanmina Corp. (a)
3,502,115
Shares
Description
Value
 
 
Electronic Equipment,
Instruments & Components
(Continued)
 
23,802
TD SYNNEX Corp.
$2,804,828
79,129
Vontier Corp.
3,215,011
 
 
29,810,835
 
Energy Equipment & Services
— 2.8%
 
50,003
ChampionX Corp.
1,678,601
106,674
Helmerich & Payne, Inc.
4,195,488
216,537
Liberty Energy, Inc.
4,763,814
229,850
NOV, Inc.
4,249,926
375,767
Patterson-UTI Energy, Inc.
4,065,799
48,768
Tidewater, Inc. (a)
4,479,341
59,615
Valaris Ltd. (a)
3,878,552
38,872
Weatherford
International PLC (a)
4,805,357
 
 
32,116,878
 
Financial Services — 3.3%
 
72,248
Affirm Holdings, Inc. (a)
2,303,266
23,608
Equitable Holdings, Inc.
871,371
75,394
Essent Group Ltd.
3,993,620
24,489
Euronet Worldwide, Inc. (a)
2,514,531
54,267
Jackson Financial, Inc., Class A
3,707,522
200,655
MGIC Investment Corp.
4,069,283
46,047
Mr. Cooper Group, Inc. (a)
3,554,828
9,851
PennyMac Financial Services,
Inc.
843,640
134,051
Radian Group, Inc.
4,004,103
13,582
Shift4 Payments, Inc.,
Class A (a)
785,855
180,044
Toast, Inc., Class A (a)
4,254,440
24,280
Voya Financial, Inc.
1,654,925
192,560
Western Union (The) Co.
2,588,006
11,334
WEX, Inc. (a)
2,394,421
 
 
37,539,811
 
Food Products — 1.8%
 
96,466
Darling Ingredients, Inc. (a)
4,087,264
37,781
Flowers Foods, Inc.
942,258
38,725
Freshpet, Inc. (a)
4,107,561
15,358
Ingredion, Inc.
1,759,873
8,644
Lancaster Colony Corp.
1,649,362
33,772
Post Holdings, Inc. (a)
3,584,898
1,391
Seaboard Corp.
4,604,363
 
 
20,735,579
 
Gas Utilities — 1.2%
 
83,520
National Fuel Gas Co.
4,434,912
62,736
New Jersey Resources Corp.
2,740,936
55,622
ONE Gas, Inc.
3,588,731
35,361
Southwest Gas Holdings, Inc.
2,638,638
 
 
13,403,217

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Ground Transportation —
1.5%
 
14,656
Avis Budget Group, Inc.
$1,398,915
48,926
Knight-Swift Transportation
Holdings, Inc.
2,261,849
4,655
Landstar System, Inc.
811,879
231,869
Lyft, Inc., Class A (a)
3,626,431
29,863
Ryder System, Inc.
3,638,806
6,135
Saia, Inc. (a)
2,434,552
29,415
XPO, Inc. (a)
3,160,936
 
 
17,333,368
 
Health Care Equipment &
Supplies — 1.7%
 
41,970
Envista Holdings Corp. (a)
825,970
19,033
Glaukos Corp. (a)
1,827,168
16,729
Globus Medical, Inc.,
Class A (a)
832,937
4,177
Inspire Medical Systems, Inc. (a)
1,009,414
38,452
Integer Holdings Corp. (a)
4,292,397
7,736
iRhythm Technologies, Inc. (a)
847,711
56,865
Neogen Corp. (a)
701,145
74,871
QuidelOrtho Corp. (a)
3,036,019
13,779
Shockwave Medical, Inc. (a)
4,549,688
7,935
Teleflex, Inc.
1,656,431
 
 
19,578,880
 
Health Care Providers &
Services — 2.1%
 
1,397
Chemed Corp.
793,496
6,825
CorVel Corp. (a)
1,630,151
32,500
DaVita, Inc. (a)
4,517,825
10,866
Encompass Health Corp.
906,007
28,848
Ensign Group (The), Inc.
3,414,449
21,985
HealthEquity, Inc. (a)
1,734,836
23,764
Henry Schein, Inc. (a)
1,646,370
26,754
Option Care Health, Inc. (a)
799,677
47,042
Progyny, Inc. (a)
1,508,167
69,668
R1 RCM, Inc. (a)
856,220
59,525
Select Medical Holdings Corp.
1,688,724
8,537
Tenet Healthcare Corp. (a)
958,620
19,672
Universal Health Services, Inc.,
Class B
3,352,699
 
 
23,807,241
 
Health Care REITs — 0.2%
 
126,830
Healthcare Realty Trust, Inc.
1,804,791
 
Health Care Technology —
0.1%
 
54,732
Evolent Health, Inc., Class A (a)
1,518,266
 
Hotel & Resort REITs — 0.1%
 
15,522
Ryman Hospitality Properties,
Inc.
1,637,261
Shares
Description
Value
 
 
Hotels, Restaurants & Leisure
— 3.2%
 
110,373
Aramark
$3,477,853
53,318
Boyd Gaming Corp.
2,853,046
61,544
Caesars Entertainment, Inc. (a)
2,204,506
7,103
Choice Hotels International,
Inc. (b)
840,001
7,251
Churchill Downs, Inc.
935,379
57,023
Hilton Grand Vacations, Inc. (a)
2,374,438
28,109
Hyatt Hotels Corp., Class A
4,182,338
43,949
Light & Wonder, Inc. (a)
3,922,888
214,365
Norwegian Cruise Line Holdings
Ltd. (a)
4,055,786
49,278
Penn Entertainment, Inc. (a)
815,058
29,045
Texas Roadhouse, Inc.
4,669,855
12,245
Wingstop, Inc.
4,711,754
17,556
Wynn Resorts Ltd.
1,609,007
 
 
36,651,909
 
Household Durables — 3.4%
 
17,341
Installed Building Products, Inc.
4,087,794
63,299
KB Home
4,099,243
32,919
M/I Homes, Inc. (a)
3,825,846
25,572
Meritage Homes Corp.
4,238,303
6,855
Mohawk Industries, Inc. (a)
790,519
21,110
Skyline Champion Corp. (a)
1,583,039
72,168
Taylor Morrison Home Corp. (a)
4,042,130
47,379
Tempur Sealy International, Inc.
2,371,793
34,681
Toll Brothers, Inc.
4,130,854
8,144
TopBuild Corp. (a)
3,295,632
116,055
Tri Pointe Homes, Inc. (a)
4,276,627
22,503
Whirlpool Corp.
2,134,634
 
 
38,876,414
 
Household Products — 0.3%
 
62,838
Reynolds Consumer Products,
Inc.
1,799,052
7,084
WD-40 Co.
1,601,905
 
 
3,400,957
 
Industrial REITs — 0.1%
 
4,992
EastGroup Properties, Inc.
775,557
 
Insurance — 3.8%
 
13,151
American Financial Group, Inc.
1,680,040
9,533
Assurant, Inc.
1,662,555
51,423
Assured Guaranty Ltd.
3,944,144
41,404
Axis Capital Holdings Ltd.
2,539,307
14,438
Enstar Group Ltd. (a)
4,192,362
29,398
First American Financial Corp.
1,574,851
15,422
Globe Life, Inc.
1,174,694
6,841
Kinsale Capital Group, Inc.
2,484,993
87,631
Old Republic International Corp.
2,616,662
14,190
Primerica, Inc.
3,006,293
9,306
Reinsurance Group of America,
Inc.
1,740,129

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Insurance (Continued)
 
19,090
RenaissanceRe Holdings Ltd.
$4,185,483
12,088
RLI Corp.
1,708,639
32,336
Ryan Specialty Holdings, Inc.
1,595,458
16,438
Selective Insurance Group, Inc.
1,670,923
66,889
Unum Group
3,391,272
2,500
White Mountains Insurance
Group Ltd.
4,445,350
 
 
43,613,155
 
Interactive Media & Services
— 0.3%
 
67,293
IAC, Inc. (a)
3,200,455
 
IT Services — 0.4%
 
126,921
DXC Technology Co. (a)
2,473,690
123,713
Kyndryl Holdings, Inc. (a)
2,432,198
 
 
4,905,888
 
Leisure Products — 0.8%
 
40,819
Acushnet Holdings Corp.
2,489,142
27,891
Brunswick Corp.
2,249,130
45,296
Mattel, Inc. (a)
829,823
35,849
Polaris, Inc.
3,052,901
 
 
8,620,996
 
Life Sciences Tools & Services
— 0.8%
 
38,208
Bruker Corp.
2,980,606
6,624
Charles River Laboratories
International, Inc. (a)
1,516,896
11,101
Medpace Holdings, Inc. (a)
4,311,073
 
 
8,808,575
 
Machinery — 4.5%
 
36,472
AGCO Corp.
4,164,738
55,283
Allison Transmission Holdings,
Inc.
4,066,065
6,641
Crane Co.
929,806
24,032
Donaldson Co., Inc.
1,735,110
40,576
Esab Corp.
4,296,187
42,292
Federal Signal Corp.
3,438,340
19,644
Flowserve Corp.
926,411
8,402
Franklin Electric Co., Inc.
808,861
26,387
ITT, Inc.
3,412,895
8,205
Kadant, Inc.
2,246,447
11,162
Middleby (The) Corp. (a)
1,551,183
83,194
Mueller Industries, Inc.
4,643,889
28,783
Oshkosh Corp.
3,231,467
36,439
SPX Technologies, Inc. (a)
4,438,635
59,822
Symbotic, Inc. (a) (b)
2,307,334
69,668
Terex Corp.
3,904,891
30,790
Timken (The) Co.
2,747,084
Shares
Description
Value
 
 
Machinery (Continued)
 
9,792
Toro (The) Co.
$857,681
4,221
Watts Water Technologies, Inc.,
Class A
837,700
 
 
50,544,724
 
Marine Transportation —
0.7%
 
28,241
Kirby Corp. (a)
3,081,940
39,916
Matson, Inc.
4,302,147
 
 
7,384,087
 
Media — 0.5%
 
62,718
Liberty Broadband Corp.,
Class C (a)
3,118,966
15,625
Nexstar Media Group, Inc.
2,500,938
 
 
5,619,904
 
Metals & Mining — 1.1%
 
8,128
Alpha Metallurgical Resources,
Inc.
2,658,831
52,608
ATI, Inc. (a)
3,140,698
118,382
Cleveland-Cliffs, Inc. (a)
2,000,656
76,342
Commercial Metals Co.
4,102,619
14,783
Warrior Met Coal, Inc.
1,010,418
 
 
12,913,222
 
Mortgage REITs — 0.8%
 
90,638
AGNC Investment Corp.
829,337
45,573
Annaly Capital Management,
Inc.
854,038
135,208
Blackstone Mortgage Trust, Inc.,
Class A (b)
2,385,069
321,624
Rithm Capital Corp.
3,576,459
44,139
Starwood Property Trust, Inc.
837,317
 
 
8,482,220
 
Multi-Utilities — 0.6%
 
65,739
Black Hills Corp.
3,609,071
97,325
NiSource, Inc.
2,711,475
 
 
6,320,546
 
Office REITs — 0.8%
 
27,480
Boston Properties, Inc.
1,700,737
111,981
Cousins Properties, Inc.
2,568,844
98,528
Kilroy Realty Corp.
3,330,246
62,381
Vornado Realty Trust
1,623,778
 
 
9,223,605
 
Oil, Gas & Consumable Fuels
— 6.1%
 
127,645
Antero Midstream Corp.
1,766,607
92,827
Antero Resources Corp. (a)
3,157,046
130,501
APA Corp.
4,102,951
50,508
Chesapeake Energy Corp. (b)
4,539,659
25,171
Chord Energy Corp.
4,454,764
125,818
CVR Energy, Inc.
3,822,351
58,745
DT Midstream, Inc.
3,653,939

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Oil, Gas & Consumable Fuels
(Continued)
 
74,320
HF Sinclair Corp.
$4,031,860
138,318
Magnolia Oil & Gas Corp.,
Class A
3,467,632
67,196
Matador Resources Co.
4,186,311
98,176
Murphy Oil Corp.
4,382,577
113,072
Northern Oil & Gas, Inc.
4,612,207
86,448
Ovintiv, Inc.
4,436,511
77,935
PBF Energy, Inc., Class A
4,151,597
184,941
Peabody Energy Corp.
4,057,606
101,623
Permian Resources Corp.
1,702,185
130,312
Range Resources Corp.
4,679,504
90,002
SM Energy Co.
4,364,197
 
 
69,569,504
 
Paper & Forest Products —
0.1%
 
21,388
Louisiana-Pacific Corp.
1,565,388
 
Passenger Airlines — 0.4%
 
62,619
Alaska Air Group, Inc. (a)
2,693,870
175,373
American Airlines Group,
Inc. (a)
2,369,289
 
 
5,063,159
 
Personal Care Products —
0.8%
 
60,805
BellRing Brands, Inc. (a)
3,354,612
75,027
Coty, Inc., Class A (a)
858,309
22,888
elf Beauty, Inc. (a)
3,719,986
6,386
Inter Parfums, Inc.
743,203
 
 
8,676,110
 
Pharmaceuticals — 0.8%
 
11,243
Axsome Therapeutics, Inc. (a)
829,284
25,935
Intra-Cellular Therapies, Inc. (a)
1,862,392
29,807
Jazz Pharmaceuticals PLC (a)
3,301,125
95,461
Organon & Co.
1,776,529
55,751
Perrigo Co. PLC
1,820,828
 
 
9,590,158
 
Professional Services — 2.8%
 
17,132
ASGN, Inc. (a)
1,652,381
4,738
CACI International, Inc.,
Class A (a)
1,905,766
54,203
Concentrix Corp.
2,963,278
268,127
Dun & Bradstreet Holdings, Inc.
2,439,956
28,218
ExlService Holdings, Inc. (a)
818,322
4,266
FTI Consulting, Inc. (a)
912,199
136,167
Genpact Ltd.
4,185,773
8,187
Insperity, Inc.
842,688
11,558
ManpowerGroup, Inc.
872,051
21,391
Maximus, Inc.
1,717,269
54,088
Parsons Corp. (a)
4,246,449
Shares
Description
Value
 
 
Professional Services
(Continued)
 
22,637
Robert Half, Inc.
$1,565,122
20,647
Science Applications
International Corp.
2,657,269
27,091
TriNet Group, Inc.
2,719,124
71,872
Verra Mobility Corp. (a)
1,694,742
 
 
31,192,389
 
Real Estate Management &
Development — 0.1%
 
9,199
Jones Lang LaSalle, Inc. (a)
1,662,259
 
Residential REITs — 0.5%
 
138,178
Apartment Income REIT Corp.
5,303,272
 
Retail REITs — 0.2%
 
156,239
Macerich (The) Co.
2,149,849
 
Semiconductors &
Semiconductor Equipment
— 0.9%
 
111,332
Amkor Technology, Inc.
3,601,590
19,389
Cirrus Logic, Inc. (a)
1,717,284
26,988
MKS Instruments, Inc.
3,211,032
9,911
Onto Innovation, Inc. (a)
1,838,391
 
 
10,368,297
 
Software — 3.8%
 
10,415
Altair Engineering, Inc.,
Class A (a)
837,887
14,546
Appfolio, Inc., Class A (a)
3,298,742
64,817
AppLovin Corp., Class A (a)
4,574,136
13,895
BlackLine, Inc. (a)
806,605
31,685
Box, Inc., Class A (a)
824,444
75,027
CCC Intelligent Solutions
Holdings, Inc. (a)
841,803
35,388
CommVault Systems, Inc. (a)
3,626,208
58,802
Confluent, Inc., Class A (a)
1,653,512
15,069
DocuSign, Inc. (a)
852,905
25,522
DoubleVerify Holdings, Inc. (a)
747,795
8,952
Elastic N.V. (a)
915,073
30,773
Gitlab, Inc., Class A (a)
1,614,659
15,377
Guidewire Software, Inc. (a)
1,697,621
76,915
Informatica, Inc., Class A (a)
2,382,058
119,221
Marathon Digital Holdings,
Inc. (a)
1,914,689
1,580
MicroStrategy, Inc., Class A (a)
1,682,747
48,012
nCino, Inc. (a)
1,400,030
55,529
Pegasystems, Inc.
3,299,533
32,761
Procore Technologies, Inc. (a)
2,241,508
94,981
Samsara, Inc., Class A (a)
3,317,686
76,991
SentinelOne, Inc., Class A (a)
1,626,820
18,154
Tenable Holdings, Inc. (a)
816,385
39,582
UiPath, Inc., Class A (a)
750,871
38,046
Varonis Systems, Inc. (a)
1,664,512
 
 
43,388,229

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Specialized REITs — 0.4%
 
15,030
Lamar Advertising Co., Class A
$1,741,225
19,085
PotlatchDeltic Corp.
763,591
53,991
Rayonier, Inc.
1,601,373
 
 
4,106,189
 
Specialty Retail — 5.1%
 
35,800
Abercrombie & Fitch Co.,
Class A (a)
4,350,416
53,145
Academy Sports & Outdoors,
Inc.
3,098,354
10,546
Advance Auto Parts, Inc.
769,647
69,588
American Eagle Outfitters, Inc.
1,688,205
19,028
Asbury Automotive Group,
Inc. (a)
4,000,447
21,677
AutoNation, Inc. (a)
3,493,249
35,879
Bath & Body Works, Inc.
1,629,624
10,302
CarMax, Inc. (a)
700,227
51,038
Carvana Co. (a)
4,232,071
7,981
Dick’s Sporting Goods, Inc.
1,603,702
20,768
Floor & Decor Holdings, Inc.,
Class A (a)
2,291,333
65,143
Gap (The), Inc.
1,336,734
15,353
Group 1 Automotive, Inc.
4,514,089
14,912
Lithia Motors, Inc.
3,793,315
8,562
Murphy USA, Inc.
3,543,127
22,157
Penske Automotive Group, Inc.
3,388,027
44,834
Signet Jewelers Ltd.
4,395,077
82,666
Urban Outfitters, Inc. (a)
3,220,667
39,659
Wayfair, Inc., Class A (a)
1,988,899
11,303
Williams-Sonoma, Inc.
3,241,474
 
 
57,278,684
 
Textiles, Apparel & Luxury
Goods — 1.7%
 
33,161
Columbia Sportswear Co.
2,640,611
18,722
Crocs, Inc. (a)
2,328,455
29,787
Kontoor Brands, Inc.
1,848,581
19,146
PVH Corp.
2,083,085
23,895
Ralph Lauren Corp.
3,910,178
43,944
Skechers U.S.A., Inc.,
Class A (a)
2,902,501
75,597
Tapestry, Inc.
3,017,832
 
 
18,731,243
 
Trading Companies &
Distributors — 3.2%
 
87,220
Air Lease Corp.
4,381,933
9,085
Applied Industrial Technologies,
Inc.
1,664,826
27,464
Beacon Roofing Supply, Inc. (a)
2,706,028
23,404
Boise Cascade Co.
3,095,647
78,371
Core & Main, Inc., Class A (a)
4,425,610
66,666
FTAI Aviation Ltd.
4,680,620
Shares
Description
Value
 
 
Trading Companies &
Distributors (Continued)
 
13,389
GATX Corp.
$1,638,278
36,874
GMS, Inc. (a)
3,411,582
26,658
Herc Holdings, Inc.
3,812,894
67,066
Rush Enterprises, Inc., Class A
2,945,539
5,141
SiteOne Landscape Supply,
Inc. (a)
806,572
20,956
WESCO International, Inc.
3,201,029
 
 
36,770,558
 
Water Utilities — 0.2%
 
72,658
Essential Utilities, Inc.
2,657,830
 
Total Common Stocks
1,134,026,604
 
(Cost $1,005,338,928)
 
MONEY MARKET FUNDS — 1.0%
10,325,901
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (c) (d)
10,325,901
942,300
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
5.15% (c)
942,300
 
Total Money Market Funds
11,268,201
 
(Cost $11,268,201)
 
 
 
 
Total Investments — 100.9%
1,145,294,805
 
(Cost $1,016,607,129)
 
 
Net Other Assets and
Liabilities — (0.9)%
(10,698,209
)
 
Net Assets — 100.0%
$1,134,596,596
(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, including those sold
and pending settlement, is $9,794,961 and the total value of
the collateral held by the Fund is $10,325,901.
(c)
Rate shown reflects yield as of April 30, 2024.
(d)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,134,026,604
$1,134,026,604
$
$
Money Market
Funds
11,268,201
11,268,201
Total
Investments
$1,145,294,805
$1,145,294,805
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
 
Aerospace & Defense — 1.1%
 
18,820
AAR Corp. (a)
$1,301,215
62,250
Cadre Holdings, Inc.
2,076,037
61,302
Kratos Defense & Security
Solutions, Inc. (a)
1,092,402
19,097
Mercury Systems, Inc. (a)
538,535
78,093
Spirit AeroSystems Holdings,
Inc., Class A (a)
2,498,976
112,374
Triumph Group, Inc. (a)
1,501,317
12,062
V2X, Inc. (a)
585,972
 
 
9,594,454
 
Air Freight & Logistics —
0.7%
 
204,712
Air Transport Services Group,
Inc. (a)
2,624,408
54,327
Forward Air Corp.
1,196,280
52,140
Hub Group, Inc., Class A
2,097,071
 
 
5,917,759
 
Automobile Components —
1.7%
 
85,567
Adient PLC (a)
2,555,886
177,439
Dana, Inc.
2,205,567
11,689
Dorman Products, Inc. (a)
1,022,203
32,458
Fox Factory Holding Corp. (a)
1,263,265
170,030
Garrett Motion, Inc. (a)
1,625,487
9,785
Gentherm, Inc. (a)
494,828
4,578
LCI Industries
476,020
14,147
Patrick Industries, Inc.
1,478,220
73,297
Phinia, Inc.
2,858,583
 
 
13,980,059
 
Automobiles — 0.2%
 
22,839
Winnebago Industries, Inc.
1,406,426
 
Banks — 12.4%
 
32,242
1st Source Corp.
1,599,203
52,382
Associated Banc-Corp.
1,103,689
47,865
Atlantic Union Bankshares Corp.
1,520,671
41,700
Axos Financial, Inc. (a)
2,110,437
37,040
Banc of California, Inc.
507,078
6,400
BancFirst Corp.
570,688
16,837
Bancorp (The), Inc. (a)
504,100
9,030
Bank of Hawaii Corp.
511,911
80,481
BankUnited, Inc.
2,151,257
46,947
Banner Corp.
2,048,298
73,740
Berkshire Hills Bancorp, Inc.
1,572,137
59,568
Cathay General Bancorp
2,051,522
10,811
City Holding Co.
1,092,127
32,736
Columbia Financial, Inc. (a)
543,418
23,460
Community Bank System, Inc.
1,013,941
42,469
Customers Bancorp, Inc. (a)
1,939,559
94,736
CVB Financial Corp.
1,547,986
Shares
Description
Value
 
 
Banks (Continued)
 
163,532
Eastern Bankshares, Inc.
$2,053,962
55,559
Enterprise Financial Services
Corp.
2,111,798
29,919
FB Financial Corp.
1,096,531
46,791
First Bancorp
1,422,914
96,357
First BanCorp
1,662,158
70,274
First Busey Corp.
1,569,921
161,887
First Commonwealth Financial
Corp.
2,135,290
125,640
First Financial Bancorp
2,777,900
76,963
First Hawaiian, Inc.
1,623,150
82,817
First Interstate BancSystem, Inc.,
Class A
2,211,214
64,569
First Merchants Corp.
2,157,896
141,817
Fulton Financial Corp.
2,347,071
32,054
Heartland Financial USA, Inc.
1,349,794
35,975
Hilltop Holdings, Inc.
1,052,628
195,784
Hope Bancorp, Inc.
1,961,756
43,319
Independent Bank Corp.
2,176,347
24,682
Independent Bank Group, Inc.
919,158
40,140
International Bancshares Corp.
2,233,791
25,484
Lakeland Financial Corp.
1,497,695
13,573
Live Oak Bancshares, Inc.
438,679
62,475
National Bank Holdings Corp.,
Class A
2,044,807
30,717
NBT Bancorp, Inc.
1,075,402
13,103
Nicolet Bankshares, Inc.
1,002,773
145,073
Northwest Bancshares, Inc.
1,537,774
137,323
OceanFirst Financial Corp.
2,026,887
45,914
OFG Bancorp
1,657,955
23,473
Pacific Premier Bancorp, Inc.
504,669
4,147
Park National Corp.
546,201
44,641
Pathward Financial, Inc.
2,248,567
76,105
Peoples Bancorp, Inc.
2,210,089
29,354
Preferred Bank
2,221,804
154,665
Provident Financial Services,
Inc.
2,270,482
71,949
Renasant Corp.
2,090,838
70,245
S&T Bancorp, Inc.
2,117,887
97,216
Sandy Spring Bancorp, Inc.
1,988,067
44,376
Seacoast Banking Corp. of
Florida
1,023,754
86,850
Simmons First National Corp.,
Class A
1,484,266
46,254
Stellar Bancorp, Inc.
1,026,839
23,037
Stock Yards Bancorp, Inc.
1,026,298
18,306
Texas Capital Bancshares,
Inc. (a)
1,050,764
60,232
TowneBank
1,558,202
61,270
TriCo Bancshares
2,130,358
80,166
Trustmark Corp.
2,372,914
42,809
United Community Banks, Inc.
1,080,071

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Banks (Continued)
 
109,979
Veritex Holdings, Inc.
$2,142,391
58,220
WaFd, Inc.
1,577,180
75,595
WesBanco, Inc.
2,041,065
11,525
Westamerica BanCorp
536,489
49,921
WSFS Financial Corp.
2,133,124
 
 
103,915,592
 
Beverages — 0.1%
 
23,061
Vita Coco (The) Co., Inc. (a)
558,999
 
Biotechnology — 5.2%
 
426,794
ADMA Biologics, Inc. (a)
2,782,697
77,067
Agios Pharmaceuticals, Inc. (a)
2,504,678
71,061
Alpine Immune Sciences,
Inc. (a)
4,589,830
385,868
Ardelyx, Inc. (a)
2,469,555
68,204
Beam Therapeutics, Inc. (a)
1,447,289
70,686
Catalyst Pharmaceuticals,
Inc. (a)
1,063,824
40,269
Celldex Therapeutics, Inc. (a)
1,506,866
36,105
Crinetics Pharmaceuticals,
Inc. (a)
1,582,121
341,435
Geron Corp. (a)
1,341,840
38,516
Ideaya Biosciences, Inc. (a)
1,565,675
524,551
ImmunityBio, Inc. (a) (b)
4,191,163
70,070
Kymera Therapeutics, Inc. (a)
2,355,753
37,533
Merus N.V. (a)
1,685,607
16,005
Morphic Holding, Inc. (a)
436,456
52,849
Myriad Genetics, Inc. (a)
1,034,255
77,894
Protagonist Therapeutics, Inc. (a)
1,955,918
38,732
PTC Therapeutics, Inc. (a)
1,245,234
56,507
Recursion Pharmaceuticals, Inc.,
Class A (a) (b)
441,885
52,007
Rhythm Pharmaceuticals, Inc. (a)
2,067,798
31,721
Scholar Rock Holding Corp. (a)
465,347
408,237
Summit Therapeutics, Inc. (a) (b)
1,604,371
74,078
TG Therapeutics, Inc. (a)
1,011,905
49,260
Twist Bioscience Corp. (a)
1,538,390
54,150
Vericel Corp. (a)
2,483,861
 
 
43,372,318
 
Broadline Retail — 0.5%
 
96,632
Kohl’s Corp.
2,313,370
111,173
Nordstrom, Inc.
2,113,399
 
 
4,426,769
 
Building Products — 3.0%
 
22,166
American Woodmark Corp. (a)
2,041,045
38,066
Apogee Enterprises, Inc.
2,351,718
36,435
AZZ, Inc.
2,609,839
7,204
CSW Industrials, Inc.
1,711,815
20,988
Gibraltar Industries, Inc. (a)
1,499,803
38,408
Griffon Corp.
2,516,492
Shares
Description
Value
 
 
Building Products (Continued)
 
36,797
Hayward Holdings, Inc. (a)
$499,703
148,940
Janus International Group,
Inc. (a)
2,146,225
79,609
JELD-WEN Holding, Inc. (a)
1,631,985
120,249
Masterbrand, Inc. (a)
2,004,551
58,638
Quanex Building Products Corp.
1,947,954
100,512
Resideo Technologies, Inc. (a)
1,962,999
43,311
Tecnoglass, Inc.
2,405,926
 
 
25,330,055
 
Capital Markets — 2.2%
 
12,308
Artisan Partners Asset
Management, Inc., Class A
503,766
47,730
AssetMark Financial Holdings,
Inc. (a)
1,613,751
18,170
Donnelley Financial Solutions,
Inc. (a)
1,140,713
62,389
Federated Hermes, Inc.
2,049,479
101,630
Golub Capital BDC, Inc. (b)
1,765,313
2,838
Piper Sandler Cos.
555,652
11,954
PJT Partners, Inc., Class A
1,129,534
24,054
StoneX Group, Inc. (a)
1,746,320
37,810
TPG, Inc.
1,629,611
39,833
Victory Capital Holdings, Inc.,
Class A
2,025,906
27,455
Virtu Financial, Inc., Class A
595,774
6,815
Virtus Investment Partners, Inc.
1,494,666
245,209
WisdomTree, Inc.
2,182,360
 
 
18,432,845
 
Chemicals — 1.7%
 
202,105
Ecovyst, Inc. (a)
1,905,850
29,343
Hawkins, Inc.
2,223,319
11,811
Ingevity Corp. (a)
604,015
8,738
Innospec, Inc.
1,048,560
30,634
Koppers Holdings, Inc.
1,570,912
22,451
Minerals Technologies, Inc.
1,636,453
95,811
Orion S.A.
2,266,888
22,658
Scotts Miracle-Gro (The) Co.
1,552,979
8,142
Sensient Technologies Corp.
596,157
12,514
Stepan Co.
1,038,537
 
 
14,443,670
 
Commercial Services &
Supplies — 2.5%
 
63,130
ABM Industries, Inc.
2,758,781
90,043
ACV Auctions, Inc., Class A (a)
1,571,250
9,504
Brady Corp., Class A
560,736
31,825
Cimpress PLC (a)
2,713,718
144,361
CoreCivic, Inc. (a)
2,150,979
107,037
Driven Brands Holdings, Inc. (a)
1,533,840
159,594
GEO Group (The), Inc. (a)
2,371,567
12,483
HNI Corp.
523,662

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Commercial Services &
Supplies (Continued)
 
54,380
Matthews International Corp.,
Class A
$1,467,172
91,013
MillerKnoll, Inc.
2,314,461
129,213
Steelcase, Inc., Class A
1,554,432
9,746
UniFirst Corp.
1,560,627
 
 
21,081,225
 
Communications Equipment
— 0.2%
 
16,990
Calix, Inc. (a)
471,133
41,917
Harmonic, Inc. (a)
450,188
25,795
NetScout Systems, Inc. (a)
496,812
 
 
1,418,133
 
Construction & Engineering
— 2.2%
 
50,166
Construction Partners, Inc.,
Class A (a)
2,590,572
19,626
Dycom Industries, Inc. (a)
2,748,033
49,305
Granite Construction, Inc.
2,736,427
23,157
IES Holdings, Inc. (a)
3,128,974
15,937
MYR Group, Inc. (a)
2,649,526
39,702
Primoris Services Corp.
1,850,113
25,536
Sterling Infrastructure, Inc. (a)
2,594,458
 
 
18,298,103
 
Construction Materials —
0.4%
 
9,448
United States Lime & Minerals,
Inc.
2,928,880
 
Consumer Finance — 1.3%
 
75,640
Bread Financial Holdings, Inc.
2,791,872
35,865
Enova International, Inc. (a)
2,170,908
129,510
Navient Corp.
1,945,240
11,904
Nelnet, Inc., Class A
1,121,119
81,790
PROG Holdings, Inc.
2,718,700
 
 
10,747,839
 
Consumer Staples Distribution
& Retail — 1.2%
 
39,279
Andersons (The), Inc.
2,157,988
14,959
Chefs’ Warehouse (The), Inc. (a)
494,844
19,575
Grocery Outlet Holding
Corp. (a)
508,363
36,736
Ingles Markets, Inc., Class A
2,635,808
13,413
PriceSmart, Inc.
1,080,954
43,740
Weis Markets, Inc.
2,761,306
 
 
9,639,263
 
Containers & Packaging —
0.8%
 
40,794
Greif, Inc., Class A
2,499,856
67,917
O-I Glass, Inc. (a)
1,016,038
Shares
Description
Value
 
 
Containers & Packaging
(Continued)
 
78,683
Pactiv Evergreen, Inc.
$1,199,129
63,228
TriMas Corp.
1,643,296
 
 
6,358,319
 
Diversified Consumer Services
— 2.1%
 
32,882
Adtalem Global Education,
Inc. (a)
1,631,605
372,106
Chegg, Inc. (a)
1,923,788
34,584
Frontdoor, Inc. (a)
1,061,383
3,669
Graham Holdings Co., Class B
2,573,327
115,999
Laureate Education, Inc.
1,681,985
72,692
Mister Car Wash, Inc. (a)
486,309
85,165
OneSpaWorld Holdings Ltd. (a)
1,083,299
160,412
Perdoceo Education Corp.
2,935,540
10,822
Strategic Education, Inc.
1,242,798
35,741
Stride, Inc. (a)
2,385,712
51,308
Udemy, Inc. (a)
514,106
 
 
17,519,852
 
Diversified REITs — 0.8%
 
68,411
Alexander & Baldwin, Inc.
1,126,729
102,851
American Assets Trust, Inc.
2,195,869
143,808
Broadstone Net Lease, Inc.
2,093,845
166,842
Empire State Realty Trust, Inc.,
Class A
1,518,262
 
 
6,934,705
 
Diversified Telecommunication
Services — 0.4%
 
383,244
Globalstar, Inc. (a)
494,385
322,385
Liberty Latin America Ltd.,
Class C (a)
2,430,783
64,867
Shenandoah
Telecommunications Co.
831,595
 
 
3,756,763
 
Electric Utilities — 0.6%
 
249,942
Hawaiian Electric Industries, Inc.
2,461,929
7,157
MGE Energy, Inc.
560,536
44,902
PNM Resources, Inc.
1,664,068
 
 
4,686,533
 
Electrical Equipment — 0.6%
 
19,795
Powell Industries, Inc.
2,830,685
51,653
Thermon Group Holdings,
Inc. (a)
1,649,280
29,465
Vicor Corp. (a)
954,077
 
 
5,434,042
 
Electronic Equipment,
Instruments & Components
— 2.8%
 
18,250
Belden, Inc.
1,483,177
24,080
CTS Corp.
1,101,660

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Electronic Equipment,
Instruments & Components
(Continued)
 
21,519
ePlus, Inc. (a)
$1,654,381
30,446
Itron, Inc. (a)
2,804,686
139,967
Knowles Corp. (a)
2,215,678
148,646
Mirion Technologies, Inc. (a)
1,615,782
42,084
Napco Security Technologies,
Inc.
1,712,819
15,778
OSI Systems, Inc. (a)
2,073,860
24,840
PAR Technology Corp. (a)
1,050,235
17,089
PC Connection, Inc.
1,059,005
11,882
Plexus Corp. (a)
1,200,201
9,493
Rogers Corp. (a)
1,130,521
71,996
TTM Technologies, Inc. (a)
1,074,900
124,199
Vishay Intertechnology, Inc.
2,873,965
 
 
23,050,870
 
Energy Equipment & Services
— 1.2%
 
143,204
Archrock, Inc.
2,748,085
22,494
Cactus, Inc., Class A
1,116,602
82,605
Diamond Offshore Drilling,
Inc. (a)
1,011,085
28,211
Expro Group Holdings N.V. (a)
529,239
207,885
Helix Energy Solutions Group,
Inc. (a)
2,232,685
41,212
Kodiak Gas Services, Inc.
1,120,142
48,152
Oceaneering International,
Inc. (a)
1,103,162
72,787
RPC, Inc.
486,945
 
 
10,347,945
 
Entertainment — 0.5%
 
125,402
Cinemark Holdings, Inc. (a)
2,149,390
57,393
Sphere Entertainment Co. (a)
2,230,292
 
 
4,379,682
 
Financial Services — 1.6%
 
171,367
AvidXchange Holdings, Inc. (a)
1,998,139
14,120
EVERTEC, Inc.
529,924
11,446
Federal Agricultural Mortgage
Corp., Class C
2,130,444
65,235
Merchants Bancorp
2,630,927
87,101
NMI Holdings, Inc., Class A (a)
2,687,937
54,327
Remitly Global, Inc. (a)
968,650
77,438
Rocket Cos., Inc., Class A (a)
950,939
16,724
Walker & Dunlop, Inc.
1,532,420
 
 
13,429,380
 
Food Products — 0.9%
 
47,865
Cal-Maine Foods, Inc.
2,648,370
43,487
Fresh Del Monte Produce, Inc.
1,111,963
17,589
Tootsie Roll Industries, Inc.
522,569
Shares
Description
Value
 
 
Food Products (Continued)
 
43,392
TreeHouse Foods, Inc. (a)
$1,629,370
59,933
WK Kellogg Co.
1,398,836
 
 
7,311,108
 
Gas Utilities — 0.7%
 
10,501
Chesapeake Utilities Corp.
1,111,741
75,681
Northwest Natural Holding Co.
2,887,230
36,720
Spire, Inc.
2,268,929
 
 
6,267,900
 
Ground Transportation —
1.3%
 
7,906
ArcBest Corp.
876,854
188,734
Heartland Express, Inc.
1,876,016
359,750
Hertz Global Holdings, Inc. (a)
1,636,862
121,941
Marten Transport Ltd.
2,063,242
124,419
Schneider National, Inc., Class B
2,572,985
57,604
Werner Enterprises, Inc.
1,970,057
 
 
10,996,016
 
Health Care Equipment &
Supplies — 2.0%
 
9,022
Enovis Corp. (a)
498,285
15,748
ICU Medical, Inc. (a)
1,542,044
31,784
Integra LifeSciences Holdings
Corp. (a)
927,139
25,468
LeMaitre Vascular, Inc.
1,650,326
38,547
Omnicell, Inc. (a)
1,033,445
56,998
PROCEPT BioRobotics
Corp. (a)
3,019,754
54,611
RxSight, Inc. (a)
2,846,872
31,820
Tandem Diabetes Care, Inc. (a)
1,167,476
15,239
TransMedics Group, Inc. (a)
1,434,447
11,169
UFP Technologies, Inc. (a)
2,300,144
 
 
16,419,932
 
Health Care Providers &
Services — 2.1%
 
10,904
Addus HomeCare Corp. (a)
1,048,420
36,049
AMN Healthcare Services,
Inc. (a)
2,162,219
13,417
Astrana Health, Inc. (a)
498,442
426,148
Brookdale Senior Living, Inc. (a)
2,893,545
182,084
Hims & Hers Health, Inc. (a)
2,281,512
17,883
National HealthCare Corp.
1,625,028
35,837
NeoGenomics, Inc. (a)
498,851
20,331
Owens & Minor, Inc. (a)
502,989
61,124
Patterson Cos., Inc.
1,556,828
127,458
Premier, Inc., Class A
2,661,323
46,310
RadNet, Inc. (a)
2,246,035
 
 
17,975,192
 
Health Care REITs — 0.3%
 
23,117
CareTrust REIT, Inc.
571,452
119,865
Medical Properties Trust, Inc. (b)
551,379

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Health Care REITs
(Continued)
 
17,934
National Health Investors, Inc.
$1,130,918
38,142
Sabra Health Care REIT, Inc.
530,937
 
 
2,784,686
 
Health Care Technology —
0.2%
 
20,935
Doximity, Inc., Class A (a)
508,511
47,085
Phreesia, Inc. (a)
976,543
37,310
Teladoc Health, Inc. (a)
475,703
 
 
1,960,757
 
Hotel & Resort REITs — 1.2%
 
117,246
DiamondRock Hospitality Co.
1,043,489
161,054
Park Hotels & Resorts, Inc.
2,597,801
73,117
Pebblebrook Hotel Trust
1,062,390
238,312
RLJ Lodging Trust
2,621,432
101,143
Sunstone Hotel Investors, Inc.
1,031,659
112,599
Xenia Hotels & Resorts, Inc.
1,561,748
 
 
9,918,519
 
Hotels, Restaurants & Leisure
— 3.7%
 
58,930
Bloomin’ Brands, Inc.
1,519,805
123,366
Bowlero Corp., Class A (b)
1,449,551
22,680
Brinker International, Inc. (a)
1,215,648
15,585
Cheesecake Factory (The), Inc.
537,994
15,492
Cracker Barrel Old Country
Store, Inc. (b)
901,479
44,998
Dave & Buster’s Entertainment,
Inc. (a)
2,402,893
17,072
Dutch Bros, Inc., Class A (a)
480,748
114,413
First Watch Restaurant Group,
Inc. (a)
2,919,820
76,482
Golden Entertainment, Inc.
2,451,248
24,460
Kura Sushi USA, Inc.,
Class A (a)
2,692,557
108,899
Life Time Group Holdings,
Inc. (a)
1,487,560
15,688
Marriott Vacations Worldwide
Corp.
1,507,774
22,537
Monarch Casino & Resort, Inc.
1,527,332
28,253
Red Rock Resorts, Inc., Class A
1,500,799
27,076
Shake Shack, Inc., Class A (a)
2,865,995
111,514
Sweetgreen, Inc., Class A (a)
2,505,720
57,534
Travel + Leisure Co.
2,505,030
10,023
United Parks & Resorts, Inc. (a)
509,369
 
 
30,981,322
 
Household Durables — 2.1%
 
85,880
Beazer Homes USA, Inc. (a)
2,407,216
2,823
Cavco Industries, Inc. (a)
1,028,165
23,352
Century Communities, Inc.
1,852,281
Shares
Description
Value
 
 
Household Durables
(Continued)
 
64,415
Dream Finders Homes, Inc.,
Class A (a)
$2,286,732
46,768
Green Brick Partners, Inc. (a)
2,531,552
14,666
Helen of Troy Ltd. (a)
1,359,685
74,876
La-Z-Boy, Inc.
2,458,928
19,364
LGI Homes, Inc. (a)
1,741,405
27,159
Worthington Enterprises, Inc.
1,552,408
 
 
17,218,372
 
Household Products — 0.6%
 
61,037
Central Garden & Pet Co.,
Class A (c)
2,162,541
19,136
Energizer Holdings, Inc.
549,586
31,646
Spectrum Brands Holdings, Inc.
2,590,858
 
 
5,302,985
 
Independent Power and
Renewable Electricity
Producers — 0.1%
 
48,883
Clearway Energy, Inc., Class C
1,142,885
 
Industrial REITs — 0.3%
 
10,882
Innovative Industrial Properties,
Inc.
1,125,199
124,916
LXP Industrial Trust
1,043,048
 
 
2,168,247
 
Insurance — 2.8%
 
77,867
BRP Group, Inc., Class A (a)
2,074,377
82,003
CNO Financial Group, Inc.
2,159,139
62,059
Employers Holdings, Inc.
2,643,093
87,615
Genworth Financial, Inc.,
Class A (a)
519,557
15,231
Horace Mann Educators Corp.
561,415
137,323
Lemonade, Inc. (a) (b)
2,366,075
10,919
Mercury General Corp.
570,627
189,431
Oscar Health, Inc., Class A (a)
3,290,417
33,602
Palomar Holdings, Inc. (a)
2,643,469
6,855
Safety Insurance Group, Inc.
545,452
221,624
SiriusPoint Ltd. (a)
2,610,731
75,297
Skyward Specialty Insurance
Group, Inc. (a)
2,629,371
17,319
Stewart Information Services
Corp.
1,073,951
 
 
23,687,674
 
Interactive Media & Services
— 0.9%
 
49,636
Bumble, Inc., Class A (a)
501,324
24,410
Cargurus, Inc. (a)
548,248
49,191
Shutterstock, Inc.
2,100,948
101,362
TripAdvisor, Inc. (a)
2,668,861
14,299
Yelp, Inc. (a)
575,392
26,810
Ziff Davis, Inc. (a)
1,343,449
 
 
7,738,222

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
IT Services — 0.5%
 
85,650
Couchbase, Inc. (a)
$2,067,591
44,267
DigitalOcean Holdings, Inc. (a)
1,454,614
30,920
Squarespace, Inc., Class A (a)
1,077,871
 
 
4,600,076
 
Leisure Products — 0.3%
 
139,361
Topgolf Callaway Brands
Corp. (a)
2,232,563
 
Machinery — 3.8%
 
9,869
Alamo Group, Inc.
1,918,336
12,050
Albany International Corp.,
Class A
960,987
17,468
Atmus Filtration Technologies,
Inc. (a)
529,106
30,329
Barnes Group, Inc.
1,053,023
37,870
Columbus McKinnon Corp.
1,562,895
63,193
Enerpac Tool Group Corp.
2,251,567
5,262
ESCO Technologies, Inc.
533,830
54,066
Greenbrier (The) Cos., Inc.
2,670,320
25,212
Helios Technologies, Inc.
1,137,061
22,404
Hillenbrand, Inc.
1,069,119
52,948
Hillman Solutions Corp. (a)
506,183
26,855
John Bean Technologies Corp.
2,392,512
90,356
Kennametal, Inc.
2,126,077
9,576
Lindsay Corp.
1,112,252
35,014
Mueller Water Products, Inc.,
Class A
554,622
127,516
REV Group, Inc.
2,787,500
9,275
Standex International Corp.
1,603,462
23,163
Tennant Co.
2,698,026
80,914
Trinity Industries, Inc.
2,105,382
94,083
Wabash National Corp.
2,174,258
 
 
31,746,518
 
Media — 1.4%
 
260,216
Advantage Solutions, Inc. (a)
1,108,520
215,850
Altice USA, Inc., Class A (a)
416,590
6,657
Cable One, Inc.
2,621,859
39,535
EchoStar Corp., Class A (a)
632,165
157,219
Magnite, Inc. (a)
1,388,244
74,698
Scholastic Corp.
2,660,743
188,544
TEGNA, Inc.
2,571,740
 
 
11,399,861
 
Metals & Mining — 1.1%
 
17,519
Arch Resources, Inc.
2,781,667
15,776
Carpenter Technology Corp.
1,352,003
12,609
Kaiser Aluminum Corp.
1,140,989
8,552
Materion Corp.
982,967
39,397
MP Materials Corp. (a) (b)
630,352
84,084
Ryerson Holding Corp.
2,400,598
 
 
9,288,576
Shares
Description
Value
 
 
Mortgage REITs — 1.6%
 
101,143
Apollo Commercial Real Estate
Finance, Inc.
$974,007
212,592
Arbor Realty Trust, Inc. (b)
2,727,555
488,822
Chimera Investment Corp.
2,013,947
57,722
Claros Mortgage Trust, Inc.
502,181
84,336
Franklin BSP Realty Trust, Inc.
1,053,357
19,837
Hannon Armstrong Sustainable
Infrastructure Capital, Inc.
496,123
50,618
Ladder Capital Corp.
543,131
148,124
MFA Financial, Inc.
1,568,633
38,377
PennyMac Mortgage Investment
Trust
531,522
308,525
Ready Capital Corp.
2,628,633
42,551
Two Harbors Investment Corp.
537,419
 
 
13,576,508
 
Multi-Utilities — 0.6%
 
80,435
Avista Corp.
2,894,052
44,246
Northwestern Energy Group,
Inc.
2,231,768
 
 
5,125,820
 
Office REITs — 1.6%
 
121,854
Douglas Emmett, Inc.
1,670,619
146,838
Easterly Government Properties,
Inc.
1,716,536
89,519
Equity Commonwealth (a)
1,675,796
107,596
Highwoods Properties, Inc.
2,819,015
349,375
Hudson Pacific Properties, Inc.
2,026,375
70,202
JBG SMITH Properties
1,053,732
120,122
Paramount Group, Inc.
557,366
40,876
SL Green Realty Corp. (b)
2,036,851
 
 
13,556,290
 
Oil, Gas & Consumable Fuels
— 3.8%
 
51,122
California Resources Corp.
2,702,309
118,754
CNX Resources Corp. (a)
2,793,094
303,538
Comstock Resources, Inc.
3,053,592
13,451
CONSOL Energy, Inc.
1,113,205
36,654
Delek US Holdings, Inc.
1,001,754
58,593
Dorian LPG Ltd.
2,421,063
10,555
Gulfport Energy Corp. (a)
1,675,184
42,358
International Seaways, Inc.
2,341,974
14,131
Kinetik Holdings, Inc.
541,783
378,099
Kosmos Energy Ltd. (a)
2,143,821
76,007
Par Pacific Holdings, Inc. (a)
2,341,016
45,580
Sitio Royalties Corp., Class A
1,059,279
202,214
Talos Energy, Inc. (a)
2,665,181
83,462
Uranium Energy Corp. (a)
563,368
29,296
Viper Energy, Inc.
1,117,935
53,614
Vital Energy, Inc. (a)
2,842,614
63,899
World Kinect Corp.
1,501,626
 
 
31,878,798

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Paper & Forest Products —
0.3%
 
36,499
Sylvamo Corp.
$2,281,188
 
Passenger Airlines — 0.8%
 
37,453
Allegiant Travel Co.
2,043,436
227,776
JetBlue Airways Corp. (a)
1,293,768
40,776
SkyWest, Inc. (a)
2,977,871
 
 
6,315,075
 
Personal Care Products —
0.5%
 
58,320
Edgewell Personal Care Co.
2,193,998
112,113
Herbalife Ltd. (a)
969,778
880,262
Olaplex Holdings, Inc. (a)
1,223,564
 
 
4,387,340
 
Pharmaceuticals — 1.8%
 
371,861
Amneal Pharmaceuticals, Inc. (a)
2,249,759
32,597
ANI Pharmaceuticals, Inc. (a)
2,151,402
13,647
Arvinas, Inc. (a)
433,565
72,562
Collegium Pharmaceutical,
Inc. (a)
2,679,715
33,553
Harmony Biosciences Holdings,
Inc. (a)
1,037,123
184,832
Innoviva, Inc. (a)
2,792,811
23,120
Ligand Pharmaceuticals, Inc. (a)
1,615,857
57,841
Pacira BioSciences, Inc. (a)
1,518,326
16,516
Supernus Pharmaceuticals,
Inc. (a)
497,132
 
 
14,975,690
 
Professional Services — 1.3%
 
35,883
CBIZ, Inc. (a)
2,554,152
10,930
CSG Systems International, Inc.
516,333
34,732
First Advantage Corp. (b)
566,132
11,662
Huron Consulting Group, Inc. (a)
1,087,365
14,960
ICF International, Inc.
2,158,578
7,988
Kforce, Inc.
493,339
17,134
Korn Ferry
1,040,376
126,694
Legalzoom.com, Inc. (a)
1,513,993
11,495
NV5 Global, Inc. (a)
1,071,794
 
 
11,002,062
 
Real Estate Management &
Development — 0.8%
 
116,943
DigitalBridge Group, Inc.
1,922,543
70,088
Forestar Group, Inc. (a)
2,172,027
152,399
Newmark Group, Inc., Class A
1,458,459
185,930
Opendoor Technologies, Inc. (a)
370,001
19,437
St. Joe (The) Co.
1,111,796
 
 
7,034,826
 
Residential REITs — 0.2%
 
68,787
Apartment Investment and
Management Co., Class A (a)
550,296
Shares
Description
Value
 
 
Residential REITs (Continued)
 
40,472
Elme Communities
$613,555
34,690
UMH Properties, Inc.
552,265
 
 
1,716,116
 
Retail REITs — 0.7%
 
33,120
Acadia Realty Trust
572,314
2,594
Alexander’s, Inc.
548,787
61,796
Getty Realty Corp.
1,674,671
21,912
InvenTrust Properties Corp.
555,250
30,668
NETSTREIT Corp.
516,756
43,945
Retail Opportunity Investments
Corp.
539,205
38,455
SITE Centers Corp.
518,758
38,156
Tanger, Inc.
1,081,722
 
 
6,007,463
 
Semiconductors &
Semiconductor Equipment
— 1.6%
 
33,805
Cohu, Inc. (a)
1,024,968
53,172
Credo Technology Group
Holding Ltd. (a)
950,184
39,956
Diodes, Inc. (a)
2,917,187
24,693
FormFactor, Inc. (a)
1,101,061
13,162
Impinj, Inc. (a)
2,097,759
59,679
Photronics, Inc. (a)
1,635,801
61,480
Semtech Corp. (a)
2,312,878
48,055
Veeco Instruments, Inc. (a)
1,698,264
 
 
13,738,102
 
Software — 3.1%
 
50,891
ACI Worldwide, Inc. (a)
1,735,383
154,771
Adeia, Inc.
1,522,947
6,686
Agilysys, Inc. (a)
555,272
15,547
Alarm.com Holdings, Inc. (a)
1,033,876
68,787
Alkami Technology, Inc. (a)
1,655,703
142,264
AvePoint, Inc. (a)
1,105,391
106,246
Cleanspark, Inc. (a)
1,740,309
26,487
Clear Secure, Inc., Class A
462,728
19,457
Envestnet, Inc. (a)
1,207,696
20,904
HashiCorp, Inc., Class A (a)
678,544
15,875
InterDigital, Inc.
1,567,339
30,701
Jamf Holding Corp. (a)
597,748
32,659
LiveRamp Holdings, Inc. (a)
1,048,680
19,788
Model N, Inc. (a)
586,714
15,506
PROS Holdings, Inc. (a)
507,822
42,874
Q2 Holdings, Inc. (a)
2,203,295
48,650
RingCentral, Inc., Class A (a)
1,441,013
89,281
SolarWinds Corp.
983,877
9,434
Sprout Social, Inc., Class A (a)
475,945
16,995
Verint Systems, Inc. (a)
514,609

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Software (Continued)
 
70,954
Vertex, Inc., Class A (a)
$2,066,890
154,629
Zeta Global Holdings Corp.,
Class A (a)
1,911,214
 
 
25,602,995
 
Specialized REITs — 0.6%
 
14,386
National Storage Affiliates Trust
504,085
134,216
Outfront Media, Inc.
2,128,666
27,348
Safehold, Inc.
498,828
286,458
Uniti Group, Inc.
1,647,133
 
 
4,778,712
 
Specialty Retail — 2.0%
 
17,763
Boot Barn Holdings, Inc. (a)
1,891,227
41,969
Buckle (The), Inc.
1,569,221
68,654
Caleres, Inc.
2,528,527
71,607
Guess?, Inc.
1,917,635
42,477
ODP (The) Corp. (a)
2,162,504
181,439
Sally Beauty Holdings, Inc. (a)
1,968,613
39,577
Sonic Automotive, Inc., Class A
2,289,134
87,209
Victoria’s Secret & Co. (a)
1,536,622
41,393
Warby Parker, Inc., Class A (a)
485,954
 
 
16,349,437
 
Technology Hardware, Storage
& Peripherals — 0.5%
 
45,654
Corsair Gaming, Inc. (a)
506,759
81,790
Diebold Nixdorf, Inc. (a)
2,589,471
94,419
Xerox Holdings Corp.
1,254,829
 
 
4,351,059
 
Textiles, Apparel & Luxury
Goods — 0.9%
 
19,959
Carter’s, Inc.
1,365,395
38,840
G-III Apparel Group Ltd. (a)
1,093,346
28,183
Levi Strauss & Co., Class A
598,043
10,025
Oxford Industries, Inc.
1,080,495
26,650
Steven Madden Ltd.
1,076,927
381,685
Under Armour, Inc., Class A (a)
2,568,740
 
 
7,782,946
 
Tobacco — 0.4%
 
54,463
Universal Corp.
2,801,032
51,402
Vector Group Ltd.
532,011
 
 
3,333,043
 
Trading Companies &
Distributors — 1.6%
 
8,651
BlueLinx Holdings, Inc. (a)
948,755
387,195
Custom Truck One Source,
Inc. (a)
1,932,103
79,392
Distribution Solutions Group,
Inc. (a)
2,617,554
185,318
DNOW, Inc. (a)
2,614,837
62,904
Global Industrial Co.
2,422,433
Shares
Description
Value
 
 
Trading Companies &
Distributors (Continued)
 
43,890
H&E Equipment Services, Inc.
$2,119,448
33,355
Xometry, Inc., Class A (a)
596,054
 
 
13,251,184
 
Water Utilities — 0.3%
 
12,120
California Water Service Group
595,334
29,866
SJW Group
1,626,204
 
 
2,221,538
 
Wireless Telecommunication
Services — 0.6%
 
192,495
Gogo, Inc. (a)
1,744,005
35,167
Telephone and Data Systems,
Inc.
550,364
77,173
United States Cellular Corp. (a)
2,806,010
 
 
5,100,379
 
Total Common Stocks
836,898,462
 
(Cost $773,539,064)
 
MONEY MARKET FUNDS — 2.4%
19,061,922
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (d) (e)
19,061,922
557,148
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
5.15% (d)
557,148
 
Total Money Market Funds
19,619,070
 
(Cost $19,619,070)
 
 
 
 
Total Investments — 102.3%
856,517,532
 
(Cost $793,158,134)
 
 
Net Other Assets and
Liabilities — (2.3)%
(18,884,945
)
 
Net Assets — 100.0%
$837,632,587
(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, including those sold
and pending settlement, is $17,840,321 and the total value of
the collateral held by the Fund is $19,061,922.
(c)
Non-income producing security which makes payment-in-
kind (“PIK”) distributions. For the fiscal year-to-
date period (August 1, 2023 to April 30, 2024), the Fund
received 12,682 PIK shares of Central Garden & Pet Co.,
Class A. 
(d)
Rate shown reflects yield as of April 30, 2024.
(e)
This security serves as collateral for securities on loan.

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$836,898,462
$836,898,462
$
$
Money Market
Funds
19,619,070
19,619,070
Total Investments
$856,517,532
$856,517,532
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Large Cap Value AlphaDEX® Fund (FTA)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
 
Aerospace & Defense — 1.3%
 
7,528
General Dynamics Corp.
$2,161,214
9,984
L3Harris Technologies, Inc.
2,137,075
9,606
Lockheed Martin Corp.
4,466,118
21,808
RTX Corp.
2,213,948
45,548
Textron, Inc.
3,852,905
 
 
14,831,260
 
Air Freight & Logistics —
1.0%
 
17,497
Expeditors International of
Washington, Inc.
1,947,591
22,026
FedEx Corp.
5,765,966
29,399
United Parcel Service, Inc.,
Class B
4,335,765
 
 
12,049,322
 
Automobile Components —
0.8%
 
137,140
Aptiv PLC (a)
9,736,940
 
Automobiles — 1.8%
 
822,526
Ford Motor Co.
9,993,691
240,866
General Motors Co.
10,725,763
 
 
20,719,454
 
Banks — 6.8%
 
168,287
Bank of America Corp.
6,228,302
138,178
Citigroup, Inc.
8,474,457
240,798
Citizens Financial Group, Inc.
8,213,620
171,500
Fifth Third Bancorp
6,252,890
626,419
Huntington Bancshares, Inc.
8,437,864
276,362
KeyCorp
4,004,485
60,084
M&T Bank Corp.
8,675,529
39,490
PNC Financial Services Group
(The), Inc.
6,052,237
415,331
Regions Financial Corp.
8,003,428
142,761
U.S. Bancorp
5,800,380
150,769
Wells Fargo & Co.
8,943,617
 
 
79,086,809
 
Beverages — 0.6%
 
208,069
Keurig Dr Pepper, Inc.
7,011,925
 
Biotechnology — 1.5%
 
20,261
Biogen, Inc. (a)
4,352,468
87,118
Gilead Sciences, Inc.
5,680,093
112,016
Incyte Corp. (a)
5,830,433
2,210
Regeneron Pharmaceuticals,
Inc. (a)
1,968,359
 
 
17,831,353
 
Broadline Retail — 1.0%
 
119,569
Coupang, Inc. (a)
2,690,302
165,564
eBay, Inc.
8,533,169
 
 
11,223,471
Shares
Description
Value
 
 
Building Products — 1.3%
 
66,891
Johnson Controls
International PLC
$4,352,598
65,487
Owens Corning
11,015,568
 
 
15,368,166
 
Capital Markets — 2.7%
 
310,868
Franklin Resources, Inc.
7,100,225
15,279
Goldman Sachs Group (The),
Inc.
6,519,702
46,402
Morgan Stanley
4,215,158
16,564
Raymond James Financial, Inc.
2,020,808
82,531
State Street Corp.
5,982,672
52,339
T. Rowe Price Group, Inc.
5,734,784
 
 
31,573,349
 
Chemicals — 3.7%
 
18,033
Air Products and Chemicals, Inc.
4,261,919
50,847
Celanese Corp.
7,810,608
131,271
CF Industries Holdings, Inc.
10,366,471
36,885
Corteva, Inc.
1,996,585
36,722
Dow, Inc.
2,089,482
27,745
DuPont de Nemours, Inc.
2,011,512
85,435
LyondellBasell Industries N.V.,
Class A
8,540,937
14,681
PPG Industries, Inc.
1,893,849
28,595
Westlake Corp.
4,213,759
 
 
43,185,122
 
Communications Equipment
— 0.5%
 
127,859
Cisco Systems, Inc.
6,006,816
 
Consumer Finance — 1.5%
 
58,689
Capital One Financial Corp.
8,417,763
202,658
Synchrony Financial
8,912,899
 
 
17,330,662
 
Consumer Staples Distribution
& Retail — 1.4%
 
13,630
Dollar General Corp.
1,897,160
111,702
Kroger (The) Co.
6,186,057
26,205
Sysco Corp.
1,947,556
24,653
Target Corp.
3,968,640
35,353
Walmart, Inc.
2,098,200
 
 
16,097,613
 
Containers & Packaging —
0.3%
 
23,024
Packaging Corp. of America
3,982,692
 
Distributors — 1.2%
 
28,201
Genuine Parts Co.
4,433,479
163,610
LKQ Corp.
7,056,500
5,270
Pool Corp.
1,910,533
 
 
13,400,512
 
Diversified REITs — 0.7%
 
154,829
WP Carey, Inc.
8,490,822

First Trust Large Cap Value AlphaDEX® Fund (FTA)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Diversified Telecommunication
Services — 1.6%
 
620,634
AT&T, Inc.
$10,482,508
208,259
Verizon Communications, Inc.
8,224,148
 
 
18,706,656
 
Electric Utilities — 5.6%
 
74,116
American Electric Power Co.,
Inc.
6,376,199
65,984
Duke Energy Corp.
6,483,588
90,221
Edison International
6,411,104
103,361
Entergy Corp.
11,025,518
232,596
Exelon Corp.
8,740,958
113,134
FirstEnergy Corp.
4,337,557
68,366
NextEra Energy, Inc.
4,578,471
521,391
PG&E Corp.
8,921,000
162,579
Xcel Energy, Inc.
8,735,370
 
 
65,609,765
 
Electronic Equipment,
Instruments & Components
— 1.9%
 
64,537
Corning, Inc.
2,154,245
47,640
Jabil, Inc.
5,591,030
60,168
TE Connectivity Ltd.
8,512,569
14,862
Teledyne Technologies, Inc. (a)
5,669,556
 
 
21,927,400
 
Energy Equipment & Services
— 1.3%
 
190,491
Baker Hughes Co.
6,213,816
221,678
Halliburton Co.
8,306,275
 
 
14,520,091
 
Entertainment — 0.6%
 
1,000,978
Warner Bros Discovery, Inc. (a)
7,367,198
 
Financial Services — 2.1%
 
25,973
Berkshire Hathaway, Inc.,
Class B (a)
10,304,268
152,082
Corebridge Financial, Inc. (b)
4,039,298
47,744
Global Payments, Inc.
5,861,531
65,223
PayPal Holdings, Inc. (a)
4,429,946
 
 
24,635,043
 
Food Products — 5.5%
 
173,908
Archer-Daniels-Midland Co.
10,201,443
106,548
Bunge Global S.A.
10,842,324
98,297
Campbell Soup Co.
4,493,156
294,823
Conagra Brands, Inc.
9,074,652
62,447
General Mills, Inc.
4,400,016
22,463
Hershey (The) Co.
4,356,025
125,229
Hormel Foods Corp.
4,453,143
37,128
Kellanova
2,148,226
Shares
Description
Value
 
 
Food Products (Continued)
 
236,815
Kraft Heinz (The) Co.
$9,143,427
62,420
Mondelez International, Inc.,
Class A
4,490,495
 
 
63,602,907
 
Gas Utilities — 0.5%
 
53,684
Atmos Energy Corp.
6,329,344
 
Ground Transportation —
0.8%
 
21,929
J.B. Hunt Transport Services,
Inc.
3,564,997
95,703
U-Haul Holding Co.
5,868,508
 
 
9,433,505
 
Health Care Equipment &
Supplies — 0.7%
 
50,133
Medtronic PLC
4,022,672
33,106
Zimmer Biomet Holdings, Inc.
3,981,990
 
 
8,004,662
 
Health Care Providers &
Services — 3.6%
 
81,312
Centene Corp. (a)
5,940,655
12,029
Cigna Group (The)
4,294,834
136,948
CVS Health Corp.
9,272,749
4,101
Elevance Health, Inc.
2,167,706
13,101
HCA Healthcare, Inc.
4,058,952
12,599
Humana, Inc.
3,806,032
9,735
Laboratory Corp. of America
Holdings
1,960,337
5,179
Molina Healthcare, Inc. (a)
1,771,736
47,940
Quest Diagnostics, Inc.
6,624,349
4,297
UnitedHealth Group, Inc.
2,078,459
 
 
41,975,809
 
Health Care REITs — 0.4%
 
100,348
Ventas, Inc.
4,443,409
 
Household Durables — 1.6%
 
66,380
D.R. Horton, Inc.
9,458,486
63,513
Lennar Corp., Class A
9,629,841
 
 
19,088,327
 
Household Products — 0.2%
 
16,443
Kimberly-Clark Corp.
2,244,963
 
Insurance — 7.7%
 
74,322
Aflac, Inc.
6,217,035
111,786
American International Group,
Inc.
8,418,604
118,163
Arch Capital Group Ltd. (a)
11,052,967
33,723
Chubb Ltd.
8,384,887
87,968
Cincinnati Financial Corp.
10,177,018
27,482
Everest Group Ltd.
10,069,680
40,059
Fidelity National Financial, Inc.
1,982,920
61,925
Hartford Financial Services
Group (The), Inc.
5,999,913

First Trust Large Cap Value AlphaDEX® Fund (FTA)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Insurance (Continued)
 
111,618
Loews Corp.
$8,388,093
7,177
Markel Group, Inc. (a)
10,466,937
18,119
Prudential Financial, Inc.
2,001,787
18,983
Travelers (The) Cos., Inc.
4,027,433
24,050
W.R. Berkley Corp.
1,851,128
 
 
89,038,402
 
IT Services — 0.6%
 
87,070
Cognizant Technology Solutions
Corp., Class A
5,718,758
7,704
EPAM Systems, Inc. (a)
1,812,443
 
 
7,531,201
 
Life Sciences Tools & Services
— 0.7%
 
83,223
Revvity, Inc.
8,527,861
 
Machinery — 1.2%
 
15,536
Deere & Co.
6,080,946
12,003
Dover Corp.
2,152,138
21,542
Snap-on, Inc.
5,772,394
 
 
14,005,478
 
Media — 2.7%
 
15,035
Charter Communications, Inc.,
Class A (a)
3,848,058
251,978
Comcast Corp., Class A
9,602,882
139,730
Fox Corp., Class A
4,333,027
195,569
Interpublic Group of (The) Cos.,
Inc.
5,953,120
243,750
News Corp., Class A
5,801,250
21,984
Omnicom Group, Inc.
2,040,995
 
 
31,579,332
 
Metals & Mining — 2.3%
 
55,193
Nucor Corp.
9,301,676
26,151
Reliance, Inc.
7,445,713
73,689
Steel Dynamics, Inc.
9,588,413
 
 
26,335,802
 
Multi-Utilities — 5.9%
 
118,150
Ameren Corp.
8,727,741
223,990
CenterPoint Energy, Inc.
6,527,069
72,410
CMS Energy Corp.
4,388,770
120,287
Consolidated Edison, Inc.
11,355,093
129,731
Dominion Energy, Inc.
6,613,686
77,926
DTE Energy Co.
8,596,796
130,856
Public Service Enterprise Group,
Inc.
9,039,533
121,654
Sempra
8,714,076
53,207
WEC Energy Group, Inc.
4,397,026
 
 
68,359,790
 
Office REITs — 0.2%
 
16,500
Alexandria Real Estate Equities,
Inc.
1,911,855
Shares
Description
Value
 
 
Oil, Gas & Consumable Fuels
— 14.3%
 
67,727
Cheniere Energy, Inc.
$10,688,675
69,247
Chevron Corp.
11,167,464
85,819
ConocoPhillips
10,780,583
391,793
Coterra Energy, Inc.
10,719,456
217,678
Devon Energy Corp.
11,140,760
55,122
Diamondback Energy, Inc.
11,086,688
85,443
EOG Resources, Inc.
11,289,584
294,662
EQT Corp.
11,812,999
93,969
Exxon Mobil Corp.
11,113,714
476,476
Kinder Morgan, Inc.
8,709,981
385,433
Marathon Oil Corp.
10,348,876
54,212
Marathon Petroleum Corp.
9,851,405
168,072
Occidental Petroleum Corp.
11,116,282
79,600
ONEOK, Inc.
6,297,952
66,875
Phillips 66
9,577,169
63,996
Valero Energy Corp.
10,231,040
 
 
165,932,628
 
Passenger Airlines — 1.5%
 
218,620
Southwest Airlines Co.
5,671,003
228,139
United Airlines Holdings,
Inc. (a)
11,740,033
 
 
17,411,036
 
Pharmaceuticals — 1.7%
 
161,138
Bristol-Myers Squibb Co.
7,080,404
13,448
Johnson & Johnson
1,944,446
76,654
Pfizer, Inc.
1,963,876
731,874
Viatris, Inc.
8,467,782
 
 
19,456,508
 
Professional Services — 0.5%
 
13,834
Jacobs Solutions, Inc.
1,985,594
67,880
SS&C Technologies Holdings,
Inc.
4,201,093
 
 
6,186,687
 
Residential REITs — 0.9%
 
101,117
Equity Residential
6,511,935
33,208
Mid-America Apartment
Communities, Inc.
4,317,040
 
 
10,828,975
 
Retail REITs — 0.7%
 
445,618
Kimco Realty Corp.
8,301,863
 
Semiconductors &
Semiconductor Equipment
— 1.0%
 
48,160
Intel Corp.
1,467,435
12,562
QUALCOMM, Inc.
2,083,408
80,672
Skyworks Solutions, Inc.
8,598,828
 
 
12,149,671

First Trust Large Cap Value AlphaDEX® Fund (FTA)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Software — 0.4%
 
66,840
Zoom Video Communications,
Inc., Class A (a)
$4,083,924
 
Specialized REITs — 0.2%
 
59,237
Weyerhaeuser Co.
1,787,180
 
Specialty Retail — 1.0%
 
77,792
Best Buy Co., Inc.
5,728,603
17,153
Lowe’s Cos., Inc.
3,910,712
8,125
Tractor Supply Co.
2,218,775
 
 
11,858,090
 
Technology Hardware, Storage
& Peripherals — 1.4%
 
616,086
Hewlett Packard Enterprise Co.
10,473,462
211,166
HP, Inc.
5,931,653
 
 
16,405,115
 
Textiles, Apparel & Luxury
Goods — 0.2%
 
22,635
NIKE, Inc., Class B
2,088,305
 
Water Utilities — 0.2%
 
17,405
American Water Works Co., Inc.
2,128,980
 
Total Common Stocks
1,161,724,050
 
(Cost $1,096,525,209)
 
MONEY MARKET FUNDS — 0.5%
3,979,610
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (c) (d)
3,979,610
1,681,354
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
5.15% (c)
1,681,354
 
Total Money Market Funds
5,660,964
 
(Cost $5,660,964)
 
 
 
 
Total Investments — 100.3%
1,167,385,014
 
(Cost $1,102,186,173)
 
 
Net Other Assets and
Liabilities — (0.3)%
(3,447,513
)
 
Net Assets — 100.0%
$1,163,937,501
(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, including those sold
and pending settlement, is $3,848,544 and the total value of
the collateral held by the Fund is $3,979,610.
(c)
Rate shown reflects yield as of April 30, 2024.
(d)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,161,724,050
$1,161,724,050
$
$
Money Market
Funds
5,660,964
5,660,964
Total
Investments
$1,167,385,014
$1,167,385,014
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
 
Aerospace & Defense — 3.9%
 
25,607
Axon Enterprise, Inc. (a)
$8,031,892
10,105
Boeing (The) Co. (a)
1,696,023
57,054
General Electric Co.
9,232,479
20,973
HEICO Corp.
4,349,800
146,347
Howmet Aerospace, Inc.
9,768,662
6,505
TransDigm Group, Inc.
8,118,435
 
 
41,197,291
 
Automobiles — 0.2%
 
178,101
Rivian Automotive, Inc.,
Class A (a)
1,585,099
 
Banks — 1.9%
 
6,125
First Citizens BancShares, Inc.,
Class A
10,331,405
49,999
JPMorgan Chase & Co.
9,586,808
 
 
19,918,213
 
Beverages — 0.3%
 
7,176
Constellation Brands, Inc.,
Class A
1,818,829
32,898
Monster Beverage Corp. (a)
1,758,398
 
 
3,577,227
 
Biotechnology — 0.6%
 
29,045
Neurocrine Biosciences, Inc. (a)
3,994,849
4,665
Vertex Pharmaceuticals, Inc. (a)
1,832,459
 
 
5,827,308
 
Broadline Retail — 0.9%
 
55,519
Amazon.com, Inc. (a)
9,715,825
 
Building Products — 4.0%
 
48,020
Builders FirstSource, Inc. (a)
8,779,016
20,446
Carlisle Cos., Inc.
7,938,160
16,391
Lennox International, Inc.
7,595,917
101,567
Masco Corp.
6,952,261
33,360
Trane Technologies PLC
10,586,463
 
 
41,851,817
 
Capital Markets — 4.0%
 
43,997
Ares Management Corp.,
Class A
5,855,561
139,044
Bank of New York Mellon (The)
Corp.
7,854,596
10,614
Cboe Global Markets, Inc.
1,922,726
99,569
KKR & Co., Inc.
9,266,887
30,323
LPL Financial Holdings, Inc.
8,160,829
4,964
Moody’s Corp.
1,838,318
65,795
Northern Trust Corp.
5,420,850
4,585
S&P Global, Inc.
1,906,580
 
 
42,226,347
 
Chemicals — 2.1%
 
14,803
Albemarle Corp.
1,780,949
25,339
Ecolab, Inc.
5,730,415
Shares
Description
Value
 
 
Chemicals (Continued)
 
8,626
Linde PLC
$3,803,721
33,676
RPM International, Inc.
3,600,301
23,067
Sherwin-Williams (The) Co.
6,911,104
 
 
21,826,490
 
Commercial Services &
Supplies — 2.7%
 
8,516
Cintas Corp.
5,606,424
101,011
Copart, Inc. (a)
5,485,907
41,849
Republic Services, Inc.
8,022,453
86,575
Rollins, Inc.
3,857,782
27,447
Waste Management, Inc.
5,709,525
 
 
28,682,091
 
Communications Equipment
— 1.4%
 
34,536
Arista Networks, Inc. (a)
8,860,556
16,482
Motorola Solutions, Inc.
5,589,870
 
 
14,450,426
 
Construction & Engineering
— 0.9%
 
38,547
Quanta Services, Inc.
9,966,712
 
Construction Materials —
1.6%
 
16,313
Martin Marietta Materials, Inc.
9,576,873
29,356
Vulcan Materials Co.
7,562,986
 
 
17,139,859
 
Consumer Staples Distribution
& Retail — 0.7%
 
10,935
Costco Wholesale Corp.
7,904,912
 
Electric Utilities — 1.1%
 
54,178
Constellation Energy Corp.
10,073,857
70,840
PPL Corp.
1,945,267
 
 
12,019,124
 
Electrical Equipment — 3.3%
 
21,903
AMETEK, Inc.
3,825,578
32,028
Eaton Corp. PLC
10,193,232
19,302
Hubbell, Inc.
7,151,777
6,694
Rockwell Automation, Inc.
1,813,806
122,624
Vertiv Holdings Co., Class A
11,404,032
 
 
34,388,425
 
Electronic Equipment,
Instruments & Components
— 0.6%
 
50,721
Amphenol Corp., Class A
6,125,575
 
Energy Equipment & Services
— 0.3%
 
73,085
Schlumberger N.V.
3,470,076
 
Entertainment — 1.8%
 
94,682
Live Nation Entertainment,
Inc. (a)
8,418,177
13,191
Netflix, Inc. (a)
7,263,492

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Entertainment (Continued)
 
51,079
ROBLOX Corp., Class A (a)
$1,816,369
13,133
Take-Two Interactive Software,
Inc. (a)
1,875,524
 
 
19,373,562
 
Financial Services — 2.7%
 
89,059
Apollo Global Management, Inc.
9,652,214
18,962
Corpay, Inc. (a)
5,729,179
50,129
Fiserv, Inc. (a)
7,653,194
8,318
Mastercard, Inc., Class A
3,753,082
6,987
Visa, Inc., Class A
1,876,778
 
 
28,664,447
 
Food Products — 0.3%
 
37,603
Lamb Weston Holdings, Inc.
3,133,834
 
Ground Transportation —
1.0%
 
52,608
CSX Corp.
1,747,638
130,075
Uber Technologies, Inc. (a)
8,620,070
 
 
10,367,708
 
Health Care Equipment &
Supplies — 3.2%
 
85,424
Boston Scientific Corp. (a)
6,139,423
42,181
Dexcom, Inc. (a)
5,373,438
61,225
Edwards Lifesciences Corp. (a)
5,183,921
14,660
Intuitive Surgical, Inc. (a)
5,433,289
20,228
ResMed, Inc.
4,328,590
8,675
STERIS PLC
1,774,558
16,349
Stryker Corp.
5,501,438
 
 
33,734,657
 
Health Care Technology —
0.2%
 
8,416
Veeva Systems, Inc., Class A (a)
1,671,081
 
Hotel & Resort REITs — 0.5%
 
282,913
Host Hotels & Resorts, Inc.
5,338,568
 
Hotels, Restaurants & Leisure
— 9.7%
 
35,468
Airbnb, Inc., Class A (a)
5,624,161
1,613
Booking Holdings, Inc.
5,568,124
490,311
Carnival Corp. (a)
7,266,409
3,445
Chipotle Mexican Grill, Inc. (a)
10,884,822
23,966
Darden Restaurants, Inc.
3,676,624
11,775
Domino’s Pizza, Inc.
6,232,154
72,716
DoorDash, Inc., Class A (a)
9,399,270
220,538
DraftKings, Inc., Class A (a)
9,165,559
58,162
Expedia Group, Inc. (a)
7,830,350
46,949
Hilton Worldwide Holdings, Inc.
9,262,099
77,482
Las Vegas Sands Corp.
3,437,102
31,754
Marriott International, Inc.,
Class A
7,498,072
Shares
Description
Value
 
 
Hotels, Restaurants & Leisure
(Continued)
 
169,702
MGM Resorts International (a)
$6,693,047
72,042
Royal Caribbean Cruises Ltd. (a)
10,059,225
 
 
102,597,018
 
Household Durables — 1.9%
 
39,300
Garmin Ltd.
5,677,671
723
NVR, Inc. (a)
5,378,289
83,025
PulteGroup, Inc.
9,250,645
 
 
20,306,605
 
Household Products — 1.1%
 
38,403
Church & Dwight Co., Inc.
4,143,300
64,971
Colgate-Palmolive Co.
5,972,134
12,020
Procter & Gamble (The) Co.
1,961,664
 
 
12,077,098
 
Independent Power and
Renewable Electricity
Producers — 1.0%
 
143,785
Vistra Corp.
10,904,654
 
Insurance — 2.3%
 
5,845
Aon PLC, Class A
1,648,348
16,019
Arthur J. Gallagher & Co.
3,759,499
91,519
Brown & Brown, Inc.
7,462,459
19,951
Erie Indemnity Co., Class A
7,634,450
19,448
Marsh & McLennan Cos., Inc.
3,878,515
 
 
24,383,271
 
Interactive Media & Services
— 1.4%
 
26,540
Alphabet, Inc., Class A (a)
4,320,181
20,624
Meta Platforms, Inc., Class A
8,871,826
56,249
Pinterest, Inc., Class A (a)
1,881,529
 
 
15,073,536
 
IT Services — 3.4%
 
5,627
Accenture PLC, Class A
1,693,221
17,932
Akamai Technologies, Inc. (a)
1,809,877
82,741
Cloudflare, Inc., Class A (a)
7,231,563
12,274
Gartner, Inc. (a)
5,064,130
67,506
GoDaddy, Inc., Class A (a)
8,261,384
30,639
International Business Machines
Corp.
5,092,202
5,438
MongoDB, Inc. (a)
1,985,849
55,922
Okta, Inc. (a)
5,199,627
 
 
36,337,853
 
Life Sciences Tools & Services
— 0.7%
 
13,403
Agilent Technologies, Inc.
1,836,747
23,135
IQVIA Holdings, Inc. (a)
5,361,999
 
 
7,198,746
 
Machinery — 6.8%
 
27,331
Caterpillar, Inc.
9,144,133
46,570
Fortive Corp.
3,505,324

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Machinery (Continued)
 
20,867
Graco, Inc.
$1,673,533
7,993
IDEX Corp.
1,762,137
7,268
Illinois Tool Works, Inc.
1,774,191
105,472
Ingersoll Rand, Inc.
9,842,647
31,365
Lincoln Electric Holdings, Inc.
6,885,558
7,104
Nordson Corp.
1,834,182
40,352
Otis Worldwide Corp.
3,680,102
80,834
PACCAR, Inc.
8,577,296
14,415
Parker-Hannifin Corp.
7,854,878
68,743
Westinghouse Air Brake
Technologies Corp.
11,073,122
30,995
Xylem, Inc.
4,051,047
 
 
71,658,150
 
Media — 0.4%
 
45,823
Trade Desk (The), Inc.,
Class A (a)
3,796,436
 
Oil, Gas & Consumable Fuels
— 0.2%
 
50,045
Williams (The) Cos., Inc.
1,919,726
 
Passenger Airlines — 0.8%
 
167,363
Delta Air Lines, Inc.
8,379,865
 
Pharmaceuticals — 0.8%
 
10,298
Eli Lilly & Co.
8,043,768
 
Professional Services — 1.8%
 
67,464
Booz Allen Hamilton Holding
Corp.
9,962,409
9,519
Broadridge Financial Solutions,
Inc.
1,841,070
14,973
Equifax, Inc.
3,296,905
50,199
TransUnion
3,664,527
 
 
18,764,911
 
Real Estate Management &
Development — 0.4%
 
41,468
CoStar Group, Inc. (a)
3,795,566
 
Residential REITs — 0.2%
 
54,766
Invitation Homes, Inc.
1,872,997
 
Retail REITs — 0.3%
 
25,599
Simon Property Group, Inc.
3,597,428
 
Semiconductors &
Semiconductor Equipment
— 6.0%
 
32,415
Advanced Micro Devices,
Inc. (a)
5,133,888
38,847
Applied Materials, Inc.
7,716,956
4,415
Broadcom, Inc.
5,740,692
57,006
Entegris, Inc.
7,577,237
11,553
First Solar, Inc. (a)
2,036,794
11,469
KLA Corp.
7,905,467
8,245
Lam Research Corp.
7,374,410
Shares
Description
Value
 
 
Semiconductors &
Semiconductor Equipment
(Continued)
 
56,516
Marvell Technology, Inc.
$3,724,970
2,879
Monolithic Power Systems, Inc.
1,927,001
11,085
NVIDIA Corp.
9,577,662
16,168
NXP Semiconductors N.V.
4,142,080
 
 
62,857,157
 
Software — 10.1%
 
7,490
Autodesk, Inc. (a)
1,594,246
18,795
Cadence Design Systems,
Inc. (a)
5,180,466
31,237
Crowdstrike Holdings, Inc.,
Class A (a)
9,138,072
47,334
Datadog, Inc., Class A (a)
5,940,417
4,682
Fair Isaac Corp. (a)
5,306,251
58,642
Fortinet, Inc. (a)
3,705,002
261,188
Gen Digital, Inc.
5,260,326
6,394
HubSpot, Inc. (a)
3,867,539
6,163
Intuit, Inc.
3,855,696
23,381
Manhattan Associates, Inc. (a)
4,817,889
9,520
Microsoft Corp.
3,706,422
162,259
Nutanix, Inc., Class A (a)
9,849,121
31,891
Oracle Corp.
3,627,601
348,182
Palantir Technologies, Inc.,
Class A (a)
7,649,559
6,864
Palo Alto Networks, Inc. (a)
1,996,669
21,203
PTC, Inc. (a)
3,762,260
3,478
Roper Technologies, Inc.
1,778,858
26,601
Salesforce, Inc.
7,154,073
7,674
ServiceNow, Inc. (a)
5,320,614
10,236
Synopsys, Inc. (a)
5,431,119
14,687
Workday, Inc., Class A (a)
3,594,350
20,795
Zscaler, Inc. (a)
3,596,287
 
 
106,132,837
 
Specialized REITs — 1.1%
 
27,810
Digital Realty Trust, Inc.
3,859,472
99,883
Iron Mountain, Inc.
7,742,930
 
 
11,602,402
 
Specialty Retail — 3.0%
 
2,542
AutoZone, Inc. (a)
7,515,169
10,442
Home Depot (The), Inc.
3,489,925
7,097
O’Reilly Automotive, Inc. (a)
7,191,106
39,865
Ross Stores, Inc.
5,164,511
39,497
TJX (The) Cos., Inc.
3,716,273
11,189
Ulta Beauty, Inc. (a)
4,529,755
 
 
31,606,739
 
Technology Hardware, Storage
& Peripherals — 2.8%
 
76,323
NetApp, Inc.
7,800,974
154,101
Pure Storage, Inc., Class A (a)
7,766,690

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Technology Hardware, Storage
& Peripherals (Continued)
 
62,878
Seagate Technology
Holdings PLC
$5,401,849
9,915
Super Micro Computer, Inc. (a)
8,515,002
 
 
29,484,515
 
Textiles, Apparel & Luxury
Goods — 0.8%
 
10,639
Deckers Outdoor Corp. (a)
8,707,702
 
Trading Companies &
Distributors — 2.4%
 
75,845
Fastenal Co.
5,152,909
13,887
United Rentals, Inc.
9,276,377
9,845
W.W. Grainger, Inc.
9,070,691
4,514
Watsco, Inc.
2,021,008
 
 
25,520,985
 
Wireless Telecommunication
Services — 0.2%
 
11,949
T-Mobile US, Inc.
1,961,667
 
Total Common Stocks
1,052,738,306
 
(Cost $879,160,410)
 
MONEY MARKET FUNDS — 0.2%
1,881,510
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
5.15% (b)
1,881,510
 
(Cost $1,881,510)
 
 
 
 
Total Investments — 100.0%
1,054,619,816
 
(Cost $881,041,920)
 
 
Net Other Assets and
Liabilities — (0.0)%
(372,117
)
 
Net Assets — 100.0%
$1,054,247,699
(a)
Non-income producing security.
(b)
Rate shown reflects yield as of April 30, 2024.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,052,738,306
$1,052,738,306
$
$
Money Market
Funds
1,881,510
1,881,510
Total
Investments
$1,054,619,816
$1,054,619,816
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
 
Aerospace & Defense — 0.8%
 
676
AAR Corp. (a)
$46,738
499
General Dynamics Corp.
143,258
490
Huntington Ingalls Industries,
Inc.
135,696
662
L3Harris Technologies, Inc.
141,701
637
Lockheed Martin Corp.
296,160
1,446
RTX Corp.
146,798
3,020
Textron, Inc.
255,462
 
 
1,165,813
 
Air Freight & Logistics —
0.8%
 
14,982
Air Transport Services Group,
Inc. (a)
192,069
1,160
Expeditors International of
Washington, Inc.
129,120
1,461
FedEx Corp.
382,461
2,651
Forward Air Corp.
58,375
1,329
GXO Logistics, Inc. (a)
65,998
3,816
Hub Group, Inc., Class A
153,480
1,949
United Parcel Service, Inc.,
Class B
287,438
 
 
1,268,941
 
Automobile Components —
1.3%
 
5,010
Adient PLC (a)
149,649
9,094
Aptiv PLC (a)
645,674
8,229
BorgWarner, Inc.
269,664
12,986
Dana, Inc.
161,416
420
Dorman Products, Inc. (a)
36,729
2,331
Fox Factory Holding Corp. (a)
90,723
10,411
Goodyear Tire & Rubber (The)
Co. (a)
124,516
1,973
Lear Corp.
248,341
690
Patrick Industries, Inc.
72,098
5,365
Phinia, Inc.
209,235
 
 
2,008,045
 
Automobiles — 1.2%
 
54,543
Ford Motor Co.
662,697
15,972
General Motors Co.
711,233
6,536
Harley-Davidson, Inc.
224,773
1,218
Thor Industries, Inc.
121,094
1,640
Winnebago Industries, Inc.
100,991
 
 
1,820,788
 
Banks — 10.5%
 
2,315
1st Source Corp.
114,824
4,432
Ameris Bancorp
210,431
3,834
Associated Banc-Corp.
80,782
2,335
Atlantic Union Bankshares Corp.
74,183
3,052
Axos Financial, Inc. (a)
154,462
11,159
Bank of America Corp.
412,995
Shares
Description
Value
 
 
Banks (Continued)
 
6,288
Bank OZK
$280,759
4,334
BankUnited, Inc.
115,848
3,436
Banner Corp.
149,913
3,598
Berkshire Hills Bancorp, Inc.
76,709
2,331
BOK Financial Corp.
206,830
9,858
Cadence Bank
272,771
4,360
Cathay General Bancorp
150,158
9,163
Citigroup, Inc.
561,967
15,968
Citizens Financial Group, Inc.
544,668
14,774
Columbia Banking System, Inc.
277,899
3,899
Comerica, Inc.
195,613
842
Community Bank System, Inc.
36,391
3,108
Customers Bancorp, Inc. (a)
141,942
4,622
CVB Financial Corp.
75,523
1,807
East West Bancorp, Inc.
134,603
11,969
Eastern Bankshares, Inc.
150,331
4,066
Enterprise Financial Services
Corp.
154,549
15,206
F.N.B. Corp.
202,848
1,074
FB Financial Corp.
39,362
11,372
Fifth Third Bancorp
414,623
2,283
First Bancorp
69,426
4,701
First BanCorp
81,092
5,046
First Busey Corp.
112,728
11,848
First Commonwealth Financial
Corp.
156,275
9,195
First Financial Bancorp
203,301
3,755
First Hawaiian, Inc.
79,193
13,922
First Horizon Corp.
207,716
4,460
First Interstate BancSystem, Inc.,
Class A
119,082
4,726
First Merchants Corp.
157,943
10,379
Fulton Financial Corp.
171,772
4,657
Hancock Whitney Corp.
211,381
2,346
Heartland Financial USA, Inc.
98,790
2,633
Hilltop Holdings, Inc.
77,042
5,818
Home BancShares, Inc.
137,770
10,544
Hope Bancorp, Inc.
105,651
41,539
Huntington Bancshares, Inc.
559,530
3,170
Independent Bank Corp.
159,261
886
Independent Bank Group, Inc.
32,995
2,938
International Bancshares Corp.
163,500
18,326
KeyCorp
265,544
3,984
M&T Bank Corp.
575,250
4,572
National Bank Holdings Corp.,
Class A
149,642
2,248
NBT Bancorp, Inc.
78,702
22,195
New York Community Bancorp,
Inc.
58,817
471
Nicolet Bankshares, Inc.
36,046
10,417
Northwest Bancshares, Inc.
110,420
10,050
OceanFirst Financial Corp.
148,338

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Banks (Continued)
 
3,297
OFG Bancorp
$119,055
16,420
Old National Bancorp
271,587
1,686
Pacific Premier Bancorp, Inc.
36,249
3,267
Pathward Financial, Inc.
164,559
5,570
Peoples Bancorp, Inc.
161,753
1,664
Pinnacle Financial Partners, Inc.
127,629
2,619
PNC Financial Services Group
(The), Inc.
401,388
1,623
Popular, Inc.
137,939
1,581
Preferred Bank
119,666
2,173
Prosperity Bancshares, Inc.
134,661
11,320
Provident Financial Services,
Inc.
166,178
27,541
Regions Financial Corp.
530,715
3,875
Renasant Corp.
112,607
5,141
S&T Bancorp, Inc.
155,001
7,115
Sandy Spring Bancorp, Inc.
145,502
3,248
Seacoast Banking Corp. of
Florida
74,931
6,236
Simmons First National Corp.,
Class A
106,573
1,681
SouthState Corp.
127,252
3,568
Synovus Financial Corp.
127,699
1,340
Texas Capital Bancshares,
Inc. (a)
76,916
4,325
TowneBank
111,888
3,300
TriCo Bancshares
114,741
4,317
Trustmark Corp.
127,783
9,467
U.S. Bancorp
384,644
1,643
UMB Financial Corp.
130,881
3,994
United Bankshares, Inc.
129,645
3,133
United Community Banks, Inc.
79,046
35,914
Valley National Bancorp
251,757
8,049
Veritex Holdings, Inc.
156,795
4,181
WaFd, Inc.
113,263
4,223
Webster Financial Corp.
185,094
9,998
Wells Fargo & Co.
593,081
4,071
WesBanco, Inc.
109,917
3,340
Western Alliance Bancorp
189,812
2,054
Wintrust Financial Corp.
198,499
3,654
WSFS Financial Corp.
156,135
4,940
Zions Bancorp N.A.
201,453
 
 
16,090,485
 
Beverages — 0.5%
 
13,797
Keurig Dr Pepper, Inc.
464,959
4,251
Molson Coors Beverage Co.,
Class B
243,412
 
 
708,371
 
Biotechnology — 1.0%
 
1,344
Biogen, Inc. (a)
288,718
Shares
Description
Value
 
 
Biotechnology (Continued)
 
5,777
Gilead Sciences, Inc.
$376,660
7,428
Incyte Corp. (a)
386,628
146
Regeneron Pharmaceuticals,
Inc. (a)
130,036
1,244
United Therapeutics Corp. (a)
291,507
 
 
1,473,549
 
Broadline Retail — 0.9%
 
7,929
Coupang, Inc. (a)
178,402
455
Dillard’s, Inc., Class A
199,285
10,979
eBay, Inc.
565,858
7,072
Kohl’s Corp.
169,304
10,726
Macy’s, Inc.
197,680
 
 
1,310,529
 
Building Products — 1.2%
 
2,050
Apogee Enterprises, Inc.
126,649
3,884
JELD-WEN Holding, Inc. (a)
79,622
4,436
Johnson Controls
International PLC
288,650
6,476
Masterbrand, Inc. (a)
107,955
4,342
Owens Corning
730,368
3,158
Quanex Building Products Corp.
104,909
7,356
Resideo Technologies, Inc. (a)
143,663
1,743
UFP Industries, Inc.
196,436
 
 
1,778,252
 
Capital Markets — 2.1%
 
1,707
Affiliated Managers Group, Inc.
266,463
884
Artisan Partners Asset
Management, Inc., Class A
36,182
1,330
Donnelley Financial Solutions,
Inc. (a)
83,497
3,360
Federated Hermes, Inc.
110,376
20,614
Franklin Resources, Inc.
470,824
1,013
Goldman Sachs Group (The),
Inc.
432,257
4,308
Invesco Ltd.
61,044
1,621
Jefferies Financial Group, Inc.
69,800
3,077
Morgan Stanley
279,515
1,098
Raymond James Financial, Inc.
133,956
1,988
SEI Investments Co.
131,109
5,473
State Street Corp.
396,738
914
Stifel Financial Corp.
73,047
1,727
StoneX Group, Inc. (a)
125,380
3,471
T. Rowe Price Group, Inc.
380,317
1,943
Victory Capital Holdings, Inc.,
Class A
98,821
333
Virtus Investment Partners, Inc.
73,034
 
 
3,222,360
 
Chemicals — 3.1%
 
1,196
Air Products and Chemicals, Inc.
282,663
1,468
Ashland, Inc.
139,944
1,647
Avient Corp.
69,866

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Chemicals (Continued)
 
3,372
Celanese Corp.
$517,973
8,705
CF Industries Holdings, Inc.
687,434
2,446
Corteva, Inc.
132,402
2,435
Dow, Inc.
138,551
1,840
DuPont de Nemours, Inc.
133,400
2,139
Eastman Chemical Co.
202,007
10,884
Ecovyst, Inc. (a)
102,636
5,610
FMC Corp.
331,046
896
H.B. Fuller Co.
66,940
5,491
Huntsman Corp.
131,015
2,200
Koppers Holdings, Inc.
112,816
5,666
LyondellBasell Industries N.V.,
Class A
566,430
1,095
Minerals Technologies, Inc.
79,815
11,009
Mosaic (The) Co.
345,572
3,646
Olin Corp.
190,613
5,160
Orion S.A.
122,086
973
PPG Industries, Inc.
125,517
449
Stepan Co.
37,263
1,896
Westlake Corp.
279,395
 
 
4,795,384
 
Commercial Services &
Supplies — 0.6%
 
3,696
ABM Industries, Inc.
161,515
10,565
CoreCivic, Inc. (a)
157,419
11,680
GEO Group (The), Inc. (a)
173,565
896
HNI Corp.
37,587
3,905
Matthews International Corp.,
Class A
105,357
6,661
MillerKnoll, Inc.
169,389
700
UniFirst Corp.
112,091
 
 
916,923
 
Communications Equipment
— 0.3%
 
1,445
Ciena Corp. (a)
66,802
8,478
Cisco Systems, Inc.
398,297
 
 
465,099
 
Construction & Engineering
— 0.2%
 
11,344
MDU Resources Group, Inc.
280,197
1,937
Primoris Services Corp.
90,264
 
 
370,461
 
Construction Materials —
0.0%
 
1,604
Summit Materials, Inc.,
Class A (a)
62,396
 
Consumer Finance — 1.7%
 
7,043
Ally Financial, Inc.
270,099
5,536
Bread Financial Holdings, Inc.
204,334
Shares
Description
Value
 
 
Consumer Finance
(Continued)
 
3,892
Capital One Financial Corp.
$558,229
2,625
Enova International, Inc. (a)
158,891
9,479
Navient Corp.
142,375
427
Nelnet, Inc., Class A
40,215
4,197
OneMain Holdings, Inc.
218,706
5,986
PROG Holdings, Inc.
198,975
6,560
SLM Corp.
139,006
13,439
Synchrony Financial
591,047
 
 
2,521,877
 
Consumer Staples Distribution
& Retail — 1.2%
 
2,115
Andersons (The), Inc.
116,198
945
BJ’s Wholesale Club Holdings,
Inc. (a)
70,573
904
Dollar General Corp.
125,828
1,406
Grocery Outlet Holding
Corp. (a)
36,514
2,689
Ingles Markets, Inc., Class A
192,936
7,407
Kroger (The) Co.
410,200
982
PriceSmart, Inc.
79,139
1,738
Sysco Corp.
129,168
1,635
Target Corp.
263,202
1,324
US Foods Holding Corp. (a)
66,531
2,344
Walmart, Inc.
139,116
3,201
Weis Markets, Inc.
202,079
 
 
1,831,484
 
Containers & Packaging —
1.0%
 
4,727
Berry Global Group, Inc.
267,737
902
Crown Holdings, Inc.
74,027
2,986
Greif, Inc., Class A
182,982
3,663
International Paper Co.
127,985
4,971
O-I Glass, Inc. (a)
74,366
1,527
Packaging Corp. of America
264,141
2,825
Pactiv Evergreen, Inc.
43,053
1,921
Sealed Air Corp.
60,473
2,943
Silgan Holdings, Inc.
137,321
4,942
Sonoco Products Co.
276,999
3,085
TriMas Corp.
80,179
 
 
1,589,263
 
Distributors — 0.6%
 
1,870
Genuine Parts Co.
293,983
10,850
LKQ Corp.
467,960
350
Pool Corp.
126,886
 
 
888,829
 
Diversified Consumer Services
— 0.6%
 
42,540
ADT, Inc.
276,510
27,233
Chegg, Inc. (a)
140,795
269
Graham Holdings Co., Class B
188,668

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Diversified Consumer Services
(Continued)
 
11,740
Perdoceo Education Corp.
$214,842
388
Strategic Education, Inc.
44,558
 
 
865,373
 
Diversified REITs — 0.6%
 
2,456
Alexander & Baldwin, Inc.
40,450
7,527
American Assets Trust, Inc.
160,702
10,525
Broadstone Net Lease, Inc.
153,244
10,267
WP Carey, Inc.
563,042
 
 
917,438
 
Diversified Telecommunication
Services — 1.1%
 
41,156
AT&T, Inc.
695,125
11,668
Frontier Communications Parent,
Inc. (a)
269,997
23,595
Liberty Latin America Ltd.,
Class C (a)
177,906
2,329
Shenandoah
Telecommunications Co.
29,858
13,810
Verizon Communications, Inc.
545,357
 
 
1,718,243
 
Electric Utilities — 4.1%
 
4,793
ALLETE, Inc.
283,842
2,836
Alliant Energy Corp.
141,233
4,915
American Electric Power Co.,
Inc.
422,838
4,376
Duke Energy Corp.
429,986
5,983
Edison International
425,152
6,854
Entergy Corp.
731,116
5,355
Evergy, Inc.
280,870
15,424
Exelon Corp.
579,634
7,502
FirstEnergy Corp.
287,627
18,293
Hawaiian Electric Industries, Inc.
180,186
1,539
IDACORP, Inc.
145,866
4,534
NextEra Energy, Inc.
303,642
8,334
OGE Energy Corp.
288,773
34,575
PG&E Corp.
591,578
2,869
Pinnacle West Capital Corp.
211,302
3,224
PNM Resources, Inc.
119,481
6,806
Portland General Electric Co.
294,223
10,781
Xcel Energy, Inc.
579,263
 
 
6,296,612
 
Electrical Equipment — 0.5%
 
266
Acuity Brands, Inc.
66,048
1,126
Atkore, Inc.
197,388
1,088
Encore Wire Corp.
303,944
2,270
EnerSys
205,321
1,058
Vicor Corp. (a)
34,258
 
 
806,959
Shares
Description
Value
 
 
Electronic Equipment,
Instruments & Components
— 2.6%
 
2,760
Arrow Electronics, Inc. (a)
$352,369
7,207
Avnet, Inc.
352,206
890
Belden, Inc.
72,330
4,280
Corning, Inc.
142,866
2,309
Crane NXT Co.
140,410
865
CTS Corp.
39,574
1,050
ePlus, Inc. (a)
80,724
2,364
IPG Photonics Corp. (a)
198,529
3,159
Jabil, Inc.
370,740
10,244
Knowles Corp. (a)
162,162
590
Littelfuse, Inc.
136,078
1,251
PC Connection, Inc.
77,524
870
Plexus Corp. (a)
87,879
341
Rogers Corp. (a)
40,610
4,598
Sanmina Corp. (a)
278,961
1,896
TD SYNNEX Corp.
223,425
3,990
TE Connectivity Ltd.
564,505
986
Teledyne Technologies, Inc. (a)
376,139
2,585
TTM Technologies, Inc. (a)
38,594
9,090
Vishay Intertechnology, Inc.
210,343
 
 
3,945,968
 
Energy Equipment & Services
— 1.8%
 
12,632
Baker Hughes Co.
412,056
14,700
Halliburton Co.
550,809
8,496
Helmerich & Payne, Inc.
334,148
1,480
Kodiak Gas Services, Inc.
40,226
17,246
Liberty Energy, Inc.
379,412
18,306
NOV, Inc.
338,478
1,729
Oceaneering International,
Inc. (a)
39,611
29,928
Patterson-UTI Energy, Inc.
323,821
4,748
Valaris Ltd. (a)
308,905
 
 
2,727,466
 
Entertainment — 0.4%
 
4,200
Sphere Entertainment Co. (a)
163,212
66,377
Warner Bros Discovery, Inc. (a)
488,535
 
 
651,747
 
Financial Services — 2.4%
 
1,723
Berkshire Hathaway, Inc.,
Class B (a)
683,566
10,085
Corebridge Financial, Inc. (b)
267,858
6,005
Essent Group Ltd.
318,085
3,166
Global Payments, Inc.
388,690
4,322
Jackson Financial, Inc., Class A
295,279
15,981
MGIC Investment Corp.
324,095
3,667
Mr. Cooper Group, Inc. (a)
283,092
6,375
NMI Holdings, Inc., Class A (a)
196,732
4,325
PayPal Holdings, Inc. (a)
293,754

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Financial Services (Continued)
 
785
PennyMac Financial Services,
Inc.
$67,227
10,676
Radian Group, Inc.
318,892
816
Walker & Dunlop, Inc.
74,770
15,336
Western Union (The) Co.
206,116
 
 
3,718,156
 
Food Products — 3.5%
 
11,532
Archer-Daniels-Midland Co.
676,467
7,065
Bunge Global S.A.
718,934
3,503
Cal-Maine Foods, Inc.
193,821
6,518
Campbell Soup Co.
297,938
19,550
Conagra Brands, Inc.
601,749
6,147
Darling Ingredients, Inc. (a)
260,448
1,561
Fresh Del Monte Produce, Inc.
39,915
4,141
General Mills, Inc.
291,775
1,490
Hershey (The) Co.
288,941
8,304
Hormel Foods Corp.
295,290
2,462
Kellanova
142,451
15,704
Kraft Heinz (The) Co.
606,332
344
Lancaster Colony Corp.
65,639
4,139
Mondelez International, Inc.,
Class A
297,760
111
Seaboard Corp.
367,422
2,117
TreeHouse Foods, Inc. (a)
79,493
4,386
WK Kellogg Co.
102,369
 
 
5,326,744
 
Gas Utilities — 1.2%
 
3,560
Atmos Energy Corp.
419,724
377
Chesapeake Utilities Corp.
39,913
6,652
National Fuel Gas Co.
353,221
3,331
New Jersey Resources Corp.
145,531
5,539
Northwest Natural Holding Co.
211,313
4,430
ONE Gas, Inc.
285,824
1,878
Southwest Gas Holdings, Inc.
140,136
2,687
Spire, Inc.
166,030
 
 
1,761,692
 
Ground Transportation —
1.4%
 
284
ArcBest Corp.
31,499
1,751
Avis Budget Group, Inc.
167,133
13,813
Heartland Express, Inc.
137,301
26,329
Hertz Global Holdings, Inc. (a)
119,797
1,454
J.B. Hunt Transport Services,
Inc.
236,377
3,897
Knight-Swift Transportation
Holdings, Inc.
180,158
371
Landstar System, Inc.
64,706
8,925
Marten Transport Ltd.
151,011
2,378
Ryder System, Inc.
289,759
9,106
Schneider National, Inc., Class B
188,312
Shares
Description
Value
 
 
Ground Transportation
(Continued)
 
6,346
U-Haul Holding Co.
$389,137
4,216
Werner Enterprises, Inc.
144,187
 
 
2,099,377
 
Health Care Equipment &
Supplies — 0.8%
 
648
Enovis Corp. (a)
35,789
1,332
Globus Medical, Inc.,
Class A (a)
66,320
1,131
ICU Medical, Inc. (a)
110,747
1,141
Integra LifeSciences Holdings
Corp. (a)
33,283
3,325
Medtronic PLC
266,798
4,529
Neogen Corp. (a)
55,843
2,821
Omnicell, Inc. (a)
75,631
5,963
QuidelOrtho Corp. (a)
241,800
316
Teleflex, Inc.
65,965
2,195
Zimmer Biomet Holdings, Inc.
264,015
 
 
1,216,191
 
Health Care Providers &
Services — 2.6%
 
391
Addus HomeCare Corp. (a)
37,595
2,638
AMN Healthcare Services,
Inc. (a)
158,227
5,392
Centene Corp. (a)
393,940
798
Cigna Group (The)
284,918
9,081
CVS Health Corp.
614,874
272
Elevance Health, Inc.
143,774
865
Encompass Health Corp.
72,124
869
HCA Healthcare, Inc.
269,234
946
Henry Schein, Inc. (a)
65,539
836
Humana, Inc.
252,547
646
Laboratory Corp. of America
Holdings
130,085
343
Molina Healthcare, Inc. (a)
117,340
1,284
National HealthCare Corp.
116,677
4,389
Patterson Cos., Inc.
111,788
9,328
Premier, Inc., Class A
194,769
3,179
Quest Diagnostics, Inc.
439,274
4,741
Select Medical Holdings Corp.
134,502
680
Tenet Healthcare Corp. (a)
76,357
285
UnitedHealth Group, Inc.
137,854
1,175
Universal Health Services, Inc.,
Class B
200,255
 
 
3,951,673
 
Health Care REITs — 0.3%
 
10,101
Healthcare Realty Trust, Inc.
143,738
8,607
Medical Properties Trust, Inc. (b)
39,592
6,654
Ventas, Inc.
294,639
 
 
477,969

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Hotel & Resort REITs — 0.2%
 
17,441
RLJ Lodging Trust
$191,851
5,494
Xenia Hotels & Resorts, Inc.
76,202
 
 
268,053
 
Hotels, Restaurants & Leisure
— 0.9%
 
4,232
Bloomin’ Brands, Inc.
109,143
4,246
Boyd Gaming Corp.
227,203
1,660
Brinker International, Inc. (a)
88,976
4,902
Caesars Entertainment, Inc. (a)
175,590
1,119
Cheesecake Factory (The), Inc.
38,628
1,134
Cracker Barrel Old Country
Store, Inc.
65,987
5,598
Golden Entertainment, Inc.
179,416
3,028
Hilton Grand Vacations, Inc. (a)
126,086
5,313
Life Time Group Holdings,
Inc. (a)
72,576
1,127
Marriott Vacations Worldwide
Corp.
108,316
1,100
Monarch Casino & Resort, Inc.
74,547
3,925
Penn Entertainment, Inc. (a)
64,920
 
 
1,331,388
 
Household Durables — 2.5%
 
6,285
Beazer Homes USA, Inc. (a)
176,169
101
Cavco Industries, Inc. (a)
36,785
1,709
Century Communities, Inc.
135,558
4,402
D.R. Horton, Inc.
627,241
1,053
Helen of Troy Ltd. (a)
97,624
5,041
KB Home
326,455
5,480
La-Z-Boy, Inc.
179,963
4,212
Lennar Corp., Class A
638,623
1,043
LGI Homes, Inc. (a)
93,797
2,622
M/I Homes, Inc. (a)
304,729
2,037
Meritage Homes Corp.
337,612
841
Skyline Champion Corp. (a)
63,067
5,748
Taylor Morrison Home Corp. (a)
321,945
7,395
Tri Pointe Homes, Inc. (a)
272,506
1,195
Whirlpool Corp.
113,358
1,950
Worthington Enterprises, Inc.
111,462
 
 
3,836,894
 
Household Products — 0.3%
 
3,287
Central Garden & Pet Co.,
Class A (c)
116,459
1,091
Kimberly-Clark Corp.
148,954
2,502
Reynolds Consumer Products,
Inc.
71,632
2,316
Spectrum Brands Holdings, Inc.
189,611
 
 
526,656
Shares
Description
Value
 
 
Independent Power and
Renewable Electricity
Producers — 0.1%
 
3,578
Clearway Energy, Inc., Class C
$83,654
 
Industrial REITs — 0.0%
 
4,485
LXP Industrial Trust
37,450
 
Insurance — 5.6%
 
4,929
Aflac, Inc.
412,311
524
American Financial Group, Inc.
66,941
7,413
American International Group,
Inc.
558,273
7,836
Arch Capital Group Ltd. (a)
732,979
380
Assurant, Inc.
66,272
4,096
Assured Guaranty Ltd.
314,163
2,198
Axis Capital Holdings Ltd.
134,803
2,236
Chubb Ltd.
555,959
5,833
Cincinnati Financial Corp.
674,820
6,002
CNO Financial Group, Inc.
158,033
4,542
Employers Holdings, Inc.
193,444
1,150
Enstar Group Ltd. (a)
333,926
1,822
Everest Group Ltd.
667,599
2,656
Fidelity National Financial, Inc.
131,472
1,171
First American Financial Corp.
62,731
6,291
Genworth Financial, Inc.,
Class A (a)
37,306
614
Globe Life, Inc.
46,768
4,106
Hartford Financial Services
Group (The), Inc.
397,830
7,402
Loews Corp.
556,260
476
Markel Group, Inc. (a)
694,198
4,653
Old Republic International Corp.
138,939
1,202
Prudential Financial, Inc.
132,797
370
Reinsurance Group of America,
Inc.
69,186
1,520
RenaissanceRe Holdings Ltd.
333,260
655
Selective Insurance Group, Inc.
66,581
622
Stewart Information Services
Corp.
38,570
1,259
Travelers (The) Cos., Inc.
267,109
5,327
Unum Group
270,079
1,595
W.R. Berkley Corp.
122,767
199
White Mountains Insurance
Group Ltd.
353,850
 
 
8,589,226
 
Interactive Media & Services
— 0.3%
 
6,699
IAC, Inc. (a)
318,604
2,649
Shutterstock, Inc.
113,139
1,308
Ziff Davis, Inc. (a)
65,544
 
 
497,287

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
IT Services — 0.5%
 
5,774
Cognizant Technology Solutions
Corp., Class A
$379,236
10,109
DXC Technology Co. (a)
197,025
511
EPAM Systems, Inc. (a)
120,218
 
 
696,479
 
Leisure Products — 0.3%
 
1,481
Brunswick Corp.
119,428
2,141
Polaris, Inc.
182,327
12,749
Topgolf Callaway Brands
Corp. (a)
204,239
 
 
505,994
 
Life Sciences Tools & Services
— 0.4%
 
5,519
Revvity, Inc.
565,532
 
Machinery — 2.0%
 
2,905
AGCO Corp.
331,722
433
Albany International Corp.,
Class A
34,532
1,254
Atmus Filtration Technologies,
Inc. (a)
37,983
1,089
Barnes Group, Inc.
37,810
1,848
Columbus McKinnon Corp.
76,267
1,030
Deere & Co.
403,152
796
Dover Corp.
142,723
905
Helios Technologies, Inc.
40,815
804
Hillenbrand, Inc.
38,367
1,965
John Bean Technologies Corp.
175,062
4,866
Kennametal, Inc.
114,497
701
Lindsay Corp.
81,421
444
Middleby (The) Corp. (a)
61,703
5,301
Mueller Industries, Inc.
295,902
2,514
Mueller Water Products, Inc.,
Class A
39,822
1,719
Oshkosh Corp.
192,992
9,333
REV Group, Inc.
204,019
1,429
Snap-on, Inc.
382,915
4,439
Terex Corp.
248,806
1,635
Timken (The) Co.
145,875
 
 
3,086,385
 
Marine Transportation —
0.3%
 
1,499
Kirby Corp. (a)
163,586
3,179
Matson, Inc.
342,632
 
 
506,218
 
Media — 2.1%
 
9,343
Advantage Solutions, Inc. (a)
39,801
15,499
Altice USA, Inc., Class A (a)
29,913
487
Cable One, Inc.
191,805
Shares
Description
Value
 
 
Media (Continued)
 
997
Charter Communications, Inc.,
Class A (a)
$255,172
16,709
Comcast Corp., Class A
636,780
9,266
Fox Corp., Class A
287,339
12,969
Interpublic Group of (The) Cos.,
Inc.
394,776
4,995
Liberty Broadband Corp.,
Class C (a)
248,401
16,164
News Corp., Class A
384,703
1,244
Nexstar Media Group, Inc.
199,115
1,458
Omnicom Group, Inc.
135,361
5,467
Scholastic Corp.
194,735
13,799
TEGNA, Inc.
188,218
 
 
3,186,119
 
Metals & Mining — 1.8%
 
1,282
Arch Resources, Inc.
203,556
9,429
Cleveland-Cliffs, Inc. (a)
159,350
6,080
Commercial Metals Co.
326,739
923
Kaiser Aluminum Corp.
83,522
3,660
Nucor Corp.
616,820
1,734
Reliance, Inc.
493,705
6,154
Ryerson Holding Corp.
175,697
4,887
Steel Dynamics, Inc.
635,896
 
 
2,695,285
 
Mortgage REITs — 0.8%
 
7,219
AGNC Investment Corp.
66,054
3,631
Apollo Commercial Real Estate
Finance, Inc.
34,966
15,559
Arbor Realty Trust, Inc. (b)
199,622
7,179
Blackstone Mortgage Trust, Inc.,
Class A (b)
126,638
35,776
Chimera Investment Corp.
147,397
4,145
Claros Mortgage Trust, Inc.
36,061
10,636
MFA Financial, Inc.
112,635
22,580
Ready Capital Corp.
192,382
25,616
Rithm Capital Corp.
284,850
 
 
1,200,605
 
Multi-Utilities — 3.5%
 
7,835
Ameren Corp.
578,772
5,887
Avista Corp.
211,814
5,236
Black Hills Corp.
287,456
14,853
CenterPoint Energy, Inc.
432,816
4,802
CMS Energy Corp.
291,049
7,976
Consolidated Edison, Inc.
752,934
8,603
Dominion Energy, Inc.
438,581
5,167
DTE Energy Co.
570,024
7,751
NiSource, Inc.
215,943
3,238
Northwestern Energy Group,
Inc.
163,325
8,677
Public Service Enterprise Group,
Inc.
599,407

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Multi-Utilities (Continued)
 
8,067
Sempra
$577,839
3,528
WEC Energy Group, Inc.
291,554
 
 
5,411,514
 
Office REITs — 1.0%
 
1,094
Alexandria Real Estate Equities,
Inc.
126,762
1,094
Boston Properties, Inc.
67,708
8,919
Cousins Properties, Inc.
204,602
5,945
Douglas Emmett, Inc.
81,506
7,164
Easterly Government Properties,
Inc.
83,747
6,428
Equity Commonwealth (a)
120,332
7,875
Highwoods Properties, Inc.
206,325
25,570
Hudson Pacific Properties, Inc.
148,306
5,138
JBG SMITH Properties
77,121
7,847
Kilroy Realty Corp.
265,229
8,625
Paramount Group, Inc.
40,020
2,484
Vornado Realty Trust
64,658
 
 
1,486,316
 
Oil, Gas & Consumable Fuels
— 11.6%
 
7,393
Antero Resources Corp. (a)
251,436
10,394
APA Corp.
326,787
3,742
California Resources Corp.
197,802
4,491
Cheniere Energy, Inc.
708,770
4,023
Chesapeake Energy Corp. (b)
361,587
4,592
Chevron Corp.
740,552
2,005
Chord Energy Corp.
354,845
8,691
CNX Resources Corp. (a)
204,412
22,215
Comstock Resources, Inc.
223,483
5,691
ConocoPhillips
714,904
25,981
Coterra Energy, Inc.
710,840
8,017
CVR Energy, Inc.
243,557
1,316
Delek US Holdings, Inc.
35,966
14,435
Devon Energy Corp.
738,783
3,655
Diamondback Energy, Inc.
735,130
3,509
DT Midstream, Inc.
218,260
5,666
EOG Resources, Inc.
748,649
19,540
EQT Corp.
783,359
6,231
Exxon Mobil Corp.
736,940
5,919
HF Sinclair Corp.
321,106
31,596
Kinder Morgan, Inc.
577,575
27,672
Kosmos Energy Ltd. (a)
156,900
11,016
Magnolia Oil & Gas Corp.,
Class A
276,171
25,559
Marathon Oil Corp.
686,259
3,595
Marathon Petroleum Corp.
653,284
5,352
Matador Resources Co.
333,430
7,819
Murphy Oil Corp.
349,040
9,006
Northern Oil & Gas, Inc.
367,355
Shares
Description
Value
 
 
Oil, Gas & Consumable Fuels
(Continued)
 
11,145
Occidental Petroleum Corp.
$737,130
5,278
ONEOK, Inc.
417,595
6,885
Ovintiv, Inc.
353,338
5,563
Par Pacific Holdings, Inc. (a)
171,340
6,207
PBF Energy, Inc., Class A
330,647
14,730
Peabody Energy Corp.
323,176
4,434
Phillips 66
634,993
10,379
Range Resources Corp.
372,710
7,168
SM Energy Co.
347,576
14,799
Talos Energy, Inc. (a)
195,051
4,244
Valero Energy Corp.
678,488
3,924
Vital Energy, Inc. (a)
208,051
4,588
World Kinect Corp.
107,818
 
 
17,635,095
 
Paper & Forest Products —
0.2%
 
852
Louisiana-Pacific Corp.
62,358
2,671
Sylvamo Corp.
166,937
 
 
229,295
 
Passenger Airlines — 1.1%
 
4,987
Alaska Air Group, Inc. (a)
214,541
2,741
Allegiant Travel Co.
149,549
16,356
JetBlue Airways Corp. (a)
92,902
14,497
Southwest Airlines Co.
376,052
15,128
United Airlines Holdings,
Inc. (a)
778,487
 
 
1,611,531
 
Personal Care Products —
0.2%
 
3,141
Edgewell Personal Care Co.
118,164
12,076
Herbalife Ltd. (a)
104,457
63,209
Olaplex Holdings, Inc. (a)
87,861
 
 
310,482
 
Pharmaceuticals — 1.4%
 
10,685
Bristol-Myers Squibb Co.
469,499
13,527
Innoviva, Inc. (a)
204,393
1,780
Jazz Pharmaceuticals PLC (a)
197,135
892
Johnson & Johnson
128,974
1,128
Ligand Pharmaceuticals, Inc. (a)
78,836
11,404
Organon & Co.
212,228
2,822
Pacira BioSciences, Inc. (a)
74,078
4,440
Perrigo Co. PLC
145,010
5,083
Pfizer, Inc.
130,227
48,532
Viatris, Inc.
561,515
 
 
2,201,895
 
Professional Services — 1.1%
 
1,364
ASGN, Inc. (a)
131,558
189
CACI International, Inc.,
Class A (a)
76,021

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Professional Services
(Continued)
 
5,396
Concentrix Corp.
$294,999
785
CSG Systems International, Inc.
37,083
14,237
Dun & Bradstreet Holdings, Inc.
129,557
8,676
Genpact Ltd.
266,700
918
Jacobs Solutions, Inc.
131,761
574
Kforce, Inc.
35,450
615
Korn Ferry
37,343
852
Maximus, Inc.
68,399
413
NV5 Global, Inc. (a)
38,508
901
Robert Half, Inc.
62,295
1,096
Science Applications
International Corp.
141,055
4,501
SS&C Technologies Holdings,
Inc.
278,567
 
 
1,729,296
 
Real Estate Management &
Development — 0.1%
 
366
Jones Lang LaSalle, Inc. (a)
66,136
7,418
Newmark Group, Inc., Class A
70,990
 
 
137,126
 
Residential REITs — 0.7%
 
11,005
Apartment Income REIT Corp.
422,372
6,705
Equity Residential
431,802
2,202
Mid-America Apartment
Communities, Inc.
286,260
 
 
1,140,434
 
Retail REITs — 0.4%
 
3,015
Getty Realty Corp.
81,707
29,550
Kimco Realty Corp.
550,516
 
 
632,223
 
Semiconductors &
Semiconductor Equipment
— 0.9%
 
6,650
Amkor Technology, Inc.
215,128
772
Cirrus Logic, Inc. (a)
68,376
1,214
Cohu, Inc. (a)
36,808
2,339
Diodes, Inc. (a)
170,770
3,193
Intel Corp.
97,291
833
QUALCOMM, Inc.
138,153
5,350
Skyworks Solutions, Inc.
570,257
 
 
1,296,783
 
Software — 0.2%
 
11,114
Adeia, Inc.
109,362
4,432
Zoom Video Communications,
Inc., Class A (a)
270,795
 
 
380,157
Shares
Description
Value
 
 
Specialized REITs — 0.2%
 
4,300
Rayonier, Inc.
$127,538
3,928
Weyerhaeuser Co.
118,508
 
 
246,046
 
Specialty Retail — 2.8%
 
4,233
Academy Sports & Outdoors,
Inc.
246,784
2,771
American Eagle Outfitters, Inc.
67,224
1,516
Asbury Automotive Group,
Inc. (a)
318,724
1,727
AutoNation, Inc. (a)
278,306
2,858
Bath & Body Works, Inc.
129,810
5,159
Best Buy Co., Inc.
379,909
867
Boot Barn Holdings, Inc. (a)
92,310
3,014
Buckle (The), Inc.
112,693
318
Dick’s Sporting Goods, Inc.
63,899
2,594
Gap (The), Inc.
53,229
1,223
Group 1 Automotive, Inc.
359,587
5,241
Guess?, Inc.
140,354
1,188
Lithia Motors, Inc.
302,203
1,137
Lowe’s Cos., Inc.
259,225
3,109
ODP (The) Corp. (a)
158,279
1,324
Penske Automotive Group, Inc.
202,453
13,279
Sally Beauty Holdings, Inc. (a)
144,077
3,571
Signet Jewelers Ltd.
350,065
2,897
Sonic Automotive, Inc., Class A
167,563
539
Tractor Supply Co.
147,190
6,584
Urban Outfitters, Inc. (a)
256,513
6,262
Victoria’s Secret & Co. (a)
110,336
 
 
4,340,733
 
Technology Hardware, Storage
& Peripherals — 0.9%
 
5,986
Diebold Nixdorf, Inc. (a)
189,517
40,854
Hewlett Packard Enterprise Co.
694,518
14,003
HP, Inc.
393,344
6,780
Xerox Holdings Corp.
90,106
 
 
1,367,485
 
Textiles, Apparel & Luxury
Goods — 0.8%
 
974
Carter’s, Inc.
66,631
1,761
Columbia Sportswear Co.
140,228
994
Crocs, Inc. (a)
123,624
1,501
NIKE, Inc., Class B
138,482
360
Oxford Industries, Inc.
38,801
1,525
PVH Corp.
165,920
2,333
Skechers U.S.A., Inc.,
Class A (a)
154,095
957
Steven Madden Ltd.
38,672
4,516
Tapestry, Inc.
180,279
27,935
Under Armour, Inc., Class A (a)
188,003
 
 
1,234,735

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Tobacco — 0.1%
 
3,986
Universal Corp.
$205,000
 
Trading Companies &
Distributors — 1.1%
 
6,947
Air Lease Corp.
349,017
1,458
Beacon Roofing Supply, Inc. (a)
143,657
633
BlueLinx Holdings, Inc. (a)
69,421
1,398
Boise Cascade Co.
184,913
28,338
Custom Truck One Source,
Inc. (a)
141,407
13,563
DNOW, Inc. (a)
191,374
2,203
GMS, Inc. (a)
203,821
5,341
Rush Enterprises, Inc., Class A
234,577
1,252
WESCO International, Inc.
191,243
 
 
1,709,430
 
Water Utilities — 0.3%
 
1,154
American Water Works Co., Inc.
141,157
3,858
Essential Utilities, Inc.
141,126
2,145
SJW Group
116,795
 
 
399,078
 
Wireless Telecommunication
Services — 0.2%
 
13,822
Gogo, Inc. (a)
125,228
5,648
United States Cellular Corp. (a)
205,361
 
 
330,589
 
Total Common Stocks
152,418,925
 
(Cost $147,065,797)
 
MONEY MARKET FUNDS — 0.8%
985,639
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (d) (e)
985,639
197,527
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
5.15% (d)
197,527
 
Total Money Market Funds
1,183,166
 
(Cost $1,183,166)
 
 
 
 
Total Investments — 100.6%
153,602,091
 
(Cost $148,248,963)
 
 
Net Other Assets and
Liabilities — (0.6)%
(973,169
)
 
Net Assets — 100.0%
$152,628,922
(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, including those sold
and pending settlement, is $941,716 and the total value of the
collateral held by the Fund is $985,639.
(c)
Non-income producing security which makes payment-in-
kind (“PIK”) distributions. For the fiscal year-to-
date period (August 1, 2023 to April 30, 2024), the Fund
received 684 PIK shares of Central Garden & Pet Co.,
Class A. 
(d)
Rate shown reflects yield as of April 30, 2024.
(e)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$152,418,925
$152,418,925
$
$
Money Market
Funds
1,183,166
1,183,166
Total Investments
$153,602,091
$153,602,091
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
 
Aerospace & Defense — 3.4%
 
2,232
AeroVironment, Inc. (a)
$356,651
2,217
Axon Enterprise, Inc. (a)
695,384
875
Boeing (The) Co. (a)
146,860
3,334
BWX Technologies, Inc.
319,297
5,453
Cadre Holdings, Inc.
181,858
1,337
Curtiss-Wright Corp.
338,823
4,939
General Electric Co.
799,229
1,816
HEICO Corp.
376,638
2,348
Hexcel Corp.
150,765
12,668
Howmet Aerospace, Inc.
845,589
7,902
Kratos Defense & Security
Solutions, Inc. (a)
140,814
2,143
Moog, Inc., Class A
340,887
6,840
Spirit AeroSystems Holdings,
Inc., Class A (a)
218,880
563
TransDigm Group, Inc.
702,641
9,657
Triumph Group, Inc. (a)
129,017
2,220
Woodward, Inc.
360,439
 
 
6,103,772
 
Automobile Components —
0.5%
 
14,612
Garrett Motion, Inc. (a)
139,691
7,104
Gentex Corp.
243,667
4,493
Modine Manufacturing Co. (a)
416,187
412
Visteon Corp. (a)
45,579
896
XPEL, Inc. (a) (b)
47,085
 
 
892,209
 
Automobiles — 0.1%
 
15,417
Rivian Automotive, Inc.,
Class A (a)
137,211
 
Banks — 1.7%
 
6,489
Banc of California, Inc.
88,834
1,121
BancFirst Corp.
99,960
2,949
Bancorp (The), Inc. (a)
88,293
947
City Holding Co.
95,666
2,279
Cullen/Frost Bankers, Inc.
237,791
530
First Citizens BancShares, Inc.,
Class A
893,983
4,328
JPMorgan Chase & Co.
829,851
2,190
Lakeland Financial Corp.
128,706
3,867
ServisFirst Bancshares, Inc.
227,998
5,962
Stellar Bancorp, Inc.
132,356
2,018
Stock Yards Bancorp, Inc.
89,902
2,019
Westamerica BanCorp
93,985
 
 
3,007,325
 
Beverages — 0.6%
 
5,158
Celsius Holdings, Inc. (a)
367,611
303
Coca-Cola Consolidated, Inc.
250,278
621
Constellation Brands, Inc.,
Class A
157,399
Shares
Description
Value
 
 
Beverages (Continued)
 
2,848
Monster Beverage Corp. (a)
$152,225
4,040
Vita Coco (The) Co., Inc. (a)
97,929
 
 
1,025,442
 
Biotechnology — 3.9%
 
37,383
ADMA Biologics, Inc. (a)
243,737
6,751
Agios Pharmaceuticals, Inc. (a)
219,407
6,319
Alkermes PLC (a)
155,068
6,224
Alpine Immune Sciences,
Inc. (a)
402,008
2,910
Apellis Pharmaceuticals, Inc. (a)
128,593
33,798
Ardelyx, Inc. (a)
216,307
5,974
Beam Therapeutics, Inc. (a)
126,768
3,607
Blueprint Medicines Corp. (a)
329,463
9,112
Catalyst Pharmaceuticals,
Inc. (a)
137,136
4,703
Celldex Therapeutics, Inc. (a)
175,986
3,103
Crinetics Pharmaceuticals,
Inc. (a)
135,973
1,220
Cytokinetics, Inc. (a)
74,810
3,078
Deciphera Pharmaceuticals,
Inc. (a)
77,781
2,359
Denali Therapeutics, Inc. (a)
36,423
1,239
Exact Sciences Corp. (a)
73,535
7,209
Exelixis, Inc. (a)
169,123
44,013
Geron Corp. (a)
172,971
4,205
Halozyme Therapeutics, Inc. (a)
160,210
3,310
Ideaya Biosciences, Inc. (a)
134,552
45,946
ImmunityBio, Inc. (a) (c)
367,109
3,153
Insmed, Inc. (a)
77,942
1,973
Ionis Pharmaceuticals, Inc. (a)
81,406
6,138
Kymera Therapeutics, Inc. (a)
206,360
4,383
Merus N.V. (a)
196,841
1,927
Mirum Pharmaceuticals, Inc. (a)
48,387
1,375
Morphic Holding, Inc. (a)
37,496
4,629
Myriad Genetics, Inc. (a)
90,590
4,676
Natera, Inc. (a)
434,307
2,514
Neurocrine Biosciences, Inc. (a)
345,776
6,823
Protagonist Therapeutics, Inc. (a)
171,326
4,993
PTC Therapeutics, Inc. (a)
160,525
4,856
Recursion Pharmaceuticals, Inc.,
Class A (a)
37,974
2,654
REVOLUTION Medicines,
Inc. (a)
98,941
4,555
Rhythm Pharmaceuticals, Inc. (a)
181,107
8,115
Roivant Sciences Ltd. (a)
88,454
1,321
Sarepta Therapeutics, Inc. (a)
167,318
5,557
Scholar Rock Holding Corp. (a)
81,521
47,677
Summit Therapeutics, Inc. (a) (c)
187,371
6,098
Tango Therapeutics, Inc. (a)
46,955
9,549
TG Therapeutics, Inc. (a)
130,439
5,753
Twist Bioscience Corp. (a)
179,666

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Biotechnology (Continued)
 
1,832
Ultragenyx Pharmaceutical,
Inc. (a)
$77,933
2,185
Veracyte, Inc. (a)
42,760
4,743
Vericel Corp. (a)
217,561
404
Vertex Pharmaceuticals, Inc. (a)
158,695
 
 
7,084,611
 
Broadline Retail — 0.7%
 
4,806
Amazon.com, Inc. (a)
841,050
9,738
Nordstrom, Inc.
185,119
3,225
Ollie’s Bargain Outlet Holdings,
Inc. (a)
235,877
 
 
1,262,046
 
Building Products — 4.2%
 
2,868
A.O. Smith Corp.
237,585
3,883
AAON, Inc.
365,352
1,986
Advanced Drainage Systems,
Inc.
311,802
1,905
Allegion PLC
231,572
1,942
American Woodmark Corp. (a)
178,819
3,443
Armstrong World Industries, Inc.
395,532
8,516
AZEK (The) Co., Inc. (a)
388,670
3,191
AZZ, Inc.
228,571
4,157
Builders FirstSource, Inc. (a)
759,983
1,770
Carlisle Cos., Inc.
687,203
841
CSW Industrials, Inc.
199,838
1,804
Gibraltar Industries, Inc. (a)
128,914
3,364
Griffon Corp.
220,409
13,046
Janus International Group,
Inc. (a)
187,993
1,419
Lennox International, Inc.
657,593
8,792
Masco Corp.
601,812
1,251
Simpson Manufacturing Co., Inc.
217,536
3,794
Tecnoglass, Inc.
210,757
2,888
Trane Technologies PLC
916,478
2,572
Trex Co., Inc. (a)
227,751
10,222
Zurn Elkay Water Solutions
Corp.
319,744
 
 
7,673,914
 
Capital Markets — 3.3%
 
3,808
Ares Management Corp.,
Class A
506,807
5,574
AssetMark Financial Holdings,
Inc. (a)
188,457
12,036
Bank of New York Mellon (The)
Corp.
679,914
18,141
Blue Owl Capital, Inc.
342,683
919
Cboe Global Markets, Inc.
166,477
1,112
Cohen & Steers, Inc.
76,483
8,734
Golub Capital BDC, Inc. (c)
151,710
759
Hamilton Lane, Inc., Class A
84,795
Shares
Description
Value
 
 
Capital Markets (Continued)
 
3,063
Interactive Brokers Group, Inc.,
Class A
$352,613
8,619
KKR & Co., Inc.
802,170
2,625
LPL Financial Holdings, Inc.
706,466
430
Moody’s Corp.
159,242
832
Morningstar, Inc.
235,165
5,696
Northern Trust Corp.
469,293
1,541
PJT Partners, Inc., Class A
145,609
21,245
Robinhood Markets, Inc.,
Class A (a)
350,330
397
S&P Global, Inc.
165,085
3,249
TPG, Inc.
140,032
1,642
Tradeweb Markets, Inc., Class A
167,008
21,478
WisdomTree, Inc.
191,154
 
 
6,081,493
 
Chemicals — 1.8%
 
1,282
Albemarle Corp.
154,237
7,461
Axalta Coating Systems Ltd. (a)
234,574
552
Balchem Corp.
78,042
2,783
Cabot Corp.
253,893
2,193
Ecolab, Inc.
495,947
2,570
Hawkins, Inc.
194,729
1,126
Innospec, Inc.
135,120
747
Linde PLC
329,397
539
NewMarket Corp.
284,010
2,915
RPM International, Inc.
311,643
2,646
Scotts Miracle-Gro (The) Co.
181,357
1,997
Sherwin-Williams (The) Co.
598,321
 
 
3,251,270
 
Commercial Services &
Supplies — 2.6%
 
7,738
ACV Auctions, Inc., Class A (a)
135,028
1,665
Brady Corp., Class A
98,235
3,703
Brink’s (The) Co.
323,864
1,730
Casella Waste Systems, Inc.,
Class A (a)
156,392
2,788
Cimpress PLC (a)
237,733
737
Cintas Corp.
485,197
1,700
Clean Harbors, Inc. (a)
322,065
8,744
Copart, Inc. (a)
474,887
9,198
Driven Brands Holdings, Inc. (a)
131,807
1,767
MSA Safety, Inc.
318,767
3,623
Republic Services, Inc.
694,529
7,494
Rollins, Inc.
333,933
11,104
Steelcase, Inc., Class A
133,581
1,852
Tetra Tech, Inc.
360,621
2,376
Waste Management, Inc.
494,255
 
 
4,700,894
 
Communications Equipment
— 0.8%
 
2,990
Arista Networks, Inc. (a)
767,114

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Communications Equipment
(Continued)
 
902
F5, Inc. (a)
$149,110
7,343
Harmonic, Inc. (a)
78,864
1,427
Motorola Solutions, Inc.
483,967
 
 
1,479,055
 
Construction & Engineering
— 2.2%
 
10,890
API Group Corp. (a)
420,027
2,989
Arcosa, Inc.
227,224
1,346
Comfort Systems USA, Inc.
416,466
4,394
Construction Partners, Inc.,
Class A (a)
226,906
1,719
Dycom Industries, Inc. (a)
240,694
1,221
EMCOR Group, Inc.
436,105
4,319
Granite Construction, Inc.
239,705
2,028
IES Holdings, Inc. (a)
274,023
1,396
MYR Group, Inc. (a)
232,085
3,337
Quanta Services, Inc.
862,815
2,237
Sterling Infrastructure, Inc. (a)
227,279
3,679
WillScot Mobile Mini Holdings
Corp. (a)
135,976
 
 
3,939,305
 
Construction Materials —
1.2%
 
1,574
Eagle Materials, Inc.
394,617
1,412
Martin Marietta Materials, Inc.
828,943
828
United States Lime & Minerals,
Inc.
256,680
2,541
Vulcan Materials Co.
654,638
 
 
2,134,878
 
Consumer Finance — 0.3%
 
2,683
FirstCash Holdings, Inc.
303,125
23,434
SoFi Technologies, Inc. (a)
158,883
 
 
462,008
 
Consumer Staples Distribution
& Retail — 0.9%
 
806
Casey’s General Stores, Inc.
257,582
947
Costco Wholesale Corp.
684,586
3,438
Performance Food Group Co. (a)
233,371
6,633
Sprouts Farmers Market, Inc. (a)
437,977
 
 
1,613,516
 
Containers & Packaging —
0.3%
 
1,783
AptarGroup, Inc.
257,429
8,794
Graphic Packaging Holding Co.
227,325
 
 
484,754
Shares
Description
Value
 
 
Diversified Consumer Services
— 1.0%
 
2,826
Adtalem Global Education,
Inc. (a)
$140,226
3,773
Bright Horizons Family
Solutions, Inc. (a)
391,298
1,163
Duolingo, Inc. (a)
262,547
3,029
Frontdoor, Inc. (a)
92,960
1,256
Grand Canyon Education,
Inc. (a)
163,305
1,742
H&R Block, Inc.
82,275
13,547
Laureate Education, Inc.
196,432
12,734
Mister Car Wash, Inc. (a)
85,190
10,978
OneSpaWorld Holdings Ltd. (a)
139,640
3,131
Stride, Inc. (a)
208,994
8,988
Udemy, Inc. (a)
90,060
 
 
1,852,927
 
Diversified REITs — 0.1%
 
14,338
Empire State Realty Trust, Inc.,
Class A
130,476
3,208
Essential Properties Realty Trust,
Inc.
84,498
 
 
214,974
 
Diversified Telecommunication
Services — 0.1%
 
2,618
Cogent Communications
Holdings, Inc.
168,023
67,137
Globalstar, Inc. (a)
86,607
 
 
254,630
 
Electric Utilities — 0.6%
 
4,690
Constellation Energy Corp.
872,058
615
MGE Energy, Inc.
48,167
990
Otter Tail Corp.
84,506
6,132
PPL Corp.
168,385
 
 
1,173,116
 
Electrical Equipment — 2.1%
 
1,896
AMETEK, Inc.
331,155
2,772
Eaton Corp. PLC
882,217
2,792
Fluence Energy, Inc. (a)
49,809
1,671
Hubbell, Inc.
619,139
7,600
NEXTracker, Inc., Class A (a)
325,204
1,734
Powell Industries, Inc.
247,962
579
Rockwell Automation, Inc.
156,886
4,439
Thermon Group Holdings,
Inc. (a)
141,737
10,615
Vertiv Holdings Co., Class A
987,195
 
 
3,741,304
 
Electronic Equipment,
Instruments & Components
— 1.1%
 
4,391
Amphenol Corp., Class A
530,301
1,057
Badger Meter, Inc.
193,346

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Electronic Equipment,
Instruments & Components
(Continued)
 
2,667
Itron, Inc. (a)
$245,684
17,360
Mirion Technologies, Inc. (a)
188,703
3,617
Napco Security Technologies,
Inc.
147,212
1,382
OSI Systems, Inc. (a)
181,650
3,202
PAR Technology Corp. (a)
135,381
7,543
Vontier Corp.
306,472
 
 
1,928,749
 
Energy Equipment & Services
— 1.2%
 
12,543
Archrock, Inc.
240,700
2,900
Cactus, Inc., Class A
143,956
7,150
ChampionX Corp.
240,025
10,648
Diamond Offshore Drilling,
Inc. (a)
130,332
18,209
Helix Energy Solutions Group,
Inc. (a)
195,565
12,751
RPC, Inc.
85,304
6,327
Schlumberger N.V.
300,406
4,649
Tidewater, Inc. (a)
427,011
3,705
Weatherford
International PLC (a)
458,012
 
 
2,221,311
 
Entertainment — 1.1%
 
10,984
Cinemark Holdings, Inc. (a)
188,266
8,196
Live Nation Entertainment,
Inc. (a)
728,707
1,142
Netflix, Inc. (a)
628,831
4,422
ROBLOX Corp., Class A (a)
157,246
1,137
Take-Two Interactive Software,
Inc. (a)
162,375
990
TKO Group Holdings, Inc.
93,723
2,590
Warner Music Group Corp.,
Class A
85,470
 
 
2,044,618
 
Financial Services — 2.8%
 
9,182
Affirm Holdings, Inc. (a)
292,722
7,709
Apollo Global Management, Inc.
835,501
15,010
AvidXchange Holdings, Inc. (a)
175,017
1,641
Corpay, Inc. (a)
495,812
3,112
Euronet Worldwide, Inc. (a)
319,540
2,474
EVERTEC, Inc.
92,849
1,002
Federal Agricultural Mortgage
Corp., Class C
186,502
4,339
Fiserv, Inc. (a)
662,435
1,951
Flywire Corp. (a)
39,996
492
Jack Henry & Associates, Inc.
80,044
720
Mastercard, Inc., Class A
324,864
Shares
Description
Value
 
 
Financial Services (Continued)
 
5,714
Merchants Bancorp
$230,446
9,962
Payoneer Global, Inc. (a)
49,212
7,003
Remitly Global, Inc. (a)
124,864
6,783
Rocket Cos., Inc., Class A (a)
83,295
2,589
Shift4 Payments, Inc.,
Class A (a)
149,800
17,161
Toast, Inc., Class A (a)
405,514
605
Visa, Inc., Class A
162,509
1,440
WEX, Inc. (a)
304,214
 
 
5,015,136
 
Food Products — 0.8%
 
3,691
Freshpet, Inc. (a)
391,504
2,196
Ingredion, Inc.
251,640
335
J & J Snack Foods Corp.
45,992
3,255
Lamb Weston Holdings, Inc.
271,272
3,219
Post Holdings, Inc. (a)
341,697
3,081
Tootsie Roll Industries, Inc.
91,536
 
 
1,393,641
 
Ground Transportation —
1.0%
 
4,554
CSX Corp.
151,284
22,102
Lyft, Inc., Class A (a)
345,675
585
Saia, Inc. (a)
232,146
11,260
Uber Technologies, Inc. (a)
746,200
3,504
XPO, Inc. (a)
376,540
 
 
1,851,845
 
Health Care Equipment &
Supplies — 3.2%
 
7,394
Boston Scientific Corp. (a)
531,407
3,651
Dexcom, Inc. (a)
465,101
5,300
Edwards Lifesciences Corp. (a)
448,751
2,721
Glaukos Corp. (a)
261,216
1,002
Haemonetics Corp. (a)
92,134
796
Inspire Medical Systems, Inc. (a)
192,361
3,665
Integer Holdings Corp. (a)
409,124
1,269
Intuitive Surgical, Inc. (a)
470,317
1,475
iRhythm Technologies, Inc. (a)
161,631
1,374
Lantheus Holdings, Inc. (a)
91,426
2,189
LeMaitre Vascular, Inc.
141,847
1,129
Merit Medical Systems, Inc. (a)
83,659
4,993
PROCEPT BioRobotics
Corp. (a)
264,529
1,751
ResMed, Inc.
374,696
4,784
RxSight, Inc. (a)
249,390
1,313
Shockwave Medical, Inc. (a)
433,539
751
STERIS PLC
153,625
1,415
Stryker Corp.
476,148
4,102
Tandem Diabetes Care, Inc. (a)
150,502
1,335
TransMedics Group, Inc. (a)
125,664
978
UFP Technologies, Inc. (a)
201,409
 
 
5,778,476

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Health Care Providers &
Services — 1.5%
 
7,937
agilon health, Inc. (a)
$43,653
9,761
Alignment Healthcare, Inc. (a)
50,269
37,327
Brookdale Senior Living, Inc. (a)
253,450
267
Chemed Corp.
151,656
976
CorVel Corp. (a)
233,118
3,098
DaVita, Inc. (a)
430,653
2,750
Ensign Group (The), Inc.
325,490
3,143
HealthEquity, Inc. (a)
248,014
15,949
Hims & Hers Health, Inc. (a)
199,841
7,847
LifeStance Health Group,
Inc. (a)
48,494
6,278
NeoGenomics, Inc. (a)
87,390
5,100
Option Care Health, Inc. (a)
152,439
2,471
Privia Health Group, Inc. (a)
45,466
6,726
Progyny, Inc. (a)
215,636
5,070
RadNet, Inc. (a)
245,895
2,867
Surgery Partners Inc. (a)
71,532
 
 
2,802,996
 
Health Care REITs — 0.2%
 
1,987
CareTrust REIT, Inc.
49,119
2,312
National Health Investors, Inc.
145,795
6,682
Sabra Health Care REIT, Inc.
93,013
 
 
287,927
 
Health Care Technology —
0.3%
 
2,708
Certara, Inc. (a)
46,334
1,799
Doximity, Inc., Class A (a)
43,698
7,826
Evolent Health, Inc., Class A (a)
217,093
4,124
Phreesia, Inc. (a)
85,532
729
Veeva Systems, Inc., Class A (a)
144,750
 
 
537,407
 
Hotel & Resort REITs — 0.7%
 
5,222
Apple Hospitality REIT, Inc.
77,077
15,114
DiamondRock Hospitality Co.
134,515
24,490
Host Hotels & Resorts, Inc.
462,126
14,107
Park Hotels & Resorts, Inc.
227,546
6,404
Pebblebrook Hotel Trust
93,050
2,220
Ryman Hospitality Properties,
Inc.
234,165
13,038
Sunstone Hotel Investors, Inc.
132,988
 
 
1,361,467
 
Hotels, Restaurants & Leisure
— 7.7%
 
3,070
Airbnb, Inc., Class A (a)
486,810
10,521
Aramark
331,517
140
Booking Holdings, Inc.
483,284
14,407
Bowlero Corp., Class A (c)
169,282
42,442
Carnival Corp. (a)
628,991
Shares
Description
Value
 
 
Hotels, Restaurants & Leisure
(Continued)
 
298
Chipotle Mexican Grill, Inc. (a)
$941,561
1,354
Choice Hotels International,
Inc. (c)
160,124
1,382
Churchill Downs, Inc.
178,278
2,075
Darden Restaurants, Inc.
318,326
3,941
Dave & Buster’s Entertainment,
Inc. (a)
210,449
1,019
Domino’s Pizza, Inc.
539,326
6,295
DoorDash, Inc., Class A (a)
813,692
19,090
DraftKings, Inc., Class A (a)
793,380
2,991
Dutch Bros, Inc., Class A (a)
84,227
5,034
Expedia Group, Inc. (a)
677,727
10,022
First Watch Restaurant Group,
Inc. (a)
255,761
4,064
Hilton Worldwide Holdings, Inc.
801,746
2,679
Hyatt Hotels Corp., Class A
398,608
707
Jack in the Box, Inc.
40,349
2,143
Kura Sushi USA, Inc.,
Class A (a)
235,901
6,707
Las Vegas Sands Corp.
297,523
4,189
Light & Wonder, Inc. (a)
373,910
2,749
Marriott International, Inc.,
Class A
649,121
14,690
MGM Resorts International (a)
579,374
20,433
Norwegian Cruise Line Holdings
Ltd. (a)
386,592
727
Papa John’s International, Inc.
44,849
1,366
Planet Fitness, Inc., Class A (a)
81,741
2,428
Red Rock Resorts, Inc., Class A
128,975
6,236
Royal Caribbean Cruises Ltd. (a)
870,733
2,372
Shake Shack, Inc., Class A (a)
251,076
9,768
Sweetgreen, Inc., Class A (a)
219,487
2,769
Texas Roadhouse, Inc.
445,200
5,039
Travel + Leisure Co.
219,398
1,756
United Parks & Resorts, Inc. (a)
89,240
384
Vail Resorts, Inc.
72,718
4,540
Wendy’s (The) Co.
90,755
1,167
Wingstop, Inc.
449,050
2,510
Wynn Resorts Ltd.
230,042
 
 
14,029,123
 
Household Durables — 2.0%
 
5,642
Dream Finders Homes, Inc.,
Class A (a)
200,291
3,402
Garmin Ltd.
491,487
4,096
Green Brick Partners, Inc. (a)
221,716
1,653
Installed Building Products, Inc.
389,662
63
NVR, Inc. (a)
468,648
7,187
PulteGroup, Inc.
800,775
4,516
Tempur Sealy International, Inc.
226,071

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Household Durables
(Continued)
 
3,306
Toll Brothers, Inc.
$393,778
970
TopBuild Corp. (a)
392,530
 
 
3,584,958
 
Household Products — 0.7%
 
3,324
Church & Dwight Co., Inc.
358,626
5,624
Colgate-Palmolive Co.
516,958
1,040
Procter & Gamble (The) Co.
169,728
675
WD-40 Co.
152,638
 
 
1,197,950
 
Independent Power and
Renewable Electricity
Producers — 0.6%
 
4,770
AES (The) Corp.
85,383
12,446
Vistra Corp.
943,905
 
 
1,029,288
 
Industrial REITs — 0.1%
 
476
EastGroup Properties, Inc.
73,952
1,403
Innovative Industrial Properties,
Inc.
145,070
 
 
219,022
 
Insurance — 2.5%
 
506
Aon PLC, Class A
142,697
1,387
Arthur J. Gallagher & Co.
325,515
7,922
Brown & Brown, Inc.
645,960
6,820
BRP Group, Inc., Class A (a)
181,685
1,727
Erie Indemnity Co., Class A
660,854
727
Goosehead Insurance, Inc.,
Class A (a)
41,373
815
Kinsale Capital Group, Inc.
296,049
12,028
Lemonade, Inc. (a) (c)
207,242
1,683
Marsh & McLennan Cos., Inc.
335,641
16,592
Oscar Health, Inc., Class A (a)
288,203
2,943
Palomar Holdings, Inc. (a)
231,526
1,353
Primerica, Inc.
286,647
1,728
RLI Corp.
244,253
4,623
Ryan Specialty Holdings, Inc.
228,099
19,412
SiriusPoint Ltd. (a)
228,673
6,595
Skyward Specialty Insurance
Group, Inc. (a)
230,297
 
 
4,574,714
 
Interactive Media & Services
— 1.0%
 
2,297
Alphabet, Inc., Class A (a)
373,905
4,276
Cargurus, Inc. (a)
96,039
2,818
Cars.com, Inc. (a)
47,089
11,666
Getty Images Holdings,
Inc. (a) (c)
42,931
2,357
Match Group, Inc. (a)
72,643
Shares
Description
Value
 
 
Interactive Media & Services
(Continued)
 
1,785
Meta Platforms, Inc., Class A
$767,853
4,869
Pinterest, Inc., Class A (a)
162,868
8,878
TripAdvisor, Inc. (a)
233,758
2,505
Yelp, Inc. (a)
100,801
 
 
1,897,887
 
IT Services — 2.1%
 
487
Accenture PLC, Class A
146,543
1,552
Akamai Technologies, Inc. (a)
156,643
7,162
Cloudflare, Inc., Class A (a)
625,959
7,502
Couchbase, Inc. (a)
181,098
3,804
DigitalOcean Holdings, Inc. (a)
125,000
1,063
Gartner, Inc. (a)
438,583
5,844
GoDaddy, Inc., Class A (a)
715,189
2,652
International Business Machines
Corp.
440,762
15,723
Kyndryl Holdings, Inc. (a)
309,114
471
MongoDB, Inc. (a)
172,000
4,841
Okta, Inc. (a)
450,116
3,986
Squarespace, Inc., Class A (a)
138,952
 
 
3,899,959
 
Leisure Products — 0.2%
 
3,891
Acushnet Holdings Corp.
237,273
1,513
Hasbro, Inc.
92,747
 
 
330,020
 
Life Sciences Tools & Services
— 0.9%
 
1,160
Agilent Technologies, Inc.
158,967
3,642
Bruker Corp.
284,113
947
Charles River Laboratories
International, Inc. (a)
216,863
7,215
Cytek Biosciences, Inc. (a)
43,362
2,003
IQVIA Holdings, Inc. (a)
464,235
1,058
Medpace Holdings, Inc. (a)
410,874
162
OmniAb, Inc. - 12.5 Earnout
Shares (a) (d) (e) (f) (g)
0
162
OmniAb, Inc. - 15 Earnout
Shares (a) (d) (e) (f) (g)
0
 
 
1,578,414
 
Machinery — 5.9%
 
864
Alamo Group, Inc.
167,944
5,269
Allison Transmission Holdings,
Inc.
387,535
2,366
Caterpillar, Inc.
791,593
3,436
Donaldson Co., Inc.
248,079
5,535
Enerpac Tool Group Corp.
197,212
3,868
Esab Corp.
409,544
452
ESCO Technologies, Inc.
45,855
4,031
Federal Signal Corp.
327,720
4,031
Fortive Corp.
303,413
1,602
Franklin Electric Co., Inc.
154,225

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Machinery (Continued)
 
1,806
Graco, Inc.
$144,841
4,736
Greenbrier (The) Cos., Inc.
233,911
692
IDEX Corp.
152,558
629
Illinois Tool Works, Inc.
153,545
9,130
Ingersoll Rand, Inc.
852,012
2,515
ITT, Inc.
325,290
1,043
Kadant, Inc.
285,563
2,715
Lincoln Electric Holdings, Inc.
596,024
615
Nordson Corp.
158,787
3,493
Otis Worldwide Corp.
318,562
6,997
PACCAR, Inc.
742,452
1,248
Parker-Hannifin Corp.
680,048
316
RBC Bearings, Inc. (a)
77,278
3,473
SPX Technologies, Inc. (a)
423,046
797
Standex International Corp.
137,785
7,603
Symbotic, Inc. (a) (c)
293,248
2,029
Tennant Co.
236,338
7,087
Trinity Industries, Inc.
184,404
6,593
Wabash National Corp.
152,364
805
Watts Water Technologies, Inc.,
Class A
159,760
5,951
Westinghouse Air Brake
Technologies Corp.
958,587
2,683
Xylem, Inc.
350,668
 
 
10,650,191
 
Media — 0.4%
 
6,926
EchoStar Corp., Class A (a)
110,747
18,361
Magnite, Inc. (a)
162,128
1,979
New York Times (The) Co.,
Class A
85,156
3,967
Trade Desk (The), Inc.,
Class A (a)
328,666
 
 
686,697
 
Metals & Mining — 0.6%
 
775
Alpha Metallurgical Resources,
Inc.
253,518
6,686
ATI, Inc. (a)
399,154
2,034
Carpenter Technology Corp.
174,314
749
Materion Corp.
86,090
2,818
Warrior Met Coal, Inc.
192,610
 
 
1,105,686
 
Mortgage REITs — 0.4%
 
8,688
Annaly Capital Management,
Inc.
162,813
10,872
Franklin BSP Realty Trust, Inc.
135,791
3,475
Hannon Armstrong Sustainable
Infrastructure Capital, Inc.
86,910
4,350
Ladder Capital Corp.
46,675
6,723
PennyMac Mortgage Investment
Trust
93,114
Shares
Description
Value
 
 
Mortgage REITs (Continued)
 
8,414
Starwood Property Trust, Inc.
$159,614
7,454
Two Harbors Investment Corp.
94,144
 
 
779,061
 
Office REITs — 0.1%
 
3,580
SL Green Realty Corp. (c)
178,391
 
Oil, Gas & Consumable Fuels
— 1.0%
 
18,250
Antero Midstream Corp.
252,580
1,127
Civitas Resources, Inc.
81,099
1,734
CONSOL Energy, Inc.
143,506
5,132
Dorian LPG Ltd.
212,054
1,233
Gulfport Energy Corp. (a)
195,689
3,710
International Seaways, Inc.
205,126
2,475
Kinetik Holdings, Inc.
94,891
14,530
Permian Resources Corp.
243,377
3,992
Sitio Royalties Corp., Class A
92,774
14,621
Uranium Energy Corp. (a)
98,692
2,566
Viper Energy, Inc.
97,919
4,332
Williams (The) Cos., Inc.
166,176
 
 
1,883,883
 
Passenger Airlines — 0.7%
 
16,716
American Airlines Group,
Inc. (a)
225,833
14,487
Delta Air Lines, Inc.
725,364
3,572
SkyWest, Inc. (a)
260,863
 
 
1,212,060
 
Personal Care Products —
0.5%
 
5,796
BellRing Brands, Inc. (a)
319,765
14,303
Coty, Inc., Class A (a)
163,626
2,182
elf Beauty, Inc. (a)
354,641
1,217
Inter Parfums, Inc.
141,635
 
 
979,667
 
Pharmaceuticals — 1.1%
 
32,572
Amneal Pharmaceuticals, Inc. (a)
197,061
1,103
Amphastar Pharmaceuticals,
Inc. (a)
45,499
17,048
Amylyx Pharmaceuticals,
Inc. (a)
30,857
3,569
ANI Pharmaceuticals, Inc. (a)
235,554
2,391
Arvinas, Inc. (a)
75,962
2,144
Axsome Therapeutics, Inc. (a)
158,141
6,356
Collegium Pharmaceutical,
Inc. (a)
234,727
1,922
Corcept Therapeutics, Inc. (a)
44,821
891
Eli Lilly & Co.
695,960
4,325
Harmony Biosciences Holdings,
Inc. (a)
133,686
2,472
Intra-Cellular Therapies, Inc. (a)
177,514
 
 
2,029,782

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Professional Services — 2.0%
 
5,840
Booz Allen Hamilton Holding
Corp.
$862,393
824
Broadridge Financial Solutions,
Inc.
159,370
3,143
CBIZ, Inc. (a)
223,719
1,296
Equifax, Inc.
285,366
5,379
ExlService Holdings, Inc. (a)
155,991
2,985
First Advantage Corp.
48,655
813
FTI Consulting, Inc. (a)
173,844
1,503
Huron Consulting Group, Inc. (a)
140,140
1,310
ICF International, Inc.
189,020
14,796
Legalzoom.com, Inc. (a)
176,812
5,156
Parsons Corp. (a)
404,797
498
Paylocity Holding Corp. (a)
77,270
4,345
TransUnion
317,185
2,582
TriNet Group, Inc.
259,155
3,949
Upwork, Inc. (a)
46,203
6,851
Verra Mobility Corp. (a)
161,547
 
 
3,681,467
 
Real Estate Management &
Development — 0.5%
 
3,590
CoStar Group, Inc. (a)
328,593
10,243
DigitalBridge Group, Inc.
168,395
6,139
Forestar Group, Inc. (a)
190,248
32,572
Opendoor Technologies, Inc. (a)
64,818
1,702
St. Joe (The) Co.
97,354
 
 
849,408
 
Residential REITs — 0.2%
 
5,911
Apartment Investment and
Management Co., Class A (a)
47,288
5,303
Independence Realty Trust, Inc.
83,628
4,741
Invitation Homes, Inc.
162,142
2,981
UMH Properties, Inc.
47,458
 
 
340,516
 
Retail REITs — 0.6%
 
5,802
Acadia Realty Trust
100,259
455
Alexander’s, Inc.
96,260
3,647
Brixmor Property Group, Inc.
80,599
1,883
InvenTrust Properties Corp.
47,715
14,892
Macerich (The) Co.
204,914
2,636
NETSTREIT Corp.
44,417
2,216
Simon Property Group, Inc.
311,414
3,305
SITE Centers Corp.
44,584
3,342
Tanger, Inc.
94,746
2,803
Urban Edge Properties
46,894
 
 
1,071,802
Shares
Description
Value
 
 
Semiconductors &
Semiconductor Equipment
— 3.9%
 
2,806
Advanced Micro Devices,
Inc. (a)
$444,414
3,363
Applied Materials, Inc.
668,060
382
Broadcom, Inc.
496,703
4,657
Credo Technology Group
Holding Ltd. (a)
83,221
4,935
Entegris, Inc.
655,960
1,000
First Solar, Inc. (a)
176,300
2,163
FormFactor, Inc. (a)
96,448
1,537
Impinj, Inc. (a)
244,967
993
KLA Corp.
684,465
714
Lam Research Corp.
638,609
894
MACOM Technology Solutions
Holdings, Inc. (a)
91,143
4,892
Marvell Technology, Inc.
322,432
2,572
MKS Instruments, Inc.
306,017
249
Monolithic Power Systems, Inc.
166,663
959
NVIDIA Corp.
828,595
1,399
NXP Semiconductors N.V.
358,410
1,417
Onto Innovation, Inc. (a)
262,839
5,129
Photronics, Inc. (a)
140,586
7,180
Semtech Corp. (a)
270,112
4,130
Veeco Instruments, Inc. (a)
145,954
 
 
7,081,898
 
Software — 9.4%
 
4,374
ACI Worldwide, Inc. (a)
149,153
575
Agilysys, Inc. (a)
47,754
2,004
Alarm.com Holdings, Inc. (a)
133,266
8,034
Alkami Technology, Inc. (a)
193,378
993
Altair Engineering, Inc.,
Class A (a)
79,887
1,387
Appfolio, Inc., Class A (a)
314,544
1,212
Appian Corp., Class A (a)
45,377
6,178
AppLovin Corp., Class A (a)
435,981
648
Autodesk, Inc. (a)
137,927
18,339
AvePoint, Inc. (a)
142,494
1,324
BlackLine, Inc. (a)
76,858
6,040
Box, Inc., Class A (a)
157,161
1,931
Braze, Inc., Class A (a)
80,909
1,627
Cadence Design Systems,
Inc. (a)
448,450
7,152
CCC Intelligent Solutions
Holdings, Inc. (a)
80,245
9,306
Cleanspark, Inc. (a)
152,432
4,640
Clear Secure, Inc., Class A
81,061
3,373
CommVault Systems, Inc. (a)
345,631
5,605
Confluent, Inc., Class A (a)
157,613
2,704
Crowdstrike Holdings, Inc.,
Class A (a)
791,028
4,097
Datadog, Inc., Class A (a)
514,173

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Software (Continued)
 
2,873
DocuSign, Inc. (a)
$162,612
4,865
DoubleVerify Holdings, Inc. (a)
142,545
1,707
Elastic N.V. (a)
174,490
2,508
Envestnet, Inc. (a)
155,672
405
Fair Isaac Corp. (a)
458,999
5,076
Fortinet, Inc. (a)
320,702
22,609
Gen Digital, Inc.
455,345
2,933
Gitlab, Inc., Class A (a)
153,895
1,466
Guidewire Software, Inc. (a)
161,846
3,662
HashiCorp, Inc., Class A (a)
118,869
553
HubSpot, Inc. (a)
334,493
9,775
Informatica, Inc., Class A (a)
302,732
1,854
InterDigital, Inc.
183,045
533
Intuit, Inc.
333,455
2,638
Jamf Holding Corp. (a)
51,362
2,861
LiveRamp Holdings, Inc. (a)
91,867
2,024
Manhattan Associates, Inc. (a)
417,065
15,152
Marathon Digital Holdings,
Inc. (a)
243,341
824
Microsoft Corp.
320,808
201
MicroStrategy, Inc., Class A (a)
214,071
1,700
Model N, Inc. (a)
50,405
3,704
N-able, Inc. (a)
45,411
6,865
nCino, Inc. (a)
200,183
14,045
Nutanix, Inc., Class A (a)
852,531
2,760
Oracle Corp.
313,950
30,139
Palantir Technologies, Inc.,
Class A (a)
662,154
594
Palo Alto Networks, Inc. (a)
172,789
5,293
Pegasystems, Inc.
314,510
3,123
Procore Technologies, Inc. (a)
213,676
908
Progress Software Corp.
45,237
1,333
PROS Holdings, Inc. (a)
43,656
1,835
PTC, Inc. (a)
325,602
3,755
Q2 Holdings, Inc. (a)
192,969
512
Qualys, Inc. (a)
83,922
1,744
Rapid7, Inc. (a)
78,131
4,181
RingCentral, Inc., Class A (a)
123,841
301
Roper Technologies, Inc.
153,949
2,303
Salesforce, Inc.
619,369
9,054
Samsara, Inc., Class A (a)
316,256
7,339
SentinelOne, Inc., Class A (a)
155,073
664
ServiceNow, Inc. (a)
460,371
11,509
SolarWinds Corp.
126,829
3,946
Sprinklr, Inc., Class A (a)
46,129
1,653
Sprout Social, Inc., Class A (a)
83,394
463
SPS Commerce, Inc. (a)
80,502
886
Synopsys, Inc. (a)
470,103
1,730
Tenable Holdings, Inc. (a)
77,798
7,546
UiPath, Inc., Class A (a)
143,148
Shares
Description
Value
 
 
Software (Continued)
 
5,440
Varonis Systems, Inc. (a)
$238,000
6,215
Vertex, Inc., Class A (a)
181,043
1,271
Workday, Inc., Class A (a)
311,052
18,059
Zeta Global Holdings Corp.,
Class A (a)
223,209
1,800
Zscaler, Inc. (a)
311,292
5,309
Zuora, Inc., Class A (a)
52,347
 
 
17,131,367
 
Specialized REITs — 0.8%
 
2,407
Digital Realty Trust, Inc.
334,044
8,646
Iron Mountain, Inc.
670,238
1,433
Lamar Advertising Co., Class A
166,013
1,236
National Storage Affiliates Trust
43,309
11,756
Outfront Media, Inc.
186,450
24,618
Uniti Group, Inc.
141,554
 
 
1,541,608
 
Specialty Retail — 2.8%
 
3,412
Abercrombie & Fitch Co.,
Class A (a)
414,626
220
AutoZone, Inc. (a)
650,408
6,013
Caleres, Inc.
221,459
4,865
Carvana Co. (a)
403,406
471
Five Below, Inc. (a)
68,926
2,639
Floor & Decor Holdings, Inc.,
Class A (a)
291,161
904
Home Depot (The), Inc.
302,135
816
Murphy USA, Inc.
337,677
614
O’Reilly Automotive, Inc. (a)
622,141
3,451
Ross Stores, Inc.
447,077
3,419
TJX (The) Cos., Inc.
321,694
969
Ulta Beauty, Inc. (a)
392,290
7,251
Warby Parker, Inc., Class A (a)
85,127
3,780
Wayfair, Inc., Class A (a)
189,567
1,347
Williams-Sonoma, Inc.
386,293
 
 
5,133,987
 
Technology Hardware, Storage
& Peripherals — 1.4%
 
4,846
IonQ, Inc. (a) (c)
41,433
6,607
NetApp, Inc.
675,302
13,339
Pure Storage, Inc., Class A (a)
672,286
5,443
Seagate Technology
Holdings PLC
467,608
858
Super Micro Computer, Inc. (a)
736,850
 
 
2,593,479
 
Textiles, Apparel & Luxury
Goods — 0.8%
 
921
Deckers Outdoor Corp. (a)
753,811
5,007
G-III Apparel Group Ltd. (a)
140,947
2,839
Kontoor Brands, Inc.
176,188
2,278
Ralph Lauren Corp.
372,772
 
 
1,443,718

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Tobacco — 0.0%
 
4,417
Vector Group Ltd.
$45,716
 
Trading Companies &
Distributors — 2.6%
 
1,299
Applied Industrial Technologies,
Inc.
238,042
7,470
Core & Main, Inc., Class A (a)
421,831
6,954
Distribution Solutions Group,
Inc. (a)
229,273
6,565
Fastenal Co.
446,026
6,355
FTAI Aviation Ltd.
446,185
1,914
GATX Corp.
234,197
5,510
Global Industrial Co.
212,190
3,844
H&E Equipment Services, Inc.
185,627
2,541
Herc Holdings, Inc.
363,439
881
MSC Industrial Direct Co., Inc.,
Class A
80,382
1,202
United Rentals, Inc.
802,924
852
W.W. Grainger, Inc.
784,990
391
Watsco, Inc.
175,059
5,843
Xometry, Inc., Class A (a)
104,414
 
 
4,724,579
 
Water Utilities — 0.0%
 
670
American States Water Co.
47,463
 
Wireless Telecommunication
Services — 0.1%
 
6,160
Telephone and Data Systems,
Inc.
96,404
1,034
T-Mobile US, Inc.
169,752
 
 
266,156
 
Total Common Stocks
181,594,144
 
(Cost $151,865,950)
 
MONEY MARKET FUNDS — 1.1%
1,687,396
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (h) (i)
1,687,396
211,346
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
5.15% (h)
211,346
 
Total Money Market Funds
1,898,742
 
(Cost $1,898,742)
 
 
 
 
Total Investments — 101.0%
183,492,886
 
(Cost $153,764,692)
 
 
Net Other Assets and
Liabilities — (1.0)%
(1,771,132
)
 
Net Assets — 100.0%
$181,721,754
(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, including those sold
and pending settlement, is $1,573,165 and the total value of
the collateral held by the Fund is $1,687,396.
(d)
Pursuant to procedures adopted by the Trust’s Board of
Trustees, this security has been determined to be illiquid by
First Trust Advisors L.P., the Fund’s advisor.
(e)
Restricted security as to resale, excluding Rule 144A
securities (see Restricted Securities table).
(f)
This security is fair valued by the Advisor’s Pricing
Committee in accordance with procedures approved by the
Trust’s Board of Trustees, and in accordance with provisions
of the Investment Company Act of 1940 and rules
thereunder, as amended. At April 30, 2024, securities noted
as such are valued at $0 or 0.0% of net assets.
(g)
This security’s value was determined using significant
unobservable inputs (see Valuation Inputs in the Additional
Information section).
(h)
Rate shown reflects yield as of April 30, 2024.
(i)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks:
 
 
 
 
Life
Sciences Tools
& Services
$1,578,414
$1,578,414
$
$—**
Other Industry
Categories*
180,015,730
180,015,730
Money Market
Funds
1,898,742
1,898,742
Total Investments
$183,492,886
$183,492,886
$
$—**
*
See Portfolio of Investments for industry breakout.
**
Investments are valued at $0.
Level 3 investments are fair valued by the Advisor’s Pricing Committee and are footnoted in the Portfolio of Investments. All Level 3 values are based on unobservable inputs.

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)

Restricted Securities
As of April 30, 2024, the Fund held restricted securities as shown in the following table that the Advisor deemed illiquid pursuant to procedures adopted by the Trust’s Board of Trustees:
Security
Acquisition
Date
Shares
Current
Price
Carrying
Cost
Value
% of
Net Assets
OmniAb, Inc. - 12.5 Earnout Shares
11/02/22
162
$0.00
$0
$0
0.00
%
OmniAb, Inc. - 15 Earnout Shares
11/02/22
162
0.00
0
0
0.00
 
 
 
 
$0
$0
0.00
%

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
 
Aerospace & Defense — 0.3%
 
2,304
Huntington Ingalls Industries,
Inc.
$638,047
 
Air Freight & Logistics —
0.1%
 
6,243
GXO Logistics, Inc. (a)
310,027
 
Automobile Components —
1.4%
 
38,641
BorgWarner, Inc.
1,266,266
48,885
Goodyear Tire & Rubber (The)
Co. (a)
584,665
9,266
Lear Corp.
1,166,311
 
 
3,017,242
 
Automobiles — 0.8%
 
30,691
Harley-Davidson, Inc.
1,055,464
5,720
Thor Industries, Inc.
568,682
 
 
1,624,146
 
Banks — 10.2%
 
20,809
Ameris Bancorp
988,011
29,528
Bank OZK
1,318,425
10,944
BOK Financial Corp.
971,061
46,289
Cadence Bank
1,280,817
69,373
Columbia Banking System, Inc.
1,304,906
18,309
Comerica, Inc.
918,563
8,484
East West Bancorp, Inc.
631,973
71,403
F.N.B. Corp.
952,516
65,376
First Horizon Corp.
975,410
21,868
Hancock Whitney Corp.
992,589
27,318
Home BancShares, Inc.
646,890
104,222
New York Community Bancorp,
Inc.
276,188
77,104
Old National Bancorp
1,275,300
7,815
Pinnacle Financial Partners, Inc.
599,411
7,619
Popular, Inc.
647,539
10,205
Prosperity Bancshares, Inc.
632,404
7,894
SouthState Corp.
597,576
16,756
Synovus Financial Corp.
599,697
7,715
UMB Financial Corp.
614,577
18,754
United Bankshares, Inc.
608,755
168,640
Valley National Bancorp
1,182,166
19,831
Webster Financial Corp.
869,193
15,684
Western Alliance Bancorp
891,322
9,644
Wintrust Financial Corp.
931,996
23,198
Zions Bancorp N.A.
946,014
 
 
21,653,299
 
Beverages — 0.5%
 
19,960
Molson Coors Beverage Co.,
Class B
1,142,910
 
Biotechnology — 0.6%
 
5,843
United Therapeutics Corp. (a)
1,369,190
Shares
Description
Value
 
 
Broadline Retail — 0.9%
 
2,135
Dillard’s, Inc., Class A
$935,109
50,364
Macy’s, Inc.
928,208
 
 
1,863,317
 
Building Products — 0.4%
 
8,186
UFP Industries, Inc.
922,562
 
Capital Markets — 1.3%
 
8,017
Affiliated Managers Group, Inc.
1,251,454
20,229
Invesco Ltd.
286,645
7,609
Jefferies Financial Group, Inc.
327,643
9,335
SEI Investments Co.
615,643
4,293
Stifel Financial Corp.
343,097
 
 
2,824,482
 
Chemicals — 3.3%
 
6,893
Ashland, Inc.
657,110
7,733
Avient Corp.
328,034
10,045
Eastman Chemical Co.
948,650
26,341
FMC Corp.
1,554,382
4,209
H.B. Fuller Co.
314,454
25,785
Huntsman Corp.
615,230
51,695
Mosaic (The) Co.
1,622,706
17,122
Olin Corp.
895,138
 
 
6,935,704
 
Communications Equipment
— 0.2%
 
6,786
Ciena Corp. (a)
313,717
 
Construction & Engineering
— 0.6%
 
53,270
MDU Resources Group, Inc.
1,315,769
 
Construction Materials —
0.1%
 
7,529
Summit Materials, Inc.,
Class A (a)
292,878
 
Consumer Finance — 1.4%
 
33,071
Ally Financial, Inc.
1,268,273
19,705
OneMain Holdings, Inc.
1,026,828
30,802
SLM Corp.
652,694
 
 
2,947,795
 
Consumer Staples Distribution
& Retail — 0.3%
 
4,436
BJ’s Wholesale Club Holdings,
Inc. (a)
331,280
6,218
US Foods Holding Corp. (a)
312,455
 
 
643,735
 
Containers & Packaging —
2.1%
 
22,196
Berry Global Group, Inc.
1,257,181
4,235
Crown Holdings, Inc.
347,566
17,201
International Paper Co.
601,003
9,022
Sealed Air Corp.
284,013

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Containers & Packaging
(Continued)
 
13,821
Silgan Holdings, Inc.
$644,888
23,209
Sonoco Products Co.
1,300,865
 
 
4,435,516
 
Diversified Consumer Services
— 0.6%
 
199,760
ADT, Inc.
1,298,440
 
Diversified Telecommunication
Services — 0.6%
 
54,792
Frontier Communications Parent,
Inc. (a)
1,267,887
 
Electric Utilities — 3.6%
 
22,508
ALLETE, Inc.
1,332,924
13,316
Alliant Energy Corp.
663,137
25,148
Evergy, Inc.
1,319,013
7,226
IDACORP, Inc.
684,880
39,136
OGE Energy Corp.
1,356,062
13,473
Pinnacle West Capital Corp.
992,287
31,962
Portland General Electric Co.
1,381,717
 
 
7,730,020
 
Electrical Equipment — 1.7%
 
1,249
Acuity Brands, Inc.
310,127
5,289
Atkore, Inc.
927,161
5,108
Encore Wire Corp.
1,426,971
10,658
EnerSys
964,016
 
 
3,628,275
 
Electronic Equipment,
Instruments & Components
— 3.7%
 
12,962
Arrow Electronics, Inc. (a)
1,654,858
33,844
Avnet, Inc.
1,653,956
10,843
Crane NXT Co.
659,363
11,102
IPG Photonics Corp. (a)
932,346
2,769
Littelfuse, Inc.
638,642
21,589
Sanmina Corp. (a)
1,309,805
8,902
TD SYNNEX Corp.
1,049,012
 
 
7,897,982
 
Energy Equipment & Services
— 3.7%
 
39,895
Helmerich & Payne, Inc.
1,569,070
80,984
Liberty Energy, Inc.
1,781,648
85,963
NOV, Inc.
1,589,456
140,534
Patterson-UTI Energy, Inc.
1,520,578
22,297
Valaris Ltd. (a)
1,450,643
 
 
7,911,395
 
Financial Services — 4.0%
 
28,196
Essent Group Ltd.
1,493,542
20,295
Jackson Financial, Inc., Class A
1,386,554
75,044
MGIC Investment Corp.
1,521,892
Shares
Description
Value
 
 
Financial Services (Continued)
 
17,221
Mr. Cooper Group, Inc. (a)
$1,329,461
3,684
PennyMac Financial Services,
Inc.
315,498
50,134
Radian Group, Inc.
1,497,503
72,017
Western Union (The) Co.
967,909
 
 
8,512,359
 
Food Products — 1.5%
 
28,861
Darling Ingredients, Inc. (a)
1,222,841
1,617
Lancaster Colony Corp.
308,540
521
Seaboard Corp.
1,724,567
 
 
3,255,948
 
Gas Utilities — 2.0%
 
31,235
National Fuel Gas Co.
1,658,578
15,642
New Jersey Resources Corp.
683,399
20,802
ONE Gas, Inc.
1,342,145
8,816
Southwest Gas Holdings, Inc.
657,850
 
 
4,341,972
 
Ground Transportation —
1.5%
 
8,221
Avis Budget Group, Inc.
784,694
18,298
Knight-Swift Transportation
Holdings, Inc.
845,916
1,741
Landstar System, Inc.
303,648
11,169
Ryder System, Inc.
1,360,943
 
 
3,295,201
 
Health Care Equipment &
Supplies — 1.0%
 
6,257
Globus Medical, Inc.,
Class A (a)
311,536
21,267
Neogen Corp. (a)
262,222
28,002
QuidelOrtho Corp. (a)
1,135,481
1,483
Teleflex, Inc.
309,577
 
 
2,018,816
 
Health Care Providers &
Services — 1.2%
 
4,065
Encompass Health Corp.
338,940
4,444
Henry Schein, Inc. (a)
307,880
22,262
Select Medical Holdings Corp.
631,573
3,193
Tenet Healthcare Corp. (a)
358,542
5,517
Universal Health Services, Inc.,
Class B
940,262
 
 
2,577,197
 
Health Care REITs — 0.3%
 
47,433
Healthcare Realty Trust, Inc.
674,972
 
Hotels, Restaurants & Leisure
— 1.3%
 
19,941
Boyd Gaming Corp.
1,067,043
23,018
Caesars Entertainment, Inc. (a)
824,505

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Hotels, Restaurants & Leisure
(Continued)
 
14,218
Hilton Grand Vacations, Inc. (a)
$592,037
18,430
Penn Entertainment, Inc. (a)
304,832
 
 
2,788,417
 
Household Durables — 3.8%
 
23,673
KB Home
1,533,063
12,311
M/I Homes, Inc. (a)
1,430,784
9,563
Meritage Homes Corp.
1,584,972
3,948
Skyline Champion Corp. (a)
296,060
26,991
Taylor Morrison Home Corp. (a)
1,511,766
34,723
Tri Pointe Homes, Inc. (a)
1,279,543
5,610
Whirlpool Corp.
532,165
 
 
8,168,353
 
Household Products — 0.2%
 
11,750
Reynolds Consumer Products,
Inc.
336,403
 
Insurance — 5.0%
 
2,459
American Financial Group, Inc.
314,137
1,783
Assurant, Inc.
310,955
19,232
Assured Guaranty Ltd.
1,475,094
10,323
Axis Capital Holdings Ltd.
633,110
5,400
Enstar Group Ltd. (a)
1,567,998
5,498
First American Financial Corp.
294,528
2,885
Globe Life, Inc.
219,750
21,849
Old Republic International Corp.
652,411
1,739
Reinsurance Group of America,
Inc.
325,176
7,139
RenaissanceRe Holdings Ltd.
1,565,226
3,073
Selective Insurance Group, Inc.
312,371
25,016
Unum Group
1,268,311
935
White Mountains Insurance
Group Ltd.
1,662,561
 
 
10,601,628
 
Interactive Media & Services
— 0.7%
 
31,458
IAC, Inc. (a)
1,496,142
 
IT Services — 0.4%
 
47,468
DXC Technology Co. (a)
925,151
 
Leisure Products — 0.7%
 
6,954
Brunswick Corp.
560,770
10,055
Polaris, Inc.
856,284
 
 
1,417,054
 
Machinery — 2.8%
 
13,641
AGCO Corp.
1,557,666
2,087
Middleby (The) Corp. (a)
290,030
24,892
Mueller Industries, Inc.
1,389,472
8,073
Oshkosh Corp.
906,356
Shares
Description
Value
 
 
Machinery (Continued)
 
20,845
Terex Corp.
$1,168,362
7,678
Timken (The) Co.
685,031
 
 
5,996,917
 
Marine Transportation —
1.1%
 
7,041
Kirby Corp. (a)
768,384
14,928
Matson, Inc.
1,608,940
 
 
2,377,324
 
Media — 1.0%
 
23,456
Liberty Broadband Corp.,
Class C (a)
1,166,467
5,843
Nexstar Media Group, Inc.
935,230
 
 
2,101,697
 
Metals & Mining — 1.1%
 
44,274
Cleveland-Cliffs, Inc. (a)
748,231
28,552
Commercial Metals Co.
1,534,384
 
 
2,282,615
 
Mortgage REITs — 1.1%
 
33,898
AGNC Investment Corp.
310,167
33,712
Blackstone Mortgage Trust, Inc.,
Class A (b)
594,680
120,285
Rithm Capital Corp.
1,337,569
 
 
2,242,416
 
Multi-Utilities — 1.1%
 
24,585
Black Hills Corp.
1,349,717
36,399
NiSource, Inc.
1,014,076
 
 
2,363,793
 
Office REITs — 1.3%
 
5,139
Boston Properties, Inc.
318,053
41,879
Cousins Properties, Inc.
960,704
36,848
Kilroy Realty Corp.
1,245,462
11,665
Vornado Realty Trust
303,640
 
 
2,827,859
 
Oil, Gas & Consumable Fuels
— 11.3%
 
34,717
Antero Resources Corp. (a)
1,180,725
48,807
APA Corp.
1,534,492
18,890
Chesapeake Energy Corp. (b)
1,697,833
9,414
Chord Energy Corp.
1,666,090
37,644
CVR Energy, Inc.
1,143,625
16,478
DT Midstream, Inc.
1,024,932
27,795
HF Sinclair Corp.
1,507,879
51,729
Magnolia Oil & Gas Corp.,
Class A
1,296,846
25,131
Matador Resources Co.
1,565,661
36,718
Murphy Oil Corp.
1,639,091
42,289
Northern Oil & Gas, Inc.
1,724,968
32,331
Ovintiv, Inc.
1,659,227
29,147
PBF Energy, Inc., Class A
1,552,661
69,167
Peabody Energy Corp.
1,517,524

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Oil, Gas & Consumable Fuels
(Continued)
 
48,736
Range Resources Corp.
$1,750,110
33,660
SM Energy Co.
1,632,173
 
 
24,093,837
 
Paper & Forest Products —
0.1%
 
3,999
Louisiana-Pacific Corp.
292,687
 
Passenger Airlines — 0.5%
 
23,419
Alaska Air Group, Inc. (a)
1,007,485
 
Pharmaceuticals — 1.2%
 
8,360
Jazz Pharmaceuticals PLC (a)
925,870
53,552
Organon & Co.
996,603
20,851
Perrigo Co. PLC
680,993
 
 
2,603,466
 
Professional Services — 2.6%
 
6,407
ASGN, Inc. (a)
617,955
885
CACI International, Inc.,
Class A (a)
355,973
25,339
Concentrix Corp.
1,385,283
66,851
Dun & Bradstreet Holdings, Inc.
608,344
40,740
Genpact Ltd.
1,252,348
3,999
Maximus, Inc.
321,040
4,234
Robert Half, Inc.
292,739
5,148
Science Applications
International Corp.
662,548
 
 
5,496,230
 
Real Estate Management &
Development — 0.2%
 
1,721
Jones Lang LaSalle, Inc. (a)
310,985
 
Residential REITs — 0.9%
 
51,678
Apartment Income REIT Corp.
1,983,402
 
Semiconductors &
Semiconductor Equipment
— 0.6%
 
31,227
Amkor Technology, Inc.
1,010,193
3,626
Cirrus Logic, Inc. (a)
321,155
 
 
1,331,348
 
Specialized REITs — 0.3%
 
20,193
Rayonier, Inc.
598,924
 
Specialty Retail — 5.8%
 
19,875
Academy Sports & Outdoors,
Inc.
1,158,712
13,012
American Eagle Outfitters, Inc.
315,671
7,116
Asbury Automotive Group,
Inc. (a)
1,496,068
8,106
AutoNation, Inc. (a)
1,306,282
13,418
Bath & Body Works, Inc.
609,446
1,492
Dick’s Sporting Goods, Inc.
299,802
12,181
Gap (The), Inc.
249,954
Shares
Description
Value
 
 
Specialty Retail (Continued)
 
5,743
Group 1 Automotive, Inc.
$1,688,557
5,578
Lithia Motors, Inc.
1,418,932
6,215
Penske Automotive Group, Inc.
950,336
16,767
Signet Jewelers Ltd.
1,643,669
30,916
Urban Outfitters, Inc. (a)
1,204,487
 
 
12,341,916
 
Textiles, Apparel & Luxury
Goods — 1.7%
 
8,269
Columbia Sportswear Co.
658,460
4,667
Crocs, Inc. (a)
580,435
7,161
PVH Corp.
779,117
10,957
Skechers U.S.A., Inc.,
Class A (a)
723,710
21,205
Tapestry, Inc.
846,504
 
 
3,588,226
 
Trading Companies &
Distributors — 2.9%
 
32,621
Air Lease Corp.
1,638,879
6,846
Beacon Roofing Supply, Inc. (a)
674,536
6,565
Boise Cascade Co.
868,353
10,343
GMS, Inc. (a)
956,934
25,081
Rush Enterprises, Inc., Class A
1,101,558
5,878
WESCO International, Inc.
897,864
 
 
6,138,124
 
Water Utilities — 0.3%
 
18,115
Essential Utilities, Inc.
662,647
 
Total Common Stocks
213,035,846
 
(Cost $203,454,548)
 
MONEY MARKET FUNDS — 1.0%
247,928
Dreyfus Government Cash
Management Fund,
Institutional Shares -
5.19% (c)
247,928
1,852,953
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (c) (d)
1,852,953
 
Total Money Market Funds
2,100,881
 
(Cost $2,100,881)
 
 
 
 
Total Investments — 100.9%
215,136,727
 
(Cost $205,555,429)
 
 
Net Other Assets and
Liabilities — (0.9)%
(1,898,287
)
 
Net Assets — 100.0%
$213,238,440

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments (Continued)
April 30, 2024  (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, including those sold
and pending settlement, is $1,763,378 and the total value of
the collateral held by the Fund is $1,852,953.
(c)
Rate shown reflects yield as of April 30, 2024.
(d)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$213,035,846
$213,035,846
$
$
Money Market
Funds
2,100,881
2,100,881
Total Investments
$215,136,727
$215,136,727
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
 
Aerospace & Defense — 3.5%
 
13,316
AeroVironment, Inc. (a)
$2,127,764
19,890
BWX Technologies, Inc.
1,904,865
7,975
Curtiss-Wright Corp.
2,021,024
14,009
Hexcel Corp.
899,518
12,784
Moog, Inc., Class A
2,033,551
13,244
Woodward, Inc.
2,150,296
 
 
11,137,018
 
Automobile Components —
1.2%
 
42,381
Gentex Corp.
1,453,668
26,803
Modine Manufacturing Co. (a)
2,482,762
 
 
3,936,430
 
Banks — 0.9%
 
13,598
Cullen/Frost Bankers, Inc.
1,418,816
23,068
ServisFirst Bancshares, Inc.
1,360,089
 
 
2,778,905
 
Beverages — 1.1%
 
30,769
Celsius Holdings, Inc. (a)
2,192,907
1,809
Coca-Cola Consolidated, Inc.
1,494,234
 
 
3,687,141
 
Biotechnology — 3.9%
 
37,700
Alkermes PLC (a)
925,158
17,362
Apellis Pharmaceuticals, Inc. (a)
767,227
21,516
Blueprint Medicines Corp. (a)
1,965,271
7,278
Cytokinetics, Inc. (a)
446,287
7,389
Exact Sciences Corp. (a)
438,537
43,006
Exelixis, Inc. (a)
1,008,921
25,087
Halozyme Therapeutics, Inc. (a)
955,815
18,809
Insmed, Inc. (a)
464,958
11,771
Ionis Pharmaceuticals, Inc. (a)
485,671
27,896
Natera, Inc. (a)
2,590,980
15,832
REVOLUTION Medicines,
Inc. (a)
590,217
48,412
Roivant Sciences Ltd. (a)
527,691
7,883
Sarepta Therapeutics, Inc. (a)
998,461
10,929
Ultragenyx Pharmaceutical,
Inc. (a)
464,920
 
 
12,630,114
 
Broadline Retail — 0.4%
 
19,238
Ollie’s Bargain Outlet Holdings,
Inc. (a)
1,407,067
 
Building Products — 5.0%
 
17,112
A.O. Smith Corp.
1,417,558
23,168
AAON, Inc.
2,179,877
11,850
Advanced Drainage Systems,
Inc.
1,860,450
11,364
Allegion PLC
1,381,408
20,539
Armstrong World Industries, Inc.
2,359,520
50,803
AZEK (The) Co., Inc. (a)
2,318,649
Shares
Description
Value
 
 
Building Products (Continued)
 
7,461
Simpson Manufacturing Co., Inc.
$1,297,393
15,347
Trex Co., Inc. (a)
1,358,977
60,982
Zurn Elkay Water Solutions
Corp.
1,907,517
 
 
16,081,349
 
Capital Markets — 3.0%
 
108,222
Blue Owl Capital, Inc.
2,044,314
6,637
Cohen & Steers, Inc.
456,493
4,525
Hamilton Lane, Inc., Class A
505,533
18,271
Interactive Brokers Group, Inc.,
Class A
2,103,357
4,965
Morningstar, Inc.
1,403,357
126,743
Robinhood Markets, Inc.,
Class A (a)
2,089,992
9,797
Tradeweb Markets, Inc., Class A
996,453
 
 
9,599,499
 
Chemicals — 1.6%
 
44,513
Axalta Coating Systems Ltd. (a)
1,399,489
3,293
Balchem Corp.
465,564
16,602
Cabot Corp.
1,514,600
3,216
NewMarket Corp.
1,694,575
 
 
5,074,228
 
Commercial Services &
Supplies — 2.8%
 
22,094
Brink’s (The) Co.
1,932,341
10,321
Casella Waste Systems, Inc.,
Class A (a)
933,018
10,139
Clean Harbors, Inc. (a)
1,920,834
10,543
MSA Safety, Inc.
1,901,957
11,050
Tetra Tech, Inc.
2,151,656
 
 
8,839,806
 
Communications Equipment
— 0.3%
 
5,383
F5, Inc. (a)
889,864
 
Construction & Engineering
— 3.0%
 
64,969
API Group Corp. (a)
2,505,854
17,829
Arcosa, Inc.
1,355,361
8,030
Comfort Systems USA, Inc.
2,484,562
7,285
EMCOR Group, Inc.
2,601,984
21,947
WillScot Mobile Mini Holdings
Corp. (a)
811,161
 
 
9,758,922
 
Construction Materials —
0.7%
 
9,388
Eagle Materials, Inc.
2,353,665
 
Consumer Finance — 0.9%
 
16,003
FirstCash Holdings, Inc.
1,808,019
139,799
SoFi Technologies, Inc. (a) (b)
947,837
 
 
2,755,856

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Consumer Staples Distribution
& Retail — 1.7%
 
4,807
Casey’s General Stores, Inc.
$1,536,221
20,509
Performance Food Group Co. (a)
1,392,151
39,568
Sprouts Farmers Market, Inc. (a)
2,612,675
 
 
5,541,047
 
Containers & Packaging —
0.9%
 
10,639
AptarGroup, Inc.
1,536,059
52,460
Graphic Packaging Holding Co.
1,356,091
 
 
2,892,150
 
Diversified Consumer Services
— 1.7%
 
22,506
Bright Horizons Family
Solutions, Inc. (a)
2,334,097
6,940
Duolingo, Inc. (a)
1,566,705
7,492
Grand Canyon Education,
Inc. (a)
974,110
10,390
H&R Block, Inc.
490,720
 
 
5,365,632
 
Diversified REITs — 0.2%
 
19,139
Essential Properties Realty Trust,
Inc.
504,121
 
Diversified Telecommunication
Services — 0.3%
 
15,622
Cogent Communications
Holdings, Inc.
1,002,620
 
Electric Utilities — 0.2%
 
5,906
Otter Tail Corp.
504,136
 
Electrical Equipment — 0.6%
 
45,341
NEXTracker, Inc., Class A (a)
1,940,141
 
Electronic Equipment,
Instruments & Components
— 0.9%
 
6,307
Badger Meter, Inc.
1,153,677
44,997
Vontier Corp.
1,828,228
 
 
2,981,905
 
Energy Equipment & Services
— 2.1%
 
42,653
ChampionX Corp.
1,431,862
27,732
Tidewater, Inc. (a)
2,547,184
22,105
Weatherford
International PLC (a)
2,732,620
 
 
6,711,666
 
Entertainment — 0.3%
 
5,905
TKO Group Holdings, Inc.
559,026
15,453
Warner Music Group Corp.,
Class A
509,949
 
 
1,068,975
Shares
Description
Value
 
 
Financial Services — 2.9%
 
54,779
Affirm Holdings, Inc. (a)
$1,746,354
18,567
Euronet Worldwide, Inc. (a)
1,906,460
2,937
Jack Henry & Associates, Inc.
477,821
15,447
Shift4 Payments, Inc.,
Class A (a)
893,763
102,381
Toast, Inc., Class A (a)
2,419,263
8,592
WEX, Inc. (a)
1,815,146
 
 
9,258,807
 
Food Products — 1.8%
 
22,021
Freshpet, Inc. (a)
2,335,767
13,100
Ingredion, Inc.
1,501,129
19,205
Post Holdings, Inc. (a)
2,038,611
 
 
5,875,507
 
Ground Transportation —
1.8%
 
131,852
Lyft, Inc., Class A (a)
2,062,165
3,489
Saia, Inc. (a)
1,384,540
20,908
XPO, Inc. (a)
2,246,774
 
 
5,693,479
 
Health Care Equipment &
Supplies — 3.2%
 
16,235
Glaukos Corp. (a)
1,558,560
5,979
Haemonetics Corp. (a)
549,769
4,751
Inspire Medical Systems, Inc. (a)
1,148,127
21,866
Integer Holdings Corp. (a)
2,440,901
8,798
iRhythm Technologies, Inc. (a)
964,085
8,198
Lantheus Holdings, Inc. (a)
545,495
6,736
Merit Medical Systems, Inc. (a)
499,137
7,835
Shockwave Medical, Inc. (a)
2,587,039
 
 
10,293,113
 
Health Care Providers &
Services — 3.4%
 
1,589
Chemed Corp.
902,552
5,822
CorVel Corp. (a)
1,390,585
18,481
DaVita, Inc. (a)
2,569,044
16,404
Ensign Group (The), Inc.
1,941,577
18,753
HealthEquity, Inc. (a)
1,479,799
30,427
Option Care Health, Inc. (a)
909,463
40,126
Progyny, Inc. (a)
1,286,439
17,106
Surgery Partners Inc. (a)
426,795
 
 
10,906,254
 
Health Care Technology —
0.4%
 
46,685
Evolent Health, Inc., Class A (a)
1,295,042
 
Hotel & Resort REITs — 0.6%
 
31,152
Apple Hospitality REIT, Inc.
459,804
13,240
Ryman Hospitality Properties,
Inc.
1,396,555
 
 
1,856,359

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Hotels, Restaurants & Leisure
— 6.0%
 
62,764
Aramark
$1,977,694
8,077
Choice Hotels International,
Inc. (b)
955,186
8,247
Churchill Downs, Inc.
1,063,863
15,984
Hyatt Hotels Corp., Class A
2,378,259
24,992
Light & Wonder, Inc. (a)
2,230,786
121,899
Norwegian Cruise Line Holdings
Ltd. (a)
2,306,329
8,148
Planet Fitness, Inc., Class A (a)
487,576
16,516
Texas Roadhouse, Inc.
2,655,443
2,290
Vail Resorts, Inc.
433,657
27,085
Wendy’s (The) Co.
541,429
6,964
Wingstop, Inc.
2,679,678
14,975
Wynn Resorts Ltd.
1,372,459
 
 
19,082,359
 
Household Durables — 2.6%
 
9,861
Installed Building Products, Inc.
2,324,534
26,941
Tempur Sealy International, Inc.
1,348,666
19,722
Toll Brothers, Inc.
2,349,087
5,789
TopBuild Corp. (a)
2,342,635
 
 
8,364,922
 
Household Products — 0.3%
 
4,029
WD-40 Co.
911,078
 
Independent Power and
Renewable Electricity
Producers — 0.2%
 
28,459
AES (The) Corp.
509,416
 
Industrial REITs — 0.1%
 
2,838
EastGroup Properties, Inc.
440,912
 
Insurance — 2.0%
 
4,862
Kinsale Capital Group, Inc.
1,766,121
8,069
Primerica, Inc.
1,709,498
10,310
RLI Corp.
1,457,319
27,582
Ryan Specialty Holdings, Inc.
1,360,896
 
 
6,293,834
 
Interactive Media & Services
— 0.1%
 
14,065
Match Group, Inc. (a)
433,483
 
IT Services — 0.6%
 
93,799
Kyndryl Holdings, Inc. (a)
1,844,088
 
Leisure Products — 0.6%
 
23,211
Acushnet Holdings Corp.
1,415,407
9,028
Hasbro, Inc.
553,416
 
 
1,968,823
 
Life Sciences Tools & Services
— 1.7%
 
21,728
Bruker Corp.
1,695,002
Shares
Description
Value
 
 
Life Sciences Tools & Services
(Continued)
 
5,650
Charles River Laboratories
International, Inc. (a)
$1,293,850
6,312
Medpace Holdings, Inc. (a)
2,451,265
 
 
5,440,117
 
Machinery — 5.8%
 
31,435
Allison Transmission Holdings,
Inc.
2,312,044
20,498
Donaldson Co., Inc.
1,479,956
23,075
Esab Corp.
2,443,181
24,049
Federal Signal Corp.
1,955,184
9,555
Franklin Electric Co., Inc.
919,860
15,005
ITT, Inc.
1,940,747
6,220
Kadant, Inc.
1,702,974
1,888
RBC Bearings, Inc. (a)
461,710
20,721
SPX Technologies, Inc. (a)
2,524,025
45,357
Symbotic, Inc. (a) (b)
1,749,419
4,802
Watts Water Technologies, Inc.,
Class A
953,005
 
 
18,442,105
 
Media — 0.2%
 
11,807
New York Times (The) Co.,
Class A
508,055
 
Metals & Mining — 1.6%
 
4,622
Alpha Metallurgical Resources,
Inc.
1,511,949
39,888
ATI, Inc. (a)
2,381,314
16,813
Warrior Met Coal, Inc.
1,149,168
 
 
5,042,431
 
Mortgage REITs — 0.6%
 
51,831
Annaly Capital Management,
Inc.
971,313
50,199
Starwood Property Trust, Inc.
952,275
 
 
1,923,588
 
Oil, Gas & Consumable Fuels
— 1.1%
 
108,876
Antero Midstream Corp.
1,506,844
6,722
Civitas Resources, Inc.
483,715
86,682
Permian Resources Corp.
1,451,923
 
 
3,442,482
 
Passenger Airlines — 0.4%
 
99,726
American Airlines Group,
Inc. (a)
1,347,298
 
Personal Care Products —
1.8%
 
34,577
BellRing Brands, Inc. (a)
1,907,613
85,329
Coty, Inc., Class A (a)
976,164
13,015
elf Beauty, Inc. (a)
2,115,328
7,263
Inter Parfums, Inc.
845,268
 
 
5,844,373

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Pharmaceuticals — 0.6%
 
12,789
Axsome Therapeutics, Inc. (a)
$943,317
14,747
Intra-Cellular Therapies, Inc. (a)
1,058,982
 
 
2,002,299
 
Professional Services — 2.3%
 
32,093
ExlService Holdings, Inc. (a)
930,697
4,853
FTI Consulting, Inc. (a)
1,037,717
30,758
Parsons Corp. (a)
2,414,810
2,969
Paylocity Holding Corp. (a)
460,670
15,405
TriNet Group, Inc.
1,546,200
40,870
Verra Mobility Corp. (a)
963,715
 
 
7,353,809
 
Residential REITs — 0.2%
 
31,635
Independence Realty Trust, Inc.
498,884
 
Retail REITs — 0.5%
 
21,760
Brixmor Property Group, Inc.
480,896
88,845
Macerich (The) Co.
1,222,507
 
 
1,703,403
 
Semiconductors &
Semiconductor Equipment
— 1.2%
 
5,336
MACOM Technology Solutions
Holdings, Inc. (a)
544,005
15,347
MKS Instruments, Inc.
1,825,986
8,454
Onto Innovation, Inc. (a)
1,568,133
 
 
3,938,124
 
Software — 9.6%
 
5,923
Altair Engineering, Inc.,
Class A (a)
476,505
8,272
Appfolio, Inc., Class A (a)
1,875,924
36,858
AppLovin Corp., Class A (a)
2,601,069
7,901
BlackLine, Inc. (a)
458,653
36,036
Box, Inc., Class A (a)
937,657
11,519
Braze, Inc., Class A (a)
482,646
42,665
CCC Intelligent Solutions
Holdings, Inc. (a)
478,701
20,123
CommVault Systems, Inc. (a)
2,062,004
33,438
Confluent, Inc., Class A (a)
940,277
17,137
DocuSign, Inc. (a)
969,954
29,026
DoubleVerify Holdings, Inc. (a)
850,462
10,181
Elastic N.V. (a)
1,040,702
17,498
Gitlab, Inc., Class A (a)
918,120
8,744
Guidewire Software, Inc. (a)
965,338
58,316
Informatica, Inc., Class A (a)
1,806,046
90,392
Marathon Digital Holdings,
Inc. (a)
1,451,696
1,197
MicroStrategy, Inc., Class A (a)
1,274,841
40,952
nCino, Inc. (a)
1,194,160
31,576
Pegasystems, Inc.
1,876,246
18,630
Procore Technologies, Inc. (a)
1,274,665
Shares
Description
Value
 
 
Software (Continued)
 
3,058
Qualys, Inc. (a)
$501,237
10,405
Rapid7, Inc. (a)
466,144
54,011
Samsara, Inc., Class A (a)
1,886,604
43,781
SentinelOne, Inc., Class A (a)
925,093
2,759
SPS Commerce, Inc. (a)
479,707
10,322
Tenable Holdings, Inc. (a)
464,180
45,017
UiPath, Inc., Class A (a)
853,972
32,453
Varonis Systems, Inc. (a)
1,419,819
 
 
30,932,422
 
Specialized REITs — 0.3%
 
8,546
Lamar Advertising Co., Class A
990,054
 
Specialty Retail — 3.9%
 
20,357
Abercrombie & Fitch Co.,
Class A (a)
2,473,783
29,022
Carvana Co. (a)
2,406,504
2,813
Five Below, Inc. (a)
411,654
15,747
Floor & Decor Holdings, Inc.,
Class A (a)
1,737,367
4,868
Murphy USA, Inc.
2,014,476
22,552
Wayfair, Inc., Class A (a)
1,130,983
8,035
Williams-Sonoma, Inc.
2,304,277
 
 
12,479,044
 
Textiles, Apparel & Luxury
Goods — 1.0%
 
16,938
Kontoor Brands, Inc.
1,051,172
13,588
Ralph Lauren Corp.
2,223,541
 
 
3,274,713
 
Trading Companies &
Distributors — 3.3%
 
7,749
Applied Industrial Technologies,
Inc.
1,420,004
44,565
Core & Main, Inc., Class A (a)
2,516,586
37,910
FTAI Aviation Ltd.
2,661,661
11,422
GATX Corp.
1,397,596
15,160
Herc Holdings, Inc.
2,168,335
5,259
MSC Industrial Direct Co., Inc.,
Class A
479,831
 
 
10,644,013
 
Total Common Stocks
320,276,947
 
(Cost $287,038,974)
 

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
MONEY MARKET FUNDS — 1.2%
451,149
Dreyfus Government Cash
Management Fund,
Institutional Shares -
5.19% (c)
$451,149
3,353,298
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (c) (d)
3,353,298
 
Total Money Market Funds
3,804,447
 
(Cost $3,804,447)
 
 
 
 
Total Investments — 101.1%
324,081,394
 
(Cost $290,843,421)
 
 
Net Other Assets and
Liabilities — (1.1)%
(3,479,908
)
 
Net Assets — 100.0%
$320,601,486
(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, including those sold
and pending settlement, is $3,177,850 and the total value of
the collateral held by the Fund is $3,353,298.
(c)
Rate shown reflects yield as of April 30, 2024.
(d)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$320,276,947
$320,276,947
$
$
Money Market
Funds
3,804,447
3,804,447
Total Investments
$324,081,394
$324,081,394
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
 
Aerospace & Defense — 0.2%
 
4,132
AAR Corp. (a)
$285,686
 
Air Freight & Logistics —
1.3%
 
91,631
Air Transport Services Group,
Inc. (a)
1,174,710
16,211
Forward Air Corp.
356,966
23,338
Hub Group, Inc., Class A
938,654
 
 
2,470,330
 
Automobile Components —
2.4%
 
30,640
Adient PLC (a)
915,217
79,423
Dana, Inc.
987,228
2,567
Dorman Products, Inc. (a)
224,484
14,254
Fox Factory Holding Corp. (a)
554,766
4,221
Patrick Industries, Inc.
441,052
32,809
Phinia, Inc.
1,279,551
 
 
4,402,298
 
Automobiles — 0.3%
 
10,030
Winnebago Industries, Inc.
617,647
 
Banks — 20.7%
 
14,159
1st Source Corp.
702,286
23,447
Associated Banc-Corp.
494,028
14,283
Atlantic Union Bankshares Corp.
453,771
18,665
Axos Financial, Inc. (a)
944,636
26,508
BankUnited, Inc.
708,559
21,014
Banner Corp.
916,841
22,004
Berkshire Hills Bancorp, Inc.
469,125
26,663
Cathay General Bancorp
918,274
5,151
Community Bank System, Inc.
222,626
19,010
Customers Bancorp, Inc. (a)
868,187
28,270
CVB Financial Corp.
461,932
73,198
Eastern Bankshares, Inc.
919,367
24,869
Enterprise Financial Services
Corp.
945,271
6,569
FB Financial Corp.
240,754
13,963
First Bancorp
424,615
28,753
First BanCorp
495,989
30,862
First Busey Corp.
689,457
72,462
First Commonwealth Financial
Corp.
955,774
56,237
First Financial Bancorp
1,243,400
22,966
First Hawaiian, Inc.
484,353
27,278
First Interstate BancSystem, Inc.,
Class A
728,322
28,902
First Merchants Corp.
965,905
63,478
Fulton Financial Corp.
1,050,561
14,348
Heartland Financial USA, Inc.
604,194
16,103
Hilltop Holdings, Inc.
471,174
64,486
Hope Bancorp, Inc.
646,150
19,390
Independent Bank Corp.
974,153
Shares
Description
Value
 
 
Banks (Continued)
 
5,420
Independent Bank Group, Inc.
$201,841
17,967
International Bancshares Corp.
999,863
27,964
National Bank Holdings Corp.,
Class A
915,262
13,750
NBT Bancorp, Inc.
481,387
2,877
Nicolet Bankshares, Inc.
220,177
63,711
Northwest Bancshares, Inc.
675,337
61,467
OceanFirst Financial Corp.
907,253
20,164
OFG Bancorp
728,122
10,309
Pacific Premier Bancorp, Inc.
221,643
19,982
Pathward Financial, Inc.
1,006,493
34,065
Peoples Bancorp, Inc.
989,247
9,668
Preferred Bank
731,771
69,229
Provident Financial Services,
Inc.
1,016,282
23,698
Renasant Corp.
688,664
31,442
S&T Bancorp, Inc.
947,976
43,515
Sandy Spring Bancorp, Inc.
889,882
19,864
Seacoast Banking Corp. of
Florida
458,262
38,141
Simmons First National Corp.,
Class A
651,830
8,194
Texas Capital Bancshares,
Inc. (a)
470,336
26,452
TowneBank
684,313
20,180
TriCo Bancshares
701,659
26,405
Trustmark Corp.
781,588
19,162
United Community Banks, Inc.
483,457
49,227
Veritex Holdings, Inc.
958,942
25,568
WaFd, Inc.
692,637
24,899
WesBanco, Inc.
672,273
22,345
WSFS Financial Corp.
954,802
 
 
38,131,003
 
Broadline Retail — 0.6%
 
43,253
Kohl’s Corp.
1,035,477
 
Building Products — 1.9%
 
12,538
Apogee Enterprises, Inc.
774,597
23,756
JELD-WEN Holding, Inc. (a)
486,998
39,607
Masterbrand, Inc. (a)
660,249
19,314
Quanex Building Products Corp.
641,611
44,990
Resideo Technologies, Inc. (a)
878,655
 
 
3,442,110
 
Capital Markets — 1.8%
 
5,405
Artisan Partners Asset
Management, Inc., Class A
221,227
8,133
Donnelley Financial Solutions,
Inc. (a)
510,590
20,549
Federated Hermes, Inc.
675,034
10,564
StoneX Group, Inc. (a)
766,946

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Capital Markets (Continued)
 
11,886
Victory Capital Holdings, Inc.,
Class A
$604,522
2,034
Virtus Investment Partners, Inc.
446,097
 
 
3,224,416
 
Chemicals — 1.5%
 
66,568
Ecovyst, Inc. (a)
627,736
13,453
Koppers Holdings, Inc.
689,870
6,699
Minerals Technologies, Inc.
488,290
31,557
Orion S.A.
746,639
2,748
Stepan Co.
228,056
 
 
2,780,591
 
Commercial Services &
Supplies — 3.0%
 
22,606
ABM Industries, Inc.
987,882
64,617
CoreCivic, Inc. (a)
962,793
71,436
GEO Group (The), Inc. (a)
1,061,539
5,482
HNI Corp.
229,970
23,881
Matthews International Corp.,
Class A
644,310
40,738
MillerKnoll, Inc.
1,035,967
4,280
UniFirst Corp.
685,357
 
 
5,607,818
 
Construction & Engineering
— 0.3%
 
11,847
Primoris Services Corp.
552,070
 
Consumer Finance — 2.5%
 
33,857
Bread Financial Holdings, Inc.
1,249,662
16,054
Enova International, Inc. (a)
971,749
57,969
Navient Corp.
870,694
2,614
Nelnet, Inc., Class A
246,187
36,610
PROG Holdings, Inc.
1,216,916
 
 
4,555,208
 
Consumer Staples Distribution
& Retail — 2.1%
 
12,938
Andersons (The), Inc.
710,814
8,597
Grocery Outlet Holding
Corp. (a)
223,264
16,443
Ingles Markets, Inc., Class A
1,179,785
6,004
PriceSmart, Inc.
483,863
19,578
Weis Markets, Inc.
1,235,959
 
 
3,833,685
 
Containers & Packaging —
1.3%
 
18,260
Greif, Inc., Class A
1,118,973
30,400
O-I Glass, Inc. (a)
454,784
17,277
Pactiv Evergreen, Inc.
263,302
18,868
TriMas Corp.
490,379
 
 
2,327,438
Shares
Description
Value
 
 
Diversified Consumer Services
— 2.0%
 
166,557
Chegg, Inc. (a)
$861,100
1,642
Graham Holdings Co., Class B
1,151,649
71,802
Perdoceo Education Corp.
1,313,977
2,376
Strategic Education, Inc.
272,860
 
 
3,599,586
 
Diversified REITs — 1.2%
 
15,022
Alexander & Baldwin, Inc.
247,413
46,037
American Assets Trust, Inc.
982,890
64,370
Broadstone Net Lease, Inc.
937,227
 
 
2,167,530
 
Diversified Telecommunication
Services — 0.7%
 
144,302
Liberty Latin America Ltd.,
Class C (a)
1,088,037
14,244
Shenandoah
Telecommunications Co.
182,608
 
 
1,270,645
 
Electric Utilities — 1.0%
 
111,876
Hawaiian Electric Industries, Inc.
1,101,979
19,719
PNM Resources, Inc.
730,786
 
 
1,832,765
 
Electrical Equipment — 0.1%
 
6,470
Vicor Corp. (a)
209,499
 
Electronic Equipment,
Instruments & Components
— 2.7%
 
5,446
Belden, Inc.
442,596
5,288
CTS Corp.
241,926
6,421
ePlus, Inc. (a)
493,646
62,650
Knowles Corp. (a)
991,750
7,650
PC Connection, Inc.
474,071
5,319
Plexus Corp. (a)
537,272
2,085
Rogers Corp. (a)
248,303
15,809
TTM Technologies, Inc. (a)
236,028
55,592
Vishay Intertechnology, Inc.
1,286,399
 
 
4,951,991
 
Energy Equipment & Services
— 0.3%
 
9,049
Kodiak Gas Services, Inc.
245,952
10,573
Oceaneering International,
Inc. (a)
242,227
 
 
488,179
 
Entertainment — 0.5%
 
25,689
Sphere Entertainment Co. (a)
998,275
 
Financial Services — 0.9%
 
38,987
NMI Holdings, Inc., Class A (a)
1,203,139
4,990
Walker & Dunlop, Inc.
457,234
 
 
1,660,373

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Food Products — 1.4%
 
21,425
Cal-Maine Foods, Inc.
$1,185,445
9,549
Fresh Del Monte Produce, Inc.
244,168
12,948
TreeHouse Foods, Inc. (a)
486,197
26,826
WK Kellogg Co.
626,119
 
 
2,541,929
 
Gas Utilities — 1.4%
 
2,306
Chesapeake Utilities Corp.
244,136
33,875
Northwest Natural Holding Co.
1,292,331
16,436
Spire, Inc.
1,015,581
 
 
2,552,048
 
Ground Transportation —
2.6%
 
1,736
ArcBest Corp.
192,540
84,478
Heartland Express, Inc.
839,711
161,027
Hertz Global Holdings, Inc. (a)
732,673
54,582
Marten Transport Ltd.
923,527
55,691
Schneider National, Inc., Class B
1,151,690
25,784
Werner Enterprises, Inc.
881,813
 
 
4,721,954
 
Health Care Equipment &
Supplies — 0.8%
 
3,962
Enovis Corp. (a)
218,821
6,916
ICU Medical, Inc. (a)
677,215
6,979
Integra LifeSciences Holdings
Corp. (a)
203,577
17,254
Omnicell, Inc. (a)
462,580
 
 
1,562,193
 
Health Care Providers &
Services — 2.1%
 
2,394
Addus HomeCare Corp. (a)
230,183
16,136
AMN Healthcare Services,
Inc. (a)
967,837
7,853
National HealthCare Corp.
713,602
26,844
Patterson Cos., Inc.
683,717
57,052
Premier, Inc., Class A
1,191,246
 
 
3,786,585
 
Health Care REITs — 0.1%
 
52,640
Medical Properties Trust, Inc. (b)
242,144
 
Hotel & Resort REITs — 0.9%
 
106,670
RLJ Lodging Trust
1,173,370
33,600
Xenia Hotels & Resorts, Inc.
466,032
 
 
1,639,402
 
Hotels, Restaurants & Leisure
— 2.4%
 
25,880
Bloomin’ Brands, Inc.
667,445
10,152
Brinker International, Inc. (a)
544,147
6,844
Cheesecake Factory (The), Inc.
236,255
6,934
Cracker Barrel Old Country
Store, Inc. (b)
403,490
Shares
Description
Value
 
 
Hotels, Restaurants & Leisure
(Continued)
 
34,234
Golden Entertainment, Inc.
$1,097,200
32,496
Life Time Group Holdings,
Inc. (a)
443,895
6,890
Marriott Vacations Worldwide
Corp.
662,198
6,725
Monarch Casino & Resort, Inc.
455,753
 
 
4,510,383
 
Household Durables — 2.8%
 
38,440
Beazer Homes USA, Inc. (a)
1,077,473
620
Cavco Industries, Inc. (a)
225,810
10,453
Century Communities, Inc.
829,132
6,441
Helen of Troy Ltd. (a)
597,145
33,515
La-Z-Boy, Inc.
1,100,633
6,378
LGI Homes, Inc. (a)
573,574
11,927
Worthington Enterprises, Inc.
681,747
 
 
5,085,514
 
Household Products — 1.0%
 
20,104
Central Garden & Pet Co.,
Class A (c)
712,285
14,165
Spectrum Brands Holdings, Inc.
1,159,688
 
 
1,871,973
 
Independent Power and
Renewable Electricity
Producers — 0.3%
 
21,880
Clearway Energy, Inc., Class C
511,554
 
Industrial REITs — 0.1%
 
27,429
LXP Industrial Trust
229,032
 
Insurance — 1.4%
 
36,706
CNO Financial Group, Inc.
966,469
27,778
Employers Holdings, Inc.
1,183,065
38,477
Genworth Financial, Inc.,
Class A (a)
228,169
3,803
Stewart Information Services
Corp.
235,824
 
 
2,613,527
 
Interactive Media & Services
— 0.6%
 
16,202
Shutterstock, Inc.
691,987
8,000
Ziff Davis, Inc. (a)
400,880
 
 
1,092,867
 
Leisure Products — 0.7%
 
77,974
Topgolf Callaway Brands
Corp. (a)
1,249,143
 
Machinery — 2.9%
 
2,646
Albany International Corp.,
Class A
211,019
7,672
Atmus Filtration Technologies,
Inc. (a)
232,385
6,660
Barnes Group, Inc.
231,235

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Machinery (Continued)
 
11,300
Columbus McKinnon Corp.
$466,351
5,536
Helios Technologies, Inc.
249,674
4,920
Hillenbrand, Inc.
234,782
12,021
John Bean Technologies Corp.
1,070,951
29,761
Kennametal, Inc.
700,276
4,286
Lindsay Corp.
497,819
15,377
Mueller Water Products, Inc.,
Class A
243,572
57,077
REV Group, Inc.
1,247,703
 
 
5,385,767
 
Media — 2.1%
 
57,138
Advantage Solutions, Inc. (a)
243,408
94,793
Altice USA, Inc., Class A (a)
182,950
2,980
Cable One, Inc.
1,173,673
33,435
Scholastic Corp.
1,190,955
84,394
TEGNA, Inc.
1,151,134
 
 
3,942,120
 
Metals & Mining — 1.5%
 
7,841
Arch Resources, Inc.
1,244,994
5,644
Kaiser Aluminum Corp.
510,726
37,637
Ryerson Holding Corp.
1,074,536
 
 
2,830,256
 
Mortgage REITs — 2.4%
 
22,209
Apollo Commercial Real Estate
Finance, Inc.
213,873
95,158
Arbor Realty Trust, Inc. (b)
1,220,877
218,801
Chimera Investment Corp.
901,460
25,349
Claros Mortgage Trust, Inc.
220,536
65,051
MFA Financial, Inc.
688,890
138,098
Ready Capital Corp.
1,176,595
 
 
4,422,231
 
Multi-Utilities — 1.2%
 
36,003
Avista Corp.
1,295,388
19,805
Northwestern Energy Group,
Inc.
998,964
 
 
2,294,352
 
Office REITs — 2.5%
 
36,362
Douglas Emmett, Inc.
498,523
43,817
Easterly Government Properties,
Inc.
512,221
39,313
Equity Commonwealth (a)
735,939
48,160
Highwoods Properties, Inc.
1,261,792
156,383
Hudson Pacific Properties, Inc.
907,022
31,423
JBG SMITH Properties
471,659
52,753
Paramount Group, Inc.
244,774
 
 
4,631,930
 
Oil, Gas & Consumable Fuels
— 5.0%
 
22,883
California Resources Corp.
1,209,595
Shares
Description
Value
 
 
Oil, Gas & Consumable Fuels
(Continued)
 
53,155
CNX Resources Corp. (a)
$1,250,205
135,866
Comstock Resources, Inc.
1,366,812
8,048
Delek US Holdings, Inc.
219,952
169,240
Kosmos Energy Ltd. (a)
959,591
34,022
Par Pacific Holdings, Inc. (a)
1,047,878
90,512
Talos Energy, Inc. (a)
1,192,948
23,998
Vital Energy, Inc. (a)
1,272,374
28,062
World Kinect Corp.
659,457
 
 
9,178,812
 
Paper & Forest Products —
0.6%
 
16,337
Sylvamo Corp.
1,021,063
 
Passenger Airlines — 0.8%
 
16,764
Allegiant Travel Co.
914,644
100,031
JetBlue Airways Corp. (a)
568,176
 
 
1,482,820
 
Personal Care Products —
1.0%
 
19,209
Edgewell Personal Care Co.
722,643
73,854
Herbalife Ltd. (a)
638,837
386,578
Olaplex Holdings, Inc. (a)
537,343
 
 
1,898,823
 
Pharmaceuticals — 1.2%
 
82,732
Innoviva, Inc. (a)
1,250,081
6,899
Ligand Pharmaceuticals, Inc. (a)
482,171
17,260
Pacira BioSciences, Inc. (a)
453,075
 
 
2,185,327
 
Professional Services — 0.5%
 
4,800
CSG Systems International, Inc.
226,752
3,508
Kforce, Inc.
216,654
3,762
Korn Ferry
228,428
2,524
NV5 Global, Inc. (a)
235,338
 
 
907,172
 
Real Estate Management &
Development — 0.2%
 
45,439
Newmark Group, Inc., Class A
434,851
 
Retail REITs — 0.3%
 
18,440
Getty Realty Corp.
499,724
 
Semiconductors &
Semiconductor Equipment
— 0.7%
 
7,423
Cohu, Inc. (a)
225,065
14,307
Diodes, Inc. (a)
1,044,554
 
 
1,269,619
 
Software — 0.4%
 
67,970
Adeia, Inc.
668,825
 
Specialty Retail — 3.1%
 
5,300
Boot Barn Holdings, Inc. (a)
564,291

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Specialty Retail (Continued)
 
18,431
Buckle (The), Inc.
$689,135
32,052
Guess?, Inc.
858,352
19,014
ODP (The) Corp. (a)
968,003
81,213
Sally Beauty Holdings, Inc. (a)
881,161
17,715
Sonic Automotive, Inc., Class A
1,024,636
38,299
Victoria’s Secret & Co. (a)
674,828
 
 
5,660,406
 
Technology Hardware, Storage
& Peripherals — 0.9%
 
36,610
Diebold Nixdorf, Inc. (a)
1,159,072
41,465
Xerox Holdings Corp.
551,070
 
 
1,710,142
 
Textiles, Apparel & Luxury
Goods — 1.1%
 
5,956
Carter’s, Inc.
407,450
2,201
Oxford Industries, Inc.
237,224
5,852
Steven Madden Ltd.
236,479
170,845
Under Armour, Inc., Class A (a)
1,149,787
 
 
2,030,940
 
Tobacco — 0.7%
 
24,378
Universal Corp.
1,253,761
 
Trading Companies &
Distributors — 1.3%
 
3,872
BlueLinx Holdings, Inc. (a)
424,642
173,311
Custom Truck One Source,
Inc. (a)
864,822
82,950
DNOW, Inc. (a)
1,170,425
 
 
2,459,889
 
Water Utilities — 0.4%
 
13,116
SJW Group
714,166
 
Wireless Telecommunication
Services — 1.1%
 
84,536
Gogo, Inc. (a)
765,896
34,543
United States Cellular Corp. (a)
1,255,984
 
 
2,021,880
 
Total Common Stocks
183,559,744
 
(Cost $184,724,559)
 
Shares
Description
Value
MONEY MARKET FUNDS — 1.1%
282,662
Dreyfus Government Cash
Management Fund,
Institutional Shares -
5.19% (d)
$282,662
1,819,660
Goldman Sachs Financial Square
Treasury Obligations Fund -
Institutional Class -
5.11% (d) (e)
1,819,660
 
Total Money Market Funds
2,102,322
 
(Cost $2,102,322)
 
 
 
 
Total Investments — 100.9%
185,662,066
 
(Cost $186,826,881)
 
 
Net Other Assets and
Liabilities — (0.9)%
(1,696,688
)
 
Net Assets — 100.0%
$183,965,378
(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, including those sold
and pending settlement, is $1,744,791 and the total value of
the collateral held by the Fund is $1,819,660.
(c)
Non-income producing security which makes payment-in-
kind (“PIK”) distributions. For the fiscal year-to-
date period (August 1, 2023 to April 30, 2024), the Fund
received 4,299 PIK shares of Central Garden & Pet Co.,
Class A. 
(d)
Rate shown reflects yield as of April 30, 2024.
(e)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$183,559,744
$183,559,744
$
$
Money Market
Funds
2,102,322
2,102,322
Total Investments
$185,662,066
$185,662,066
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
 
Aerospace & Defense — 1.8%
 
38,132
Cadre Holdings, Inc.
$1,271,702
55,264
Kratos Defense & Security
Solutions, Inc. (a)
984,805
47,837
Spirit AeroSystems Holdings,
Inc., Class A (a)
1,530,784
67,536
Triumph Group, Inc. (a)
902,281
 
 
4,689,572
 
Automobile Components —
0.6%
 
102,188
Garrett Motion, Inc. (a)
976,917
2,879
Visteon Corp. (a)
318,504
6,268
XPEL, Inc. (a) (b)
329,383
 
 
1,624,804
 
Banks — 2.2%
 
45,377
Banc of California, Inc.
621,211
7,840
BancFirst Corp.
699,093
20,627
Bancorp (The), Inc. (a)
617,572
6,622
City Holding Co.
668,955
15,316
Lakeland Financial Corp.
900,121
41,697
Stellar Bancorp, Inc.
925,673
14,111
Stock Yards Bancorp, Inc.
628,645
14,120
Westamerica BanCorp
657,286
 
 
5,718,556
 
Beverages — 0.3%
 
28,252
Vita Coco (The) Co., Inc. (a)
684,828
 
Biotechnology — 12.1%
 
261,434
ADMA Biologics, Inc. (a)
1,704,550
47,208
Agios Pharmaceuticals, Inc. (a)
1,534,260
43,528
Alpine Immune Sciences,
Inc. (a)
2,811,474
236,365
Ardelyx, Inc. (a)
1,512,736
41,779
Beam Therapeutics, Inc. (a)
886,550
63,723
Catalyst Pharmaceuticals,
Inc. (a)
959,031
32,889
Celldex Therapeutics, Inc. (a)
1,230,706
21,699
Crinetics Pharmaceuticals,
Inc. (a)
950,850
21,525
Deciphera Pharmaceuticals,
Inc. (a)
543,937
16,500
Denali Therapeutics, Inc. (a)
254,760
307,802
Geron Corp. (a)
1,209,662
23,148
Ideaya Biosciences, Inc. (a)
940,966
321,316
ImmunityBio, Inc. (a) (c)
2,567,315
42,922
Kymera Therapeutics, Inc. (a)
1,443,038
30,654
Merus N.V. (a)
1,376,671
13,479
Mirum Pharmaceuticals, Inc. (a)
338,458
9,619
Morphic Holding, Inc. (a)
262,310
32,373
Myriad Genetics, Inc. (a)
633,540
47,714
Protagonist Therapeutics, Inc. (a)
1,198,099
34,917
PTC Therapeutics, Inc. (a)
1,122,582
Shares
Description
Value
 
 
Biotechnology (Continued)
 
33,960
Recursion Pharmaceuticals, Inc.,
Class A (a)
$265,567
31,857
Rhythm Pharmaceuticals, Inc. (a)
1,266,634
38,862
Scholar Rock Holding Corp. (a)
570,106
333,423
Summit Therapeutics, Inc. (a) (c)
1,310,352
42,643
Tango Therapeutics, Inc. (a)
328,351
66,781
TG Therapeutics, Inc. (a)
912,228
40,232
Twist Bioscience Corp. (a)
1,256,445
15,279
Veracyte, Inc. (a)
299,010
33,169
Vericel Corp. (a)
1,521,462
 
 
31,211,650
 
Broadline Retail — 0.5%
 
68,099
Nordstrom, Inc.
1,294,562
 
Building Products — 3.7%
 
13,578
American Woodmark Corp. (a)
1,250,262
22,319
AZZ, Inc.
1,598,710
5,884
CSW Industrials, Inc.
1,398,156
12,613
Gibraltar Industries, Inc. (a)
901,325
23,527
Griffon Corp.
1,541,489
91,234
Janus International Group,
Inc. (a)
1,314,682
26,530
Tecnoglass, Inc.
1,473,742
 
 
9,478,366
 
Capital Markets — 2.2%
 
38,983
AssetMark Financial Holdings,
Inc. (a)
1,318,015
61,079
Golub Capital BDC, Inc.
1,060,942
10,776
PJT Partners, Inc., Class A
1,018,224
22,724
TPG, Inc.
979,405
150,204
WisdomTree, Inc.
1,336,816
 
 
5,713,402
 
Chemicals — 1.4%
 
17,974
Hawkins, Inc.
1,361,890
7,878
Innospec, Inc.
945,360
18,506
Scotts Miracle-Gro (The) Co.
1,268,401
 
 
3,575,651
 
Commercial Services &
Supplies — 2.0%
 
54,115
ACV Auctions, Inc., Class A (a)
944,307
11,643
Brady Corp., Class A
686,937
19,495
Cimpress PLC (a)
1,662,339
64,329
Driven Brands Holdings, Inc. (a)
921,834
77,656
Steelcase, Inc., Class A
934,202
 
 
5,149,619
 
Communications Equipment
— 0.2%
 
51,353
Harmonic, Inc. (a)
551,531

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Construction & Engineering
— 3.9%
 
30,730
Construction Partners, Inc.,
Class A (a)
$1,586,897
12,022
Dycom Industries, Inc. (a)
1,683,320
30,203
Granite Construction, Inc.
1,676,267
14,185
IES Holdings, Inc. (a)
1,916,677
9,762
MYR Group, Inc. (a)
1,622,933
15,642
Sterling Infrastructure, Inc. (a)
1,589,227
 
 
10,075,321
 
Construction Materials —
0.7%
 
5,787
United States Lime & Minerals,
Inc.
1,793,970
 
Diversified Consumer Services
— 2.6%
 
19,762
Adtalem Global Education,
Inc. (a)
980,590
21,184
Frontdoor, Inc. (a)
650,137
94,741
Laureate Education, Inc.
1,373,744
89,056
Mister Car Wash, Inc. (a)
595,785
76,776
OneSpaWorld Holdings Ltd. (a)
976,591
21,893
Stride, Inc. (a)
1,461,358
62,859
Udemy, Inc. (a)
629,847
 
 
6,668,052
 
Diversified REITs — 0.4%
 
100,271
Empire State Realty Trust, Inc.,
Class A
912,466
 
Diversified Telecommunication
Services — 0.2%
 
469,514
Globalstar, Inc. (a)
605,673
 
Electric Utilities — 0.1%
 
4,301
MGE Energy, Inc.
336,854
 
Electrical Equipment — 1.2%
 
19,526
Fluence Energy, Inc. (a)
348,344
12,125
Powell Industries, Inc.
1,733,875
31,044
Thermon Group Holdings,
Inc. (a)
991,235
 
 
3,073,454
 
Electronic Equipment,
Instruments & Components
— 2.4%
 
18,650
Itron, Inc. (a)
1,718,038
121,405
Mirion Technologies, Inc. (a)
1,319,672
25,293
Napco Security Technologies,
Inc.
1,029,425
9,665
OSI Systems, Inc. (a)
1,270,368
22,393
PAR Technology Corp. (a)
946,776
 
 
6,284,279
Shares
Description
Value
 
 
Energy Equipment & Services
— 2.2%
 
87,721
Archrock, Inc.
$1,683,366
20,278
Cactus, Inc., Class A
1,006,600
74,468
Diamond Offshore Drilling,
Inc. (a)
911,488
127,341
Helix Energy Solutions Group,
Inc. (a)
1,367,643
89,171
RPC, Inc.
596,554
 
 
5,565,651
 
Entertainment — 0.5%
 
76,815
Cinemark Holdings, Inc. (a)
1,316,609
 
Financial Services — 2.7%
 
104,971
AvidXchange Holdings, Inc. (a)
1,223,962
17,298
EVERTEC, Inc.
649,194
7,011
Federal Agricultural Mortgage
Corp., Class C
1,304,957
13,647
Flywire Corp. (a)
279,764
39,960
Merchants Bancorp
1,611,587
69,667
Payoneer Global, Inc. (a)
344,155
48,975
Remitly Global, Inc. (a)
873,224
47,435
Rocket Cos., Inc., Class A (a)
582,502
 
 
6,869,345
 
Food Products — 0.4%
 
2,342
J & J Snack Foods Corp.
321,533
21,548
Tootsie Roll Industries, Inc.
640,191
 
 
961,724
 
Health Care Equipment &
Supplies — 3.1%
 
15,307
LeMaitre Vascular, Inc.
991,894
34,914
PROCEPT BioRobotics
Corp. (a)
1,849,744
33,452
RxSight, Inc. (a)
1,743,853
28,685
Tandem Diabetes Care, Inc. (a)
1,052,453
9,334
TransMedics Group, Inc. (a)
878,609
6,842
UFP Technologies, Inc. (a)
1,409,041
 
 
7,925,594
 
Health Care Providers &
Services — 2.7%
 
55,505
agilon health, Inc. (a)
305,278
68,262
Alignment Healthcare, Inc. (a)
351,549
261,039
Brookdale Senior Living, Inc. (a)
1,772,455
111,536
Hims & Hers Health, Inc. (a)
1,397,546
54,875
LifeStance Health Group,
Inc. (a)
339,127
43,905
NeoGenomics, Inc. (a)
611,158
17,283
Privia Health Group, Inc. (a)
318,007
35,460
RadNet, Inc. (a)
1,719,810
 
 
6,814,930
 
Health Care REITs — 0.8%
 
13,893
CareTrust REIT, Inc.
343,435

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Health Care REITs
(Continued)
 
16,167
National Health Investors, Inc.
$1,019,491
46,729
Sabra Health Care REIT, Inc.
650,468
 
 
2,013,394
 
Health Care Technology —
0.5%
 
18,936
Certara, Inc. (a)
323,995
12,582
Doximity, Inc., Class A (a)
305,617
28,842
Phreesia, Inc. (a)
598,183
 
 
1,227,795
 
Hotel & Resort REITs — 1.6%
 
105,697
DiamondRock Hospitality Co.
940,703
98,654
Park Hotels & Resorts, Inc.
1,591,289
44,788
Pebblebrook Hotel Trust
650,770
91,180
Sunstone Hotel Investors, Inc.
930,036
 
 
4,112,798
 
Hotels, Restaurants & Leisure
— 5.3%
 
100,757
Bowlero Corp., Class A (c)
1,183,895
27,563
Dave & Buster’s Entertainment,
Inc. (a)
1,471,864
20,915
Dutch Bros, Inc., Class A (a)
588,966
70,084
First Watch Restaurant Group,
Inc. (a)
1,788,544
4,944
Jack in the Box, Inc.
282,154
14,983
Kura Sushi USA, Inc.,
Class A (a)
1,649,329
5,084
Papa John’s International, Inc.
313,632
16,980
Red Rock Resorts, Inc., Class A
901,977
16,586
Shake Shack, Inc., Class A (a)
1,755,628
68,308
Sweetgreen, Inc., Class A (a)
1,534,881
35,242
Travel + Leisure Co.
1,534,437
12,279
United Parks & Resorts, Inc. (a)
624,019
 
 
13,629,326
 
Household Durables — 1.2%
 
39,457
Dream Finders Homes, Inc.,
Class A (a)
1,400,724
28,648
Green Brick Partners, Inc. (a)
1,550,716
 
 
2,951,440
 
Industrial REITs — 0.4%
 
9,810
Innovative Industrial Properties,
Inc.
1,014,354
 
Insurance — 3.8%
 
47,698
BRP Group, Inc., Class A (a)
1,270,675
5,082
Goosehead Insurance, Inc.,
Class A (a)
289,217
84,118
Lemonade, Inc. (a) (c)
1,449,353
116,037
Oscar Health, Inc., Class A (a)
2,015,563
20,583
Palomar Holdings, Inc. (a)
1,619,264
Shares
Description
Value
 
 
Insurance (Continued)
 
135,756
SiriusPoint Ltd. (a)
$1,599,206
46,123
Skyward Specialty Insurance
Group, Inc. (a)
1,610,615
 
 
9,853,893
 
Interactive Media & Services
— 1.4%
 
29,904
Cargurus, Inc. (a)
671,644
19,708
Cars.com, Inc. (a)
329,321
81,586
Getty Images Holdings, Inc. (a)
300,236
62,090
TripAdvisor, Inc. (a)
1,634,830
17,517
Yelp, Inc. (a)
704,884
 
 
3,640,915
 
IT Services — 1.2%
 
52,466
Couchbase, Inc. (a)
1,266,529
26,604
DigitalOcean Holdings, Inc. (a)
874,207
27,874
Squarespace, Inc., Class A (a)
971,688
 
 
3,112,424
 
Life Sciences Tools & Services
— 0.1%
 
50,459
Cytek Biosciences, Inc. (a)
303,259
1,080
OmniAb, Inc. - 12.5 Earnout
Shares (a) (d) (e) (f) (g)
0
1,080
OmniAb, Inc. - 15 Earnout
Shares (a) (d) (e) (f) (g)
0
 
 
303,259
 
Machinery — 3.7%
 
6,046
Alamo Group, Inc.
1,175,221
38,709
Enerpac Tool Group Corp.
1,379,202
3,163
ESCO Technologies, Inc.
320,886
33,118
Greenbrier (The) Cos., Inc.
1,635,698
5,574
Standex International Corp.
963,633
14,189
Tennant Co.
1,652,735
49,565
Trinity Industries, Inc.
1,289,681
46,105
Wabash National Corp.
1,065,487
 
 
9,482,543
 
Media — 0.7%
 
48,434
EchoStar Corp., Class A (a)
774,459
128,407
Magnite, Inc. (a)
1,133,834
 
 
1,908,293
 
Metals & Mining — 0.7%
 
14,222
Carpenter Technology Corp.
1,218,825
5,239
Materion Corp.
602,171
 
 
1,820,996
 
Mortgage REITs — 1.2%
 
76,029
Franklin BSP Realty Trust, Inc.
949,602
24,302
Hannon Armstrong Sustainable
Infrastructure Capital, Inc.
607,793
30,421
Ladder Capital Corp.
326,418

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Mortgage REITs (Continued)
 
47,015
PennyMac Mortgage Investment
Trust
$651,158
52,129
Two Harbors Investment Corp.
658,389
 
 
3,193,360
 
Office REITs — 0.5%
 
25,038
SL Green Realty Corp.
1,247,643
 
Oil, Gas & Consumable Fuels
— 3.1%
 
12,127
CONSOL Energy, Inc.
1,003,630
35,891
Dorian LPG Ltd.
1,483,016
8,621
Gulfport Energy Corp. (a)
1,368,239
25,947
International Seaways, Inc.
1,434,610
17,311
Kinetik Holdings, Inc.
663,704
27,920
Sitio Royalties Corp., Class A
648,861
102,250
Uranium Energy Corp. (a)
690,187
17,945
Viper Energy, Inc.
684,781
 
 
7,977,028
 
Passenger Airlines — 0.7%
 
24,978
SkyWest, Inc. (a)
1,824,143
 
Pharmaceuticals — 2.7%
 
227,784
Amneal Pharmaceuticals, Inc. (a)
1,378,093
7,711
Amphastar Pharmaceuticals,
Inc. (a)
318,079
119,219
Amylyx Pharmaceuticals,
Inc. (a)
215,786
24,960
ANI Pharmaceuticals, Inc. (a)
1,647,360
16,720
Arvinas, Inc. (a)
531,194
44,448
Collegium Pharmaceutical,
Inc. (a)
1,641,465
13,441
Corcept Therapeutics, Inc. (a)
313,444
30,249
Harmony Biosciences Holdings,
Inc. (a)
934,997
 
 
6,980,418
 
Professional Services — 2.2%
 
21,980
CBIZ, Inc. (a)
1,564,536
20,874
First Advantage Corp.
340,246
10,513
Huron Consulting Group, Inc. (a)
980,232
9,164
ICF International, Inc.
1,322,274
103,476
Legalzoom.com, Inc. (a)
1,236,538
27,617
Upwork, Inc. (a)
323,119
 
 
5,766,945
 
Real Estate Management &
Development — 1.4%
 
71,633
DigitalBridge Group, Inc.
1,177,646
42,933
Forestar Group, Inc. (a)
1,330,494
227,784
Opendoor Technologies, Inc. (a)
453,290
11,906
St. Joe (The) Co.
681,023
 
 
3,642,453
Shares
Description
Value
 
 
Residential REITs — 0.3%
 
41,341
Apartment Investment and
Management Co., Class A (a)
$330,728
20,849
UMH Properties, Inc.
331,916
 
 
662,644
 
Retail REITs — 1.3%
 
40,575
Acadia Realty Trust
701,136
3,179
Alexander’s, Inc.
672,549
13,169
InvenTrust Properties Corp.
333,703
18,431
NETSTREIT Corp.
310,562
23,111
SITE Centers Corp.
311,767
23,372
Tanger, Inc.
662,596
19,605
Urban Edge Properties
327,992
 
 
3,320,305
 
Semiconductors &
Semiconductor Equipment
— 2.7%
 
32,571
Credo Technology Group
Holding Ltd. (a)
582,044
15,126
FormFactor, Inc. (a)
674,468
10,750
Impinj, Inc. (a)
1,713,335
35,867
Photronics, Inc. (a)
983,114
50,214
Semtech Corp. (a)
1,889,051
28,881
Veeco Instruments, Inc. (a)
1,020,655
 
 
6,862,667
 
Software — 7.5%
 
30,586
ACI Worldwide, Inc. (a)
1,042,983
4,018
Agilysys, Inc. (a)
333,695
14,016
Alarm.com Holdings, Inc. (a)
932,064
56,181
Alkami Technology, Inc. (a)
1,352,277
8,475
Appian Corp., Class A (a)
317,304
128,251
AvePoint, Inc. (a)
996,510
65,081
Cleanspark, Inc. (a) (c)
1,066,027
32,449
Clear Secure, Inc., Class A
566,884
17,540
Envestnet, Inc. (a)
1,088,708
25,610
HashiCorp, Inc., Class A (a)
831,301
12,966
InterDigital, Inc.
1,280,133
18,451
Jamf Holding Corp. (a)
359,241
20,005
LiveRamp Holdings, Inc. (a)
642,360
11,893
Model N, Inc. (a)
352,627
25,905
N-able, Inc. (a)
317,595
6,351
Progress Software Corp.
316,407
9,320
PROS Holdings, Inc. (a)
305,230
26,263
Q2 Holdings, Inc. (a)
1,349,656
29,239
RingCentral, Inc., Class A (a)
866,059
80,487
SolarWinds Corp.
886,967
27,594
Sprinklr, Inc., Class A (a)
322,574
11,559
Sprout Social, Inc., Class A (a)
583,152
43,463
Vertex, Inc., Class A (a)
1,266,077

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
 
Software (Continued)
 
126,292
Zeta Global Holdings Corp.,
Class A (a)
$1,560,969
37,125
Zuora, Inc., Class A (a)
366,052
 
 
19,302,852
 
Specialized REITs — 1.0%
 
8,646
National Storage Affiliates Trust
302,956
82,214
Outfront Media, Inc.
1,303,914
172,160
Uniti Group, Inc.
989,920
 
 
2,596,790
 
Specialty Retail — 0.8%
 
42,054
Caleres, Inc.
1,548,849
50,712
Warby Parker, Inc., Class A (a)
595,359
 
 
2,144,208
 
Technology Hardware, Storage
& Peripherals — 0.1%
 
33,892
IonQ, Inc. (a) (c)
289,777
 
Textiles, Apparel & Luxury
Goods — 0.4%
 
35,014
G-III Apparel Group Ltd. (a)
985,644
 
Tobacco — 0.1%
 
30,892
Vector Group Ltd.
319,732
 
Trading Companies &
Distributors — 2.0%
 
48,632
Distribution Solutions Group,
Inc. (a)
1,603,397
38,532
Global Industrial Co.
1,483,867
26,885
H&E Equipment Services, Inc.
1,298,277
40,864
Xometry, Inc., Class A (a) (c)
730,240
 
 
5,115,781
 
Water Utilities — 0.1%
 
4,687
American States Water Co.
332,027
 
Wireless Telecommunication
Services — 0.3%
 
43,083
Telephone and Data Systems,
Inc.
674,249
 
Total Common Stocks
257,206,559
 
(Cost $232,676,494)
 
MONEY MARKET FUNDS — 0.2%
368,795
Dreyfus Government Cash
Management Fund,
Institutional Shares -
5.19% (h)
368,795
 
(Cost $368,795)
 
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 2.5%
$3,323,238
Bank of America Corp.,
5.30% (h), dated 04/30/24,
due 05/01/24, with a maturity
value of $3,323,727.
Collateralized by
U.S. Treasury Securities,
interest rates of 0.00% to
4.63%, due 09/15/26 to
11/15/44. The value of the
collateral including accrued
interest is $3,389,703. (i)
$3,323,238
3,192,915
JPMorgan Chase & Co.,
5.31% (h), dated 04/30/24,
due 05/01/24, with a maturity
value of $3,193,386.
Collateralized by
U.S. Treasury Note, interest
rate of 4.63%, due 04/30/29.
The value of the collateral
including accrued interest is
$3,256,773. (i)
3,192,915
 
Total Repurchase Agreements
6,516,153
 
(Cost $6,516,153)
 
 
 
 
Total Investments — 102.6%
264,091,507
 
(Cost $239,561,442)
 
 
Net Other Assets and
Liabilities — (2.6)%
(6,572,177
)
 
Net Assets — 100.0%
$257,519,330
(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, including those sold
and pending settlement, is $5,892,197 and the total value of
the collateral held by the Fund is $6,516,153.
(d)
Pursuant to procedures adopted by the Trust’s Board of
Trustees, this security has been determined to be illiquid by
First Trust Advisors L.P., the Fund’s advisor.
(e)
Restricted security as to resale, excluding Rule 144A
securities (see Restricted Securities table).
(f)
This security is fair valued by the Advisor’s Pricing
Committee in accordance with procedures approved by the
Trust’s Board of Trustees, and in accordance with provisions
of the Investment Company Act of 1940 and rules
thereunder, as amended. At April 30, 2024, securities noted
as such are valued at $0 or 0.0% of net assets.

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
April 30, 2024  (Unaudited)
(g)
This security’s value was determined using significant
unobservable inputs (see Valuation Inputs in the Additional
Information section).
(h)
Rate shown reflects yield as of April 30, 2024.
(i)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
4/30/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks:
 
 
 
 
Life
Sciences Tools
& Services
$303,259
$303,259
$
$—**
Other Industry
Categories*
256,903,300
256,903,300
Money Market
Funds
368,795
368,795
Repurchase
Agreements
6,516,153
6,516,153
Total Investments
$264,091,507
$257,575,354
$6,516,153
$—**
*
See Portfolio of Investments for industry breakout.
**
Investments are valued at $0.
Level 3 investments are fair valued by the Advisor’s Pricing Committee and are footnoted in the Portfolio of Investments. All Level 3 values are based on unobservable inputs.

Restricted Securities
As of April 30, 2024, the Fund held restricted securities as shown in the following table that the Advisor deemed illiquid pursuant to procedures adopted by the Trust’s Board of Trustees:
Security
Acquisition
Date
Shares
Current
Price
Carrying
Cost
Value
% of
Net Assets
OmniAb, Inc. - 12.5 Earnout Shares
11/02/22
1,080
$0.00
$0
$0
0.00
%
OmniAb, Inc. - 15 Earnout Shares
11/02/22
1,080
0.00
0
0
0.00
 
 
 
 
$0
$0
0.00
%

First Trust Exchange-Traded AlphaDEX® Fund
Additional Information
April 30, 2024 (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 CoreTM Index, Nasdaq AlphaDEX® Mid Cap CoreTM Index, Nasdaq AlphaDEX® Small Cap CoreTM Index, Nasdaq AlphaDEX® Large Cap ValueTM Index, Nasdaq AlphaDEX® Large Cap GrowthTM Index, Nasdaq AlphaDEX® Multi Cap ValueTM Index, Nasdaq AlphaDEX® Multi Cap GrowthTM Index, Nasdaq AlphaDEX® Mid Cap ValueTM Index, Nasdaq AlphaDEX® Mid Cap GrowthTM Index, Nasdaq AlphaDEX® Small Cap ValueTM Index and Nasdaq AlphaDEX® Small Cap GrowthTM 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.