0001752724-24-292053.txt : 20241223 0001752724-24-292053.hdr.sgml : 20241223 20241223151752 ACCESSION NUMBER: 0001752724-24-292053 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20241031 FILED AS OF DATE: 20241223 DATE AS OF CHANGE: 20241223 PERIOD START: 20250731 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: 241573044 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 S000017341 First Trust Large Cap Growth AlphaDEX Fund C000047999 First Trust Large Cap Growth AlphaDEX Fund FTC NPORT-P 1 primary_doc.xml NPORT-P false 0001383496 XXXXXXXX S000017341 C000047999 First Trust Exchange-Traded AlphaDEX Fund 811-22019 0001383496 549300PGRVU1P76W4537 120 East Liberty Drive Suite 400 Wheaton 60187 630-765-8000 First Trust Large Cap Growth AlphaDEX Fund S000017341 549300VT0JCDY0GNZJ32 2025-07-31 2024-10-31 N 1081717906.75 3140219.06 1078577687.69 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 N Essex Property Trust Inc 549300TR2H2VEFX0NC60 Essex Property Trust Inc 297178105 6312.00000000 NS USD 1791724.32000000 0.166119171613 Long EC CORP US N 1 N N N Rivian Automotive Inc 25490004LNKJ84MFYY24 Rivian Automotive Inc 76954A103 341340.00000000 NS USD 3447534.00000000 0.319637059003 Long EC CORP US N 1 N N Oracle Corp 1Z4GXXU7ZHVWFCD8TV52 Oracle Corp 68389X105 44954.00000000 NS USD 7545079.36000000 0.699539722183 Long EC CORP US N 1 N N N J.P. 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Progressive Corp/The 743315103 37730.00000000 NS USD 9161975.90000000 0.849449789715 Long EC CORP US N 1 N N N HEICO Corp 529900O1DTDLCJ7L0I14 HEICO Corp 422806109 36617.00000000 NS USD 8969334.15000000 0.831589068860 Long EC CORP US N 1 N N N Cintas Corp N/A Cintas Corp 172908105 37203.00000000 NS USD 7656749.43000000 0.709893178524 Long EC CORP US N 1 N N N Eli Lilly & Co FRDRIPF3EKNDJ2CQJL29 Eli Lilly & Co 532457108 4322.00000000 NS USD 3586136.28000000 0.332487526946 Long EC CORP US N 1 N N N Howmet Aerospace Inc 549300HO5WFZUT5N2T22 Howmet Aerospace Inc 443201108 95504.00000000 NS USD 9523658.88000000 0.882983116440 Long EC CORP US N 1 N N N Republic Services Inc NKNQHM6BLECKVOQP7O46 Republic Services Inc 760759100 19068.00000000 NS USD 3775464.00000000 0.350040988524 Long EC CORP US N 1 N N N WW Grainger Inc 549300TWZSP6O1IH2V34 WW Grainger Inc 384802104 5386.00000000 NS USD 5974312.78000000 0.553906579765 Long EC CORP US N 1 N N N Marriott International Inc/MD 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Inc/The V167QI9I69W364E2DY52 TJX Cos Inc/The 872540109 47588.00000000 NS USD 5378871.64000000 0.498700436824 Long EC CORP US N 1 N N N Northern Trust Corp 549300GLF98S992BC502 Northern Trust Corp 665859104 85079.00000000 NS USD 8552141.08000000 0.792909141140 Long EC CORP US N 1 N N N Royal Caribbean Cruises Ltd K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises Ltd 000000000 53985.00000000 NS USD 11139804.75000000 1.032823585833 Long EC CORP US N 1 N N N Motorola Solutions Inc 6S552MUG6KGJVEBSEC55 Motorola Solutions Inc 620076307 17036.00000000 NS USD 7655126.60000000 0.709742718338 Long EC CORP US N 1 N N N Parker-Hannifin Corp 5493002CONDB4N2HKI23 Parker-Hannifin Corp 701094104 12122.00000000 NS USD 7686196.54000000 0.712623358310 Long EC CORP US N 1 N N N Fastenal Co 529900PP0C7H2HHPSJ32 Fastenal Co 311900104 26107.00000000 NS USD 2041045.26000000 0.189234886211 Long EC CORP US N 1 N N N Global Payments Inc 549300NOMHGVQBX6S778 Global Payments Inc 37940X102 18206.00000000 NS USD 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9991730.46000000 0.926380229633 Long EC CORP US N 1 N N N Apple Inc HWUPKR0MPOU8FGXBT394 Apple Inc 037833100 16439.00000000 NS USD 3713734.49000000 0.344317755909 Long EC CORP US N 1 N N N Agilent Technologies Inc QUIX8Y7A2WP0XRMW7G29 Agilent Technologies Inc 00846U101 12555.00000000 NS USD 1636042.05000000 0.151685137628 Long EC CORP US N 1 N N N IBM VGRQXHF3J8VDLUA7XE92 International Business Machines Corp 459200101 34646.00000000 NS USD 7162021.12000000 0.664024594773 Long EC CORP US N 1 N N N Fair Isaac Corp RI6HET5SJUEY30V1PS26 Fair Isaac Corp 303250104 4928.00000000 NS USD 9822046.08000000 0.910647994307 Long EC CORP US N 1 N N N Trane Technologies PLC 549300BURLR9SLYY2705 Trane Technologies PLC 000000000 24630.00000000 NS USD 9117040.80000000 0.845283645680 Long EC CORP IE N 1 N N N Equifax Inc 5493004MCF8JDC86VS77 Equifax Inc 294429105 19035.00000000 NS USD 5044655.70000000 0.467713708300 Long EC CORP US N 1 N N N Monolithic Power Systems Inc 529900TB7O85LSZ1XU31 Monolithic Power Systems Inc 609839105 4141.00000000 NS USD 3144261.30000000 0.291519223500 Long EC CORP US N 1 N N N American Tower Corp 5493006ORUSIL88JOE18 American Tower Corp 03027X100 24054.00000000 NS USD 5136491.16000000 0.476228204850 Long EC CORP US N 1 N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 S&P Global Inc 78409V104 10827.00000000 NS USD 5200857.72000000 0.482195930748 Long EC CORP US N 1 N N N Digital Realty Trust Inc 549300HKCZ31D08NEI41 Digital Realty Trust Inc 253868103 11522.00000000 NS USD 2053566.06000000 0.190395748348 Long EC CORP US N 1 N N N General Electric Co 3C7474T6CDKPR9K6YT90 General Electric Co 369604301 40616.00000000 NS USD 6977016.48000000 0.646871946233 Long EC CORP US N 1 N N N Tenet Healthcare Corp 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corp 88033G407 57607.00000000 NS USD 8930237.14000000 0.827964201551 Long EC CORP US N 1 N N N O'Reilly Automotive Inc 549300K2RLMQL149Q332 O'Reilly Automotive Inc 67103H107 3323.00000000 NS USD 3831884.22000000 0.355271971943 Long EC CORP US N 1 N N N 2024-12-23 First Trust Exchange-Traded AlphaDEX Fund Derek Maltbie Derek Maltbie Treasurer, Chief Financial Officer and Chief Accounting Officer XXXX NPORT-EX 2 290045FT103124.htm EDGAR HTML
First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
Aerospace & Defense — 2.7%
14,155
Axon Enterprise, Inc. (a)
$5,994,642
7,488
General Dynamics Corp.
2,183,576
23,995
General Electric Co.
4,121,861
21,631
HEICO Corp.
5,298,513
56,422
Howmet Aerospace, Inc.
5,626,402
9,512
L3Harris Technologies, Inc.
2,353,935
1,936
Lockheed Martin Corp.
1,057,153
2,142
Northrop Grumman Corp.
1,090,321
51,084
Textron, Inc.
4,108,175
2,379
TransDigm Group, Inc.
3,098,172
 
34,932,750
Air Freight & Logistics —
0.6%
8,609
Expeditors International of
Washington, Inc.
1,024,471
16,534
FedEx Corp.
4,527,836
16,595
United Parcel Service, Inc.,
Class B
2,224,726
 
7,777,033
Automobile Components —
0.4%
78,550
Aptiv PLC (a)
4,463,996
Automobiles — 1.2%
535,635
Ford Motor Co.
5,511,684
126,145
General Motors Co.
6,403,120
100,827
Rivian Automotive, Inc.,
Class A (a)
1,018,353
8,648
Tesla, Inc. (a)
2,160,703
 
15,093,860
Banks — 4.0%
85,529
Bank of America Corp.
3,576,823
72,285
Citigroup, Inc.
4,638,528
110,179
Citizens Financial Group, Inc.
4,640,739
79,220
Fifth Third Bancorp
3,460,330
2,457
First Citizens BancShares, Inc.,
Class A
4,760,069
307,827
Huntington Bancshares, Inc.
4,799,023
16,096
JPMorgan Chase & Co.
3,572,024
135,076
KeyCorp
2,330,061
25,405
M&T Bank Corp.
4,945,845
12,239
PNC Financial Services Group
(The), Inc.
2,304,237
145,469
Regions Financial Corp.
3,472,345
74,213
U.S. Bancorp
3,585,230
80,103
Wells Fargo & Co.
5,200,287
 
51,285,541
Beverages — 0.6%
45,987
Brown-Forman Corp., Class B
2,024,808
31,485
Coca-Cola (The) Co.
2,056,285
Shares
Description
Value
 
Beverages (Continued)
90,550
Keurig Dr Pepper, Inc.
$2,983,623
6,652
PepsiCo, Inc.
1,104,764
 
8,169,480
Biotechnology — 1.2%
16,453
Alnylam Pharmaceuticals,
Inc. (a)
4,386,205
3,511
Amgen, Inc.
1,124,082
17,508
Biogen, Inc. (a)
3,046,392
15,785
United Therapeutics Corp. (a)
5,903,117
2,432
Vertex Pharmaceuticals, Inc. (a)
1,157,583
 
15,617,379
Broadline Retail — 0.9%
6,072
Amazon.com, Inc. (a)
1,131,821
230,399
Coupang, Inc. (a)
5,941,990
69,498
eBay, Inc.
3,996,830
 
11,070,641
Building Products — 2.1%
23,342
Builders FirstSource, Inc. (a)
4,000,819
5,031
Carlisle Cos., Inc.
2,124,239
42,164
Carrier Global Corp.
3,066,166
14,575
Johnson Controls
International PLC
1,101,141
7,489
Lennox International, Inc.
4,512,647
13,478
Masco Corp.
1,077,027
32,044
Owens Corning
5,665,059
14,550
Trane Technologies PLC
5,385,828
 
26,932,926
Capital Markets — 4.9%
7,223
Ameriprise Financial, Inc.
3,685,897
7,260
Ares Management Corp.,
Class A
1,217,357
78,713
Bank of New York Mellon (The)
Corp.
5,931,812
1,191
Blackrock, Inc.
1,168,407
5,523
Cboe Global Markets, Inc.
1,179,547
6,349
Coinbase Global, Inc.,
Class A (a)
1,138,058
11,425
Goldman Sachs Group (The),
Inc.
5,915,751
21,126
Intercontinental Exchange, Inc.
3,292,910
43,317
KKR & Co., Inc.
5,988,142
7,151
Moody’s Corp.
3,246,840
32,558
Morgan Stanley
3,784,867
1,941
MSCI, Inc.
1,108,699
30,989
Nasdaq, Inc.
2,290,707
37,697
Northern Trust Corp.
3,789,302
18,475
Raymond James Financial, Inc.
2,738,365
144,910
Robinhood Markets, Inc.,
Class A (a)
3,403,936
6,570
S&P Global, Inc.
3,155,965

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Capital Markets (Continued)
38,361
State Street Corp.
$3,559,901
51,926
T. Rowe Price Group, Inc.
5,704,590
 
62,301,053
Chemicals — 2.9%
7,599
Air Products and Chemicals, Inc.
2,359,717
41,603
Celanese Corp.
5,240,730
65,924
CF Industries Holdings, Inc.
5,420,930
38,484
Corteva, Inc.
2,344,445
62,123
Dow, Inc.
3,067,634
25,390
DuPont de Nemours, Inc.
2,107,116
8,861
Ecolab, Inc.
2,177,414
58,982
LyondellBasell Industries N.V.,
Class A
5,122,587
25,622
PPG Industries, Inc.
3,190,195
9,349
RPM International, Inc.
1,188,351
8,892
Sherwin-Williams (The) Co.
3,190,183
15,054
Westlake Corp.
1,986,225
 
37,395,527
Commercial Services &
Supplies — 0.8%
21,979
Cintas Corp.
4,523,498
5,633
Republic Services, Inc.
1,115,334
22,366
Rollins, Inc.
1,054,333
30,339
Veralto Corp.
3,100,343
 
9,793,508
Communications Equipment
— 1.0%
11,790
Arista Networks, Inc. (a)
4,556,128
63,768
Cisco Systems, Inc.
3,492,573
10,064
Motorola Solutions, Inc.
4,522,258
 
12,570,959
Construction & Engineering
— 0.9%
13,138
EMCOR Group, Inc.
5,860,467
18,971
Quanta Services, Inc.
5,722,223
 
11,582,690
Consumer Finance — 1.7%
127,144
Ally Financial, Inc.
4,456,397
20,856
American Express Co.
5,632,788
30,221
Capital One Financial Corp.
4,919,677
113,399
Synchrony Financial
6,252,821
 
21,261,683
Consumer Staples Distribution
& Retail — 1.8%
9,034
Casey’s General Stores, Inc.
3,559,577
5,105
Costco Wholesale Corp.
4,462,689
53,507
Dollar General Corp.
4,282,700
78,971
Kroger (The) Co.
4,404,213
Shares
Description
Value
 
Consumer Staples Distribution
& Retail (Continued)
28,985
Sysco Corp.
$2,172,426
29,032
Target Corp.
4,355,961
 
23,237,566
Containers & Packaging —
0.8%
5,124
Avery Dennison Corp.
1,060,822
92,631
International Paper Co.
5,144,726
15,755
Packaging Corp. of America
3,606,949
 
9,812,497
Distributors — 0.3%
24,296
Genuine Parts Co.
2,786,751
3,002
Pool Corp.
1,085,643
 
3,872,394
Diversified Telecommunication
Services — 0.8%
257,105
AT&T, Inc.
5,795,147
100,758
Verizon Communications, Inc.
4,244,934
 
10,040,081
Electric Utilities — 4.4%
55,920
Alliant Energy Corp.
3,355,200
44,104
American Electric Power Co.,
Inc.
4,355,270
17,402
Constellation Energy Corp.
4,576,030
39,245
Duke Energy Corp.
4,523,771
38,969
Edison International
3,211,046
34,382
Entergy Corp.
5,321,646
111,591
Exelon Corp.
4,385,526
51,015
FirstEnergy Corp.
2,133,957
53,532
NextEra Energy, Inc.
4,242,411
62,088
NRG Energy, Inc.
5,612,755
171,665
PG&E Corp.
3,471,066
102,594
PPL Corp.
3,340,461
25,089
Southern (The) Co.
2,283,852
69,297
Xcel Energy, Inc.
4,629,733
 
55,442,724
Electrical Equipment — 0.9%
6,827
Eaton Corp. PLC
2,263,697
10,343
Emerson Electric Co.
1,119,837
5,282
Hubbell, Inc.
2,255,572
56,853
Vertiv Holdings Co., Class A
6,213,464
 
11,852,570
Electronic Equipment,
Instruments & Components
— 0.5%
17,362
Amphenol Corp., Class A
1,163,601
14,236
Keysight Technologies, Inc. (a)
2,121,306
7,755
Teledyne Technologies, Inc. (a)
3,531,007
 
6,815,914

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Energy Equipment & Services
— 1.2%
125,175
Baker Hughes Co.
$4,766,664
194,710
Halliburton Co.
5,401,256
134,834
Schlumberger N.V.
5,402,798
 
15,570,718
Entertainment — 1.5%
43,831
Liberty Media Corp.-Liberty
Formula One, Class C (a)
3,499,467
41,329
Live Nation Entertainment,
Inc. (a)
4,841,279
4,786
Netflix, Inc. (a)
3,618,360
102,237
ROBLOX Corp., Class A (a)
5,287,698
23,522
Walt Disney (The) Co.
2,262,816
 
19,509,620
Financial Services — 1.7%
18,113
Apollo Global Management, Inc.
2,594,868
7,374
Berkshire Hathaway, Inc.,
Class B (a)
3,325,084
155,180
Corebridge Financial, Inc.
4,930,069
7,234
Corpay, Inc. (a)
2,385,194
25,189
Fiserv, Inc. (a)
4,984,903
2,290
Mastercard, Inc., Class A
1,144,061
28,995
PayPal Holdings, Inc. (a)
2,299,304
 
21,663,483
Food Products — 2.4%
94,681
Archer-Daniels-Midland Co.
5,227,338
58,530
Bunge Global S.A.
4,917,691
46,250
Campbell Soup Co.
2,157,562
34,787
Conagra Brands, Inc.
1,006,736
45,955
General Mills, Inc.
3,125,859
11,798
Hershey (The) Co.
2,095,089
107,060
Hormel Foods Corp.
3,270,683
96,662
Kraft Heinz (The) Co.
3,234,310
13,746
McCormick & Co., Inc.
1,075,487
30,712
Mondelez International, Inc.,
Class A
2,103,158
37,988
Tyson Foods, Inc., Class A
2,225,717
 
30,439,630
Gas Utilities — 0.4%
32,622
Atmos Energy Corp.
4,527,281
Ground Transportation —
0.9%
98,286
CSX Corp.
3,306,341
19,693
J.B. Hunt Transport Services,
Inc.
3,556,950
4,553
Norfolk Southern Corp.
1,140,208
5,695
Old Dominion Freight Line, Inc.
1,146,517
30,103
Uber Technologies, Inc. (a)
2,168,921
 
11,318,937
Shares
Description
Value
 
Health Care Equipment &
Supplies — 1.9%
9,924
Abbott Laboratories
$1,125,084
4,692
Becton Dickinson & Co.
1,096,004
40,499
Boston Scientific Corp. (a)
3,402,726
12,053
GE HealthCare Technologies,
Inc.
1,052,830
27,774
Hologic, Inc. (a)
2,246,083
6,908
Intuitive Surgical, Inc. (a)
3,480,527
25,132
Medtronic PLC
2,243,031
18,537
ResMed, Inc.
4,494,666
3,132
Stryker Corp.
1,115,869
41,918
Zimmer Biomet Holdings, Inc.
4,481,873
 
24,738,693
Health Care Providers &
Services — 2.9%
75,138
Centene Corp. (a)
4,678,092
6,532
Cigna Group (The)
2,056,339
89,954
CVS Health Corp.
5,078,803
6,527
Elevance Health, Inc.
2,648,395
13,917
HCA Healthcare, Inc.
4,992,585
10,715
Humana, Inc.
2,762,648
10,124
Labcorp Holdings, Inc.
2,311,005
6,567
Molina Healthcare, Inc. (a)
2,109,452
29,147
Quest Diagnostics, Inc.
4,512,830
34,034
Tenet Healthcare Corp. (a)
5,275,951
 
36,426,100
Health Care REITs — 1.0%
19,053
Alexandria Real Estate Equities,
Inc.
2,125,362
98,930
Healthpeak Properties, Inc.
2,220,979
70,561
Ventas, Inc.
4,621,040
26,507
Welltower, Inc.
3,575,264
 
12,542,645
Hotels, Restaurants & Leisure
— 3.1%
805
Booking Holdings, Inc.
3,764,381
244,862
Carnival Corp. (a)
5,386,964
19,633
Chipotle Mexican Grill, Inc. (a)
1,094,932
13,785
Darden Restaurants, Inc.
2,205,876
31,703
DoorDash, Inc., Class A (a)
4,967,860
38,213
Expedia Group, Inc. (a)
5,973,074
14,723
Hilton Worldwide Holdings, Inc.
3,457,697
44,944
Las Vegas Sands Corp.
2,330,346
4,551
Marriott International, Inc.,
Class A
1,183,351
3,715
McDonald’s Corp.
1,085,189
31,892
Royal Caribbean Cruises Ltd.
6,580,914
11,604
Starbucks Corp.
1,133,711
 
39,164,295
Household Durables — 2.3%
29,649
D.R. Horton, Inc.
5,010,681

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Household Durables
(Continued)
19,280
Garmin Ltd.
$3,824,188
30,170
Lennar Corp., Class A
5,137,951
346
NVR, Inc. (a)
3,166,872
39,408
PulteGroup, Inc.
5,104,518
36,612
Toll Brothers, Inc.
5,361,461
2,780
TopBuild Corp. (a)
982,397
 
28,588,068
Household Products — 0.3%
6,943
Clorox (The) Co.
1,100,813
21,795
Colgate-Palmolive Co.
2,042,409
7,950
Kimberly-Clark Corp.
1,066,731
 
4,209,953
Independent Power and
Renewable Electricity
Producers — 0.5%
47,717
Vistra Corp.
5,962,716
Insurance — 6.2%
40,475
Aflac, Inc.
4,241,375
29,825
Allstate (The) Corp.
5,562,959
61,792
American International Group,
Inc.
4,688,777
3,269
Aon PLC, Class A
1,199,298
40,445
Arch Capital Group Ltd. (a)
3,986,259
8,041
Arthur J. Gallagher & Co.
2,261,129
43,678
Brown & Brown, Inc.
4,570,466
15,691
Chubb Ltd.
4,431,766
41,554
Cincinnati Financial Corp.
5,852,050
10,478
Erie Indemnity Co., Class A
4,702,945
14,436
Everest Group Ltd.
5,133,586
36,457
Fidelity National Financial, Inc.
2,193,618
38,475
Hartford Financial Services
Group (The), Inc.
4,249,179
57,244
Loews Corp.
4,519,986
722
Markel Group, Inc. (a)
1,113,331
5,071
Marsh & McLennan Cos., Inc.
1,106,695
13,716
MetLife, Inc.
1,075,609
26,340
Principal Financial Group, Inc.
2,170,416
22,290
Progressive (The) Corp.
5,412,681
18,683
Prudential Financial, Inc.
2,288,294
10,385
Reinsurance Group of America,
Inc.
2,192,066
14,496
Travelers (The) Cos., Inc.
3,565,146
39,883
W.R. Berkley Corp.
2,280,111
 
78,797,742
Interactive Media & Services
— 0.4%
6,822
Alphabet, Inc., Class A
1,167,313
7,904
Meta Platforms, Inc., Class A
4,486,152
 
5,653,465
Shares
Description
Value
 
IT Services — 1.8%
3,201
Accenture PLC, Class A
$1,103,769
44,825
Akamai Technologies, Inc. (a)
4,530,911
73,287
Cognizant Technology Solutions
Corp., Class A
5,466,477
4,464
Gartner, Inc. (a)
2,243,160
28,863
GoDaddy, Inc., Class A (a)
4,814,348
20,469
International Business Machines
Corp.
4,231,352
 
22,390,017
Life Sciences Tools & Services
— 0.4%
4,773
IQVIA Holdings, Inc. (a)
982,379
8,855
Revvity, Inc.
1,050,114
1,828
Thermo Fisher Scientific, Inc.
998,673
3,144
Waters Corp. (a)
1,015,858
3,768
West Pharmaceutical Services,
Inc.
1,160,280
 
5,207,304
Machinery — 3.4%
8,677
Caterpillar, Inc.
3,264,287
6,989
Cummins, Inc.
2,299,241
8,132
Deere & Co.
3,290,939
5,900
Dover Corp.
1,117,047
28,664
Fortive Corp.
2,047,469
10,548
IDEX Corp.
2,264,023
23,049
Ingersoll Rand, Inc.
2,212,704
4,308
Nordson Corp.
1,067,910
10,883
Otis Worldwide Corp.
1,068,711
57,320
PACCAR, Inc.
5,977,330
7,161
Parker-Hannifin Corp.
4,540,575
19,524
Snap-on, Inc.
6,445,458
31,118
Westinghouse Air Brake
Technologies Corp.
5,849,562
16,756
Xylem, Inc.
2,040,546
 
43,485,802
Media — 1.8%
10,472
Charter Communications, Inc.,
Class A (a)
3,430,732
135,416
Comcast Corp., Class A
5,913,617
133,624
Fox Corp., Class A
5,612,208
84,961
News Corp., Class A
2,315,187
21,883
Omnicom Group, Inc.
2,210,183
30,951
Trade Desk (The), Inc.,
Class A (a)
3,720,620
 
23,202,547
Metals & Mining — 1.4%
22,661
Freeport-McMoRan, Inc.
1,020,198
37,624
Nucor Corp.
5,336,588
19,559
Reliance, Inc.
5,600,524
44,863
Steel Dynamics, Inc.
5,854,622
 
17,811,932

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Multi-Utilities — 3.2%
51,739
Ameren Corp.
$4,506,984
153,809
CenterPoint Energy, Inc.
4,541,980
48,050
CMS Energy Corp.
3,344,760
43,455
Consolidated Edison, Inc.
4,418,504
58,726
Dominion Energy, Inc.
3,495,959
35,239
DTE Energy Co.
4,377,389
130,593
NiSource, Inc.
4,591,650
38,042
Public Service Enterprise Group,
Inc.
3,401,335
54,108
Sempra
4,510,984
35,286
WEC Energy Group, Inc.
3,370,872
 
40,560,417
Oil, Gas & Consumable Fuels
— 7.1%
25,162
Cheniere Energy, Inc.
4,815,504
38,408
Chevron Corp.
5,715,879
53,726
ConocoPhillips
5,885,146
236,172
Coterra Energy, Inc.
5,649,234
144,589
Devon Energy Corp.
5,592,703
32,810
Diamondback Energy, Inc.
5,799,824
46,012
EOG Resources, Inc.
5,611,623
123,500
EQT Corp.
4,512,690
48,253
Exxon Mobil Corp.
5,634,985
204,847
Kinder Morgan, Inc.
5,020,800
34,721
Marathon Petroleum Corp.
5,050,864
109,746
Occidental Petroleum Corp.
5,499,372
37,241
ONEOK, Inc.
3,607,908
43,031
Phillips 66
5,242,036
30,572
Targa Resources Corp.
5,104,301
3,836
Texas Pacific Land Corp.
4,472,776
41,889
Valero Energy Corp.
5,435,517
24,781
Williams (The) Cos., Inc.
1,297,781
 
89,948,943
Passenger Airlines — 1.4%
111,367
Delta Air Lines, Inc.
6,372,420
114,540
Southwest Airlines Co.
3,502,633
99,130
United Airlines Holdings,
Inc. (a)
7,757,914
 
17,632,967
Pharmaceuticals — 0.9%
2,554
Eli Lilly & Co.
2,119,156
20,941
Johnson & Johnson
3,347,628
389,755
Viatris, Inc.
4,521,158
5,791
Zoetis, Inc.
1,035,315
 
11,023,257
Professional Services — 1.3%
27,801
Booz Allen Hamilton Holding
Corp.
5,050,329
Shares
Description
Value
 
Professional Services
(Continued)
10,523
Broadridge Financial Solutions,
Inc.
$2,218,880
11,549
Equifax, Inc.
3,060,716
17,285
Jacobs Solutions, Inc.
2,429,925
8,430
Paychex, Inc.
1,174,552
45,733
SS&C Technologies Holdings,
Inc.
3,198,109
 
17,132,511
Residential REITs — 0.6%
5,021
AvalonBay Communities, Inc.
1,112,704
45,578
Equity Residential
3,207,324
3,830
Essex Property Trust, Inc.
1,087,184
14,239
Mid-America Apartment
Communities, Inc.
2,154,930
 
7,562,142
Retail REITs — 0.5%
97,439
Kimco Realty Corp.
2,311,253
35,676
Realty Income Corp.
2,118,084
13,386
Simon Property Group, Inc.
2,263,841
 
6,693,178
Semiconductors &
Semiconductor Equipment
— 2.3%
19,674
Broadcom, Inc.
3,340,055
18,141
First Solar, Inc. (a)
3,528,062
192,883
Intel Corp.
4,150,842
1,461
KLA Corp.
973,362
10,909
Micron Technology, Inc.
1,087,082
2,447
Monolithic Power Systems, Inc.
1,858,007
27,947
NVIDIA Corp.
3,710,244
77,900
ON Semiconductor Corp. (a)
5,491,171
57,268
Skyworks Solutions, Inc.
5,015,531
 
29,154,356
Software — 3.9%
43,327
AppLovin Corp., Class A (a)
7,339,161
4,107
Autodesk, Inc. (a)
1,165,567
2,911
Fair Isaac Corp. (a)
5,801,943
43,762
Fortinet, Inc. (a)
3,442,319
164,967
Gen Digital, Inc.
4,802,189
12,061
Manhattan Associates, Inc. (a)
3,176,385
6,709
MicroStrategy, Inc., Class A (a)
1,640,351
26,555
Oracle Corp.
4,456,991
152,052
Palantir Technologies, Inc.,
Class A (a)
6,319,281
3,311
Palo Alto Networks, Inc. (a)
1,193,053
3,795
ServiceNow, Inc. (a)
3,540,697
5,814
Tyler Technologies, Inc. (a)
3,520,900
48,664
Zoom Video Communications,
Inc., Class A (a)
3,637,147
 
50,035,984

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Specialized REITs — 1.6%
9,729
American Tower Corp.
$2,077,531
9,536
Crown Castle, Inc.
1,025,025
1,274
Equinix, Inc.
1,156,894
12,556
Extra Space Storage, Inc.
2,050,395
21,988
Gaming and Leisure Properties,
Inc.
1,103,578
47,600
Iron Mountain, Inc.
5,889,548
9,327
Public Storage
3,069,142
4,700
SBA Communications Corp.
1,078,509
33,962
VICI Properties, Inc.
1,078,633
66,821
Weyerhaeuser Co.
2,082,142
 
20,611,397
Specialty Retail — 2.5%
358
AutoZone, Inc. (a)
1,077,222
32,854
Best Buy Co., Inc.
2,970,987
21,468
Burlington Stores, Inc. (a)
5,319,126
25,989
Carvana Co. (a)
6,427,340
2,792
Home Depot (The), Inc.
1,099,350
4,177
Lowe’s Cos., Inc.
1,093,664
982
O’Reilly Automotive, Inc. (a)
1,132,384
15,032
Ross Stores, Inc.
2,100,271
28,873
TJX (The) Cos., Inc.
3,263,515
7,778
Tractor Supply Co.
2,065,137
11,628
Ulta Beauty, Inc. (a)
4,290,499
7,303
Williams-Sonoma, Inc.
979,551
 
31,819,046
Technology Hardware, Storage
& Peripherals — 1.3%
9,711
Apple, Inc.
2,193,812
19,086
Dell Technologies, Inc., Class C
2,359,602
276,457
Hewlett Packard Enterprise Co.
5,388,147
31,538
HP, Inc.
1,120,230
18,319
NetApp, Inc.
2,112,364
30,984
Seagate Technology
Holdings PLC
3,109,864
 
16,284,019
Textiles, Apparel & Luxury
Goods — 0.3%
14,189
Deckers Outdoor Corp. (a)
2,282,868
25,594
NIKE, Inc., Class B
1,974,065
 
4,256,933
Tobacco — 0.5%
22,164
Altria Group, Inc.
1,207,051
37,274
Philip Morris International, Inc.
4,946,260
 
6,153,311
Trading Companies &
Distributors — 0.9%
6,986
United Rentals, Inc.
5,678,221
Shares
Description
Value
 
Trading Companies &
Distributors (Continued)
3,267
W.W. Grainger, Inc.
$3,623,854
4,600
Watsco, Inc.
2,175,846
 
11,477,921
Water Utilities — 0.2%
15,472
American Water Works Co., Inc.
2,136,838
Wireless Telecommunication
Services — 0.4%
21,929
T-Mobile US, Inc.
4,893,676
Total Common Stocks
1,269,910,616
(Cost $1,087,391,516)
MONEY MARKET FUNDS — 0.2%
2,002,802
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
4.71% (b)
2,002,802
(Cost $2,002,802)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.0%
$2,987
JPMorgan Chase & Co.,
4.85% (b), dated 10/31/24,
due 11/01/24, with a maturity
value of $2,987. Collateralized
by U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $3,047. (c)
2,987
(Cost $2,987)
Total Investments — 100.0%
1,271,916,405
(Cost $1,089,397,305)
Net Other Assets and
Liabilities — 0.0%
57,732
Net Assets — 100.0%
$1,271,974,137
(a)
Non-income producing security.
(b)
Rate shown reflects yield as of October 31, 2024.
(c)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

First Trust Large Cap Core AlphaDEX® Fund (FEX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,269,910,616
$1,269,910,616
$   
$
Money Market
Funds
    2,002,802
    2,002,802
   
Repurchase
Agreements
        2,987
           
2,987
Total
Investments
$1,271,916,405
$1,271,913,418
$2,987
$
*
See Portfolio of Investments for industry breakout.

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 1.9%
18,441
AeroVironment, Inc. (a)
$3,964,078
25,511
BWX Technologies, Inc.
3,105,964
11,248
Curtiss-Wright Corp.
3,880,110
13,985
Huntington Ingalls Industries,
Inc.
2,586,666
131,018
Leonardo DRS, Inc. (a)
3,939,711
22,877
Moog, Inc., Class A
4,314,602
10,779
Woodward, Inc.
1,768,726
 
23,559,857
Air Freight & Logistics —
0.2%
35,504
GXO Logistics, Inc. (a)
2,123,494
Automobile Components —
1.0%
127,354
BorgWarner, Inc.
4,282,915
42,342
Lear Corp.
4,054,670
34,803
Modine Manufacturing Co. (a)
4,098,749
 
12,436,334
Automobiles — 0.5%
119,948
Harley-Davidson, Inc.
3,832,338
25,234
Thor Industries, Inc.
2,626,355
 
6,458,693
Banks — 6.6%
44,445
Ameris Bancorp
2,755,146
49,076
Atlantic Union Bankshares Corp.
1,855,073
73,500
Axos Financial, Inc. (a)
4,977,420
86,004
Bank OZK
3,762,675
17,670
BOK Financial Corp.
1,877,084
116,086
Cadence Bank
3,880,755
106,204
Columbia Banking System, Inc.
3,027,876
30,857
Comerica, Inc.
1,965,899
15,560
Commerce Bancshares, Inc.
972,500
16,527
Cullen/Frost Bankers, Inc.
2,104,713
44,686
East West Bancorp, Inc.
4,356,438
196,527
F.N.B. Corp.
2,849,642
74,926
First Financial Bankshares, Inc.
2,707,826
178,557
First Horizon Corp.
3,094,393
54,192
Hancock Whitney Corp.
2,822,319
68,241
Home BancShares, Inc.
1,862,297
30,920
International Bancshares Corp.
1,894,159
99,070
Old National Bancorp
1,908,088
18,870
Pinnacle Financial Partners, Inc.
1,989,842
18,437
Popular, Inc.
1,645,134
25,651
Prosperity Bancshares, Inc.
1,877,653
57,447
ServisFirst Bancshares, Inc.
4,776,144
19,023
SouthState Corp.
1,855,313
20,785
Synovus Financial Corp.
1,036,548
17,589
UMB Financial Corp.
1,930,041
49,829
United Bankshares, Inc.
1,877,557
Shares
Description
Value
 
Banks (Continued)
63,571
United Community Banks, Inc.
$1,809,231
306,069
Valley National Bancorp
2,898,473
59,493
Webster Financial Corp.
3,081,737
21,374
Western Alliance Bancorp
1,778,531
25,551
Wintrust Financial Corp.
2,961,105
58,725
Zions Bancorp N.A.
3,057,223
 
81,248,835
Beverages — 0.7%
3,512
Coca-Cola Consolidated, Inc.
3,948,401
80,349
Molson Coors Beverage Co.,
Class B
4,376,610
 
8,325,011
Biotechnology — 1.8%
99,070
Alkermes PLC (a)
2,546,099
40,249
Avidity Biosciences, Inc. (a)
1,700,923
9,992
Blueprint Medicines Corp. (a)
874,400
106,859
Exelixis, Inc. (a)
3,547,719
48,445
Halozyme Therapeutics, Inc. (a)
2,449,863
37,985
Insmed, Inc. (a)
2,555,631
36,406
Natera, Inc. (a)
4,403,670
20,383
REVOLUTION Medicines,
Inc. (a)
1,090,490
80,098
Roivant Sciences Ltd. (a)
925,132
33,278
Ultragenyx Pharmaceutical,
Inc. (a)
1,696,845
 
21,790,772
Broadline Retail — 1.0%
12,046
Dillard’s, Inc., Class A
4,475,330
235,648
Macy’s, Inc.
3,614,840
123,298
Nordstrom, Inc.
2,787,768
19,020
Ollie’s Bargain Outlet Holdings,
Inc. (a)
1,746,607
 
12,624,545
Building Products — 1.7%
10,290
A.O. Smith Corp.
772,779
34,286
AAON, Inc.
3,916,147
12,685
Allegion PLC
1,771,207
21,098
Armstrong World Industries, Inc.
2,944,226
39,501
AZEK (The) Co., Inc. (a)
1,738,044
12,614
CSW Industrials, Inc.
4,454,003
10,325
Fortune Brands Innovations, Inc.
860,382
4,832
Simpson Manufacturing Co., Inc.
868,745
28,178
UFP Industries, Inc.
3,447,297
 
20,772,830
Capital Markets — 3.8%
25,994
Affiliated Managers Group, Inc.
5,040,237
47,744
Blue Owl Capital, Inc.
1,067,556
19,267
Cohen & Steers, Inc.
1,903,002
183,490
Franklin Resources, Inc.
3,811,087
244,694
Golub Capital BDC, Inc.
3,704,667

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Capital Markets (Continued)
27,447
Hamilton Lane, Inc., Class A
$4,930,579
17,548
Houlihan Lokey, Inc.
3,031,768
26,530
Interactive Brokers Group, Inc.,
Class A
4,047,947
30,036
Jefferies Financial Group, Inc.
1,921,703
18,522
Main Street Capital Corp.
950,920
7,216
MarketAxess Holdings, Inc.
2,088,455
2,896
Morningstar, Inc.
950,033
13,027
Piper Sandler Cos.
3,694,978
40,079
SEI Investments Co.
2,996,306
9,844
Stifel Financial Corp.
1,020,035
48,176
TPG, Inc.
3,260,552
22,422
Tradeweb Markets, Inc., Class A
2,847,594
 
47,267,419
Chemicals — 2.7%
42,512
Ashland, Inc.
3,595,240
36,737
Avient Corp.
1,712,312
51,081
Axalta Coating Systems Ltd. (a)
1,936,991
5,252
Balchem Corp.
878,817
33,079
Cabot Corp.
3,566,909
33,027
Eastman Chemical Co.
3,470,807
34,032
Element Solutions, Inc.
922,267
70,088
FMC Corp.
4,555,019
23,288
H.B. Fuller Co.
1,704,216
38,196
Huntsman Corp.
840,312
138,063
Mosaic (The) Co.
3,694,566
57,795
Olin Corp.
2,371,329
42,645
Scotts Miracle-Gro (The) Co.
3,709,262
 
32,958,047
Commercial Services &
Supplies — 1.0%
39,966
Brink’s (The) Co.
4,108,105
9,291
Casella Waste Systems, Inc.,
Class A (a)
909,403
11,472
Clean Harbors, Inc. (a)
2,653,015
97,999
Tetra Tech, Inc.
4,790,191
 
12,460,714
Communications Equipment
— 0.2%
8,396
F5, Inc. (a)
1,963,656
Construction & Engineering
— 1.0%
19,509
Arcosa, Inc.
1,826,823
11,840
Comfort Systems USA, Inc.
4,629,913
23,448
Dycom Industries, Inc. (a)
4,087,690
19,374
Fluor Corp. (a)
1,012,873
3,188
Valmont Industries, Inc.
993,636
 
12,550,935
Shares
Description
Value
 
Construction Materials —
1.0%
12,854
Eagle Materials, Inc.
$3,669,303
51,702
Knife River Corp. (a)
5,031,639
71,047
Summit Materials, Inc.,
Class A (a)
3,368,338
 
12,069,280
Consumer Finance — 0.8%
8,051
FirstCash Holdings, Inc.
833,037
58,912
OneMain Holdings, Inc.
2,926,159
121,250
SLM Corp.
2,671,138
352,796
SoFi Technologies, Inc. (a)
3,940,731
 
10,371,065
Consumer Staples Distribution
& Retail — 1.1%
11,207
BJ’s Wholesale Club Holdings,
Inc. (a)
949,569
90,755
Maplebear, Inc. (a)
4,002,296
23,589
Performance Food Group Co. (a)
1,916,606
41,859
Sprouts Farmers Market, Inc. (a)
5,375,951
15,031
US Foods Holding Corp. (a)
926,661
 
13,171,083
Containers & Packaging —
1.1%
11,540
AptarGroup, Inc.
1,937,681
40,790
Berry Global Group, Inc.
2,873,655
9,641
Crown Holdings, Inc.
901,916
62,476
Graphic Packaging Holding Co.
1,765,572
25,463
Sealed Air Corp.
921,251
35,212
Silgan Holdings, Inc.
1,821,869
67,680
Sonoco Products Co.
3,554,554
 
13,776,498
Distributors — 0.3%
92,618
LKQ Corp.
3,407,416
Diversified Consumer Services
— 1.6%
639,232
ADT, Inc.
4,602,471
32,981
Bright Horizons Family
Solutions, Inc. (a)
4,401,974
16,388
Duolingo, Inc. (a)
4,801,192
6,517
Grand Canyon Education,
Inc. (a)
893,546
43,634
H&R Block, Inc.
2,606,259
23,422
Service Corp. International
1,912,406
 
19,217,848
Diversified REITs — 0.5%
108,267
Essential Properties Realty Trust,
Inc.
3,430,981
44,511
WP Carey, Inc.
2,480,153
 
5,911,134

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Electric Utilities — 1.9%
59,624
Evergy, Inc.
$3,603,675
26,898
IDACORP, Inc.
2,783,405
67,601
OGE Energy Corp.
2,703,364
59,131
Otter Tail Corp.
4,642,966
41,735
Pinnacle West Capital Corp.
3,664,750
77,188
Portland General Electric Co.
3,658,711
63,353
TXNM Energy, Inc.
2,758,390
 
23,815,261
Electrical Equipment — 1.1%
6,714
Acuity Brands, Inc.
2,018,833
54,539
Atkore, Inc.
4,677,265
36,230
EnerSys
3,509,238
5,573
Regal Rexnord Corp.
928,127
204,723
Sunrun, Inc. (a)
2,958,247
 
14,091,710
Electronic Equipment,
Instruments & Components
— 2.8%
27,834
Arrow Electronics, Inc. (a)
3,303,061
68,077
Avnet, Inc.
3,690,454
16,928
Badger Meter, Inc.
3,386,446
23,674
Belden, Inc.
2,695,758
41,585
Coherent Corp. (a)
3,844,118
4,291
Insight Enterprises, Inc. (a)
750,582
34,616
Itron, Inc. (a)
3,868,684
23,141
Jabil, Inc.
2,848,426
3,486
Littelfuse, Inc.
852,780
40,512
Sanmina Corp. (a)
2,839,891
30,790
TD SYNNEX Corp.
3,551,627
82,187
Vontier Corp.
3,047,494
 
34,679,321
Energy Equipment & Services
— 1.9%
46,472
Cactus, Inc., Class A
2,755,325
151,927
Helmerich & Payne, Inc.
5,104,747
242,098
Liberty Energy, Inc.
4,132,613
289,395
NOV, Inc.
4,488,516
604,136
Patterson-UTI Energy, Inc.
4,633,723
652,467
Transocean Ltd. (a)
2,831,707
 
23,946,631
Entertainment — 0.5%
8,878
Madison Square Garden Sports
Corp. (a)
1,977,131
29,887
TKO Group Holdings, Inc. (a)
3,489,905
 
5,467,036
Financial Services — 3.8%
113,221
Affirm Holdings, Inc. (a)
4,964,741
71,887
Essent Group Ltd.
4,313,939
9,315
Euronet Worldwide, Inc. (a)
917,248
Shares
Description
Value
 
Financial Services (Continued)
107,262
HA Sustainable Infrastructure
Capital, Inc.
$3,753,097
40,528
Jackson Financial, Inc., Class A
4,050,774
180,533
MGIC Investment Corp.
4,520,546
50,137
Mr. Cooper Group, Inc. (a)
4,439,631
8,110
PennyMac Financial Services,
Inc.
808,405
133,227
Radian Group, Inc.
4,650,955
52,163
Shift4 Payments, Inc.,
Class A (a)
4,717,622
130,601
Toast, Inc., Class A (a)
3,921,948
23,336
Voya Financial, Inc.
1,873,881
16,274
Walker & Dunlop, Inc.
1,779,887
232,438
Western Union (The) Co.
2,501,033
 
47,213,707
Food Products — 1.4%
99,497
Darling Ingredients, Inc. (a)
3,891,328
40,066
Flowers Foods, Inc.
890,667
27,034
Freshpet, Inc. (a)
3,583,086
26,903
Ingredion, Inc.
3,571,642
22,898
J.M. Smucker (The) Co.
2,599,152
23,956
Post Holdings, Inc. (a)
2,616,235
 
17,152,110
Gas Utilities — 1.9%
134,890
MDU Resources Group, Inc.
3,891,576
61,002
National Fuel Gas Co.
3,692,451
39,166
New Jersey Resources Corp.
1,797,328
49,682
ONE Gas, Inc.
3,540,836
37,595
Southwest Gas Holdings, Inc.
2,753,834
54,946
Spire, Inc.
3,508,852
184,718
UGI Corp.
4,416,607
 
23,601,484
Ground Transportation —
0.8%
51,399
Knight-Swift Transportation
Holdings, Inc.
2,676,860
4,894
Landstar System, Inc.
860,218
72,496
Lyft, Inc., Class A (a)
940,273
25,359
Ryder System, Inc.
3,709,515
25,676
U-Haul Holding Co.
1,752,644
 
9,939,510
Health Care Equipment &
Supplies — 2.3%
14,191
Glaukos Corp. (a)
1,876,760
51,681
Globus Medical, Inc.,
Class A (a)
3,800,621
8,760
Inspire Medical Systems, Inc. (a)
1,708,551
15,885
Insulet Corp. (a)
3,677,854
28,441
Integer Holdings Corp. (a)
3,533,794
42,111
Lantheus Holdings, Inc. (a)
4,625,472
28,058
Merit Medical Systems, Inc. (a)
2,768,202

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Health Care Equipment &
Supplies (Continued)
53,031
Solventum Corp. (a)
$3,848,990
3,738
Teleflex, Inc.
751,562
23,549
TransMedics Group, Inc. (a)
1,930,312
 
28,522,118
Health Care Providers &
Services — 2.5%
11,310
CorVel Corp. (a)
3,368,344
28,192
DaVita, Inc. (a)
3,941,524
38,259
Encompass Health Corp.
3,805,240
32,135
Ensign Group (The), Inc.
4,980,604
25,359
Henry Schein, Inc. (a)
1,780,963
200,723
Hims & Hers Health, Inc. (a)
3,779,614
29,531
Option Care Health, Inc. (a)
680,394
53,283
RadNet, Inc. (a)
3,465,526
53,016
Select Medical Holdings Corp.
1,700,753
16,145
Universal Health Services, Inc.,
Class B
3,298,585
 
30,801,547
Health Care REITs — 0.5%
29,952
CareTrust REIT, Inc.
978,532
50,927
Healthcare Realty Trust, Inc.
874,926
45,422
Omega Healthcare Investors, Inc.
1,929,072
149,005
Sabra Health Care REIT, Inc.
2,890,697
 
6,673,227
Hotel & Resort REITs — 0.4%
210,074
Host Hotels & Resorts, Inc.
3,621,676
8,619
Ryman Hospitality Properties,
Inc.
922,664
 
4,544,340
Hotels, Restaurants & Leisure
— 2.7%
23,866
Aramark
902,851
57,190
Boyd Gaming Corp.
3,962,695
22,146
Caesars Entertainment, Inc. (a)
886,947
37,317
Cava Group, Inc. (a)
4,984,058
6,836
Churchill Downs, Inc.
957,724
50,899
Hilton Grand Vacations, Inc. (a)
1,877,155
6,074
Hyatt Hotels Corp., Class A
883,463
189,257
Life Time Group Holdings,
Inc. (a)
4,216,646
47,292
MGM Resorts International (a)
1,743,656
135,201
Norwegian Cruise Line Holdings
Ltd. (a)
3,425,993
34,142
Planet Fitness, Inc., Class A (a)
2,680,830
15,702
Texas Roadhouse, Inc.
3,000,966
4,443
Wingstop, Inc.
1,278,207
19,281
Wynn Resorts Ltd.
1,851,362
 
32,652,553
Shares
Description
Value
 
Household Durables — 2.3%
9,745
Champion Homes, Inc. (a)
$859,801
11,260
Installed Building Products, Inc.
2,442,294
53,934
KB Home
4,233,819
26,971
M/I Homes, Inc. (a)
4,088,534
22,538
Meritage Homes Corp.
4,083,886
65,779
Taylor Morrison Home Corp. (a)
4,505,861
102,000
Tri Pointe Homes, Inc. (a)
4,123,860
34,555
Whirlpool Corp.
3,576,788
 
27,914,843
Household Products — 0.2%
89,163
Reynolds Consumer Products,
Inc.
2,402,943
Independent Power and
Renewable Electricity
Producers — 0.5%
92,157
AES (The) Corp.
1,519,669
12,014
Ormat Technologies, Inc.
949,346
20,743
Talen Energy Corp. (a)
3,761,951
 
6,230,966
Industrial REITs — 0.1%
4,948
EastGroup Properties, Inc.
847,493
16,512
First Industrial Realty Trust, Inc.
866,715
 
1,714,208
Insurance — 3.6%
13,735
American Financial Group, Inc.
1,770,854
9,297
Assurant, Inc.
1,782,235
58,119
Assured Guaranty Ltd.
4,850,612
34,832
Axis Capital Holdings Ltd.
2,725,952
105,337
CNO Financial Group, Inc.
3,623,593
28,005
First American Financial Corp.
1,796,521
26,183
Globe Life, Inc.
2,764,925
6,241
Hanover Insurance Group (The),
Inc.
925,728
1,986
Kinsale Capital Group, Inc.
850,226
117,338
Lincoln National Corp.
4,077,495
78,288
Old Republic International Corp.
2,734,600
6,971
Primerica, Inc.
1,929,642
16,967
RenaissanceRe Holdings Ltd.
4,452,141
5,965
RLI Corp.
930,361
41,768
Ryan Specialty Holdings, Inc.
2,751,258
9,907
Selective Insurance Group, Inc.
899,754
62,202
Unum Group
3,992,124
545
White Mountains Insurance
Group Ltd.
979,441
 
43,837,462
Interactive Media & Services
— 0.2%
17,174
IAC, Inc. (a)
823,493
48,855
Match Group, Inc. (a)
1,760,246
 
2,583,739

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
IT Services — 0.7%
29,744
ASGN, Inc. (a)
$2,739,422
178,183
DXC Technology Co. (a)
3,538,714
9,289
EPAM Systems, Inc. (a)
1,752,370
40,223
Kyndryl Holdings, Inc. (a)
920,705
 
8,951,211
Leisure Products — 0.6%
14,498
Acushnet Holdings Corp.
888,727
33,082
Brunswick Corp.
2,637,959
97,043
Mattel, Inc. (a)
1,977,736
33,313
Polaris, Inc.
2,328,912
 
7,833,334
Life Sciences Tools & Services
— 0.2%
11,564
Bio-Techne Corp.
852,845
9,385
Charles River Laboratories
International, Inc. (a)
1,675,973
 
2,528,818
Machinery — 3.8%
28,336
AGCO Corp.
2,829,066
38,486
Allison Transmission Holdings,
Inc.
4,112,614
12,542
Donaldson Co., Inc.
917,573
8,695
Esab Corp.
1,069,833
29,670
Federal Signal Corp.
2,420,182
53,646
Flowserve Corp.
2,823,925
17,637
Franklin Electric Co., Inc.
1,688,037
18,546
ITT, Inc.
2,598,665
5,469
Kadant, Inc.
1,821,505
19,931
Middleby (The) Corp. (a)
2,585,051
49,896
Mueller Industries, Inc.
4,089,975
46,119
Oshkosh Corp.
4,715,207
3,088
RBC Bearings, Inc. (a)
865,721
23,187
SPX Technologies, Inc. (a)
3,327,103
87,349
Terex Corp.
4,516,817
32,898
Timken (The) Co.
2,730,534
21,315
Toro (The) Co.
1,715,431
8,922
Watts Water Technologies, Inc.,
Class A
1,700,444
 
46,527,683
Marine Transportation —
0.6%
22,649
Kirby Corp. (a)
2,599,199
32,406
Matson, Inc.
5,019,366
 
7,618,565
Media — 1.0%
87,669
Interpublic Group of (The) Cos.,
Inc.
2,577,469
47,837
Liberty Broadband Corp.,
Class C (a)
3,866,186
Shares
Description
Value
 
Media (Continued)
33,208
New York Times (The) Co.,
Class A
$1,854,335
22,361
Nexstar Media Group, Inc.
3,933,747
 
12,231,737
Metals & Mining — 2.1%
19,569
Alpha Metallurgical Resources,
Inc.
4,076,223
69,073
ATI, Inc. (a)
3,640,838
28,962
Carpenter Technology Corp.
4,329,819
289,531
Cleveland-Cliffs, Inc. (a)
3,758,112
84,091
Commercial Metals Co.
4,524,096
6,588
Royal Gold, Inc.
962,243
72,326
Warrior Met Coal, Inc.
4,565,940
 
25,857,271
Mortgage REITs — 0.5%
88,368
AGNC Investment Corp.
822,706
46,056
Annaly Capital Management,
Inc.
875,525
325,755
Rithm Capital Corp.
3,449,745
45,354
Starwood Property Trust, Inc.
895,288
 
6,043,264
Multi-Utilities — 0.3%
60,493
Black Hills Corp.
3,580,581
Office REITs — 0.9%
94,063
Cousins Properties, Inc.
2,881,150
95,538
Kilroy Realty Corp.
3,842,538
39,836
SL Green Realty Corp.
3,012,000
23,460
Vornado Realty Trust
971,479
 
10,707,167
Oil, Gas & Consumable Fuels
— 6.1%
64,526
Antero Resources Corp. (a)
1,669,933
188,947
APA Corp.
4,459,149
52,849
California Resources Corp.
2,746,563
35,489
Chord Energy Corp.
4,439,674
91,211
Civitas Resources, Inc.
4,450,185
141,899
CNX Resources Corp. (a)
4,828,823
23,502
DT Midstream, Inc.
2,118,705
56,190
Expand Energy Corp.
4,760,417
103,694
HF Sinclair Corp.
4,003,625
189,257
Magnolia Oil & Gas Corp.,
Class A
4,784,417
93,517
Matador Resources Co.
4,873,171
136,978
Murphy Oil Corp.
4,312,067
406,746
New Fortress Energy, Inc. (b)
3,420,734
130,518
Northern Oil & Gas, Inc.
4,731,277
120,638
Ovintiv, Inc.
4,729,010
149,325
PBF Energy, Inc., Class A
4,258,749
120,198
Range Resources Corp.
3,609,546

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Oil, Gas & Consumable Fuels
(Continued)
115,628
SM Energy Co.
$4,852,907
40,981
Viper Energy, Inc.
2,126,914
 
75,175,866
Paper & Forest Products —
0.2%
25,805
Louisiana-Pacific Corp.
2,552,115
Passenger Airlines — 0.2%
61,335
Alaska Air Group, Inc. (a)
2,938,560
Personal Care Products —
0.2%
30,446
BellRing Brands, Inc. (a)
2,004,260
98,437
Coty, Inc., Class A (a)
732,371
 
2,736,631
Pharmaceuticals — 1.4%
20,571
Axsome Therapeutics, Inc. (a)
1,831,436
99,862
Corcept Therapeutics, Inc. (a)
4,890,242
62,923
Elanco Animal Health, Inc. (a)
795,347
25,265
Intra-Cellular Therapies, Inc. (a)
2,141,209
33,186
Jazz Pharmaceuticals PLC (a)
3,651,455
96,636
Organon & Co.
1,814,824
70,479
Perrigo Co. PLC
1,806,377
 
16,930,890
Professional Services — 3.1%
124,909
Alight, Inc., Class A (a)
865,619
9,159
CACI International, Inc.,
Class A (a)
5,060,897
90,178
Concentrix Corp.
3,833,467
15,091
Dayforce, Inc. (a)
1,070,706
160,613
Dun & Bradstreet Holdings, Inc.
1,909,689
96,915
ExlService Holdings, Inc. (a)
4,038,448
16,036
Exponent, Inc.
1,513,478
4,062
FTI Consulting, Inc. (a)
792,415
94,295
Genpact Ltd.
3,599,240
10,504
Insperity, Inc.
827,400
24,570
Korn Ferry
1,735,870
29,766
Maximus, Inc.
2,572,973
44,576
Parsons Corp. (a)
4,821,340
5,603
Paylocity Holding Corp. (a)
1,034,146
27,424
Robert Half, Inc.
1,867,849
6,637
Science Applications
International Corp.
957,653
9,532
TriNet Group, Inc.
809,171
33,238
Verra Mobility Corp. (a)
863,191
 
38,173,552
Real Estate Management &
Development — 0.1%
3,425
Jones Lang LaSalle, Inc. (a)
928,038
Shares
Description
Value
 
Residential REITs — 0.2%
7,482
Camden Property Trust
$866,341
45,089
Independence Realty Trust, Inc.
884,646
20,386
UDR, Inc.
860,085
 
2,611,072
Retail REITs — 0.7%
36,811
Agree Realty Corp.
2,733,217
66,355
Brixmor Property Group, Inc.
1,788,267
34,801
Kite Realty Group Trust
893,342
19,062
NNN REIT, Inc.
828,053
25,594
Regency Centers Corp.
1,828,435
 
8,071,314
Semiconductors &
Semiconductor Equipment
— 1.0%
120,827
Amkor Technology, Inc.
3,075,047
14,883
Cirrus Logic, Inc. (a)
1,634,451
60,022
Credo Technology Group
Holding Ltd. (a)
2,262,830
43,267
Diodes, Inc. (a)
2,530,254
17,075
Impinj, Inc. (a)
3,244,079
 
12,746,661
Software — 4.2%
90,798
ACI Worldwide, Inc. (a)
4,467,262
3,871
Aspen Technology, Inc. (a)
908,640
468,409
Aurora Innovation, Inc. (a)
2,433,385
21,831
Blackbaud, Inc. (a)
1,648,459
84,723
Box, Inc., Class A (a)
2,690,802
98,964
Cleanspark, Inc. (a)
1,050,008
30,040
CommVault Systems, Inc. (a)
4,691,948
29,774
DocuSign, Inc. (a)
2,065,720
36,348
Dropbox, Inc., Class A (a)
939,596
34,574
Dynatrace, Inc. (a)
1,860,081
20,211
Guidewire Software, Inc. (a)
3,764,501
56,987
MARA Holdings, Inc. (a)
955,672
15,600
Nutanix, Inc., Class A (a)
968,760
50,587
Pegasystems, Inc.
4,018,631
57,937
Q2 Holdings, Inc. (a)
4,904,946
96,044
Samsara, Inc., Class A (a)
4,589,943
77,285
SentinelOne, Inc., Class A (a)
1,993,180
40,863
Unity Software, Inc. (a)
820,529
49,079
Varonis Systems, Inc. (a)
2,472,109
154,932
Zeta Global Holdings Corp.,
Class A (a)
4,288,518
 
51,532,690
Specialized REITs — 0.4%
34,342
CubeSmart
1,642,921
13,837
Lamar Advertising Co., Class A
1,826,484
57,447
Rayonier, Inc.
1,794,070
 
5,263,475

First Trust Mid Cap Core AlphaDEX® Fund (FNX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Specialty Retail — 4.5%
19,820
Abercrombie & Fitch Co.,
Class A (a)
$2,612,078
79,192
Academy Sports & Outdoors,
Inc.
4,027,705
94,828
Advance Auto Parts, Inc.
3,384,411
165,132
American Eagle Outfitters, Inc.
3,234,936
15,497
Asbury Automotive Group,
Inc. (a)
3,530,837
20,664
AutoNation, Inc. (a)
3,212,632
86,872
Bath & Body Works, Inc.
2,465,427
27,629
Boot Barn Holdings, Inc. (a)
3,441,192
11,945
CarMax, Inc. (a)
864,579
8,859
Dick’s Sporting Goods, Inc.
1,734,149
31,385
Five Below, Inc. (a)
2,974,984
7,444
Floor & Decor Holdings, Inc.,
Class A (a)
767,104
40,311
GameStop Corp., Class A (a)
894,098
41,920
Gap (The), Inc.
870,678
12,066
Group 1 Automotive, Inc.
4,395,885
14,550
Lithia Motors, Inc.
4,835,984
1,875
Murphy USA, Inc.
915,844
17,073
Penske Automotive Group, Inc.
2,570,682
44,809
Signet Jewelers Ltd.
4,108,089
120,638
Urban Outfitters, Inc. (a)
4,336,936
 
55,178,230
Textiles, Apparel & Luxury
Goods — 1.7%
33,333
Columbia Sportswear Co.
2,682,306
12,766
Crocs, Inc. (a)
1,376,430
56,514
Kontoor Brands, Inc.
4,839,294
45,836
PVH Corp.
4,513,013
14,303
Ralph Lauren Corp.
2,830,993
41,437
Skechers U.S.A., Inc.,
Class A (a)
2,546,718
39,349
Tapestry, Inc.
1,867,110
 
20,655,864
Trading Companies &
Distributors — 3.1%
102,046
Air Lease Corp.
4,525,740
12,427
Applied Industrial Technologies,
Inc.
2,877,969
32,083
Beacon Roofing Supply, Inc. (a)
2,953,882
32,782
Boise Cascade Co.
4,360,989
34,775
FTAI Aviation Ltd.
4,675,151
6,979
GATX Corp.
961,427
40,823
GMS, Inc. (a)
3,669,580
17,394
Herc Holdings, Inc.
3,637,781
32,221
MSC Industrial Direct Co., Inc.,
Class A
2,547,714
Shares
Description
Value
 
Trading Companies &
Distributors (Continued)
69,985
Rush Enterprises, Inc., Class A
$3,959,751
22,011
WESCO International, Inc.
4,225,452
 
38,395,436
Water Utilities — 0.2%
71,894
Essential Utilities, Inc.
2,775,108
Total Common Stocks
1,230,795,315
(Cost $1,093,894,342)
MONEY MARKET FUNDS — 0.4%
3,239,648
Goldman Sachs Financial Square
Treasury Obligations Fund -
4.67% (c) (d)
3,239,648
1,895,321
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
4.71% (c)
1,895,321
Total Money Market Funds
5,134,969
(Cost $5,134,969)
Total Investments — 100.3%
1,235,930,284
(Cost $1,099,029,311)
Net Other Assets and
Liabilities — (0.3)%
(3,537,641
)
Net Assets — 100.0%
$1,232,392,643
(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 $3,078,657 and the total value of
the collateral held by the Fund is $3,239,648.
(c)
Rate shown reflects yield as of October 31, 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)
October 31, 2024 (Unaudited)

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,230,795,315
$1,230,795,315
$
$
Money Market
Funds
    5,134,969
    5,134,969
Total
Investments
$1,235,930,284
$1,235,930,284
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 0.9%
8,867
AAR Corp. (a)
$520,493
30,544
Cadre Holdings, Inc.
1,062,015
74,622
Kratos Defense & Security
Solutions, Inc. (a)
1,695,411
297,827
Rocket Lab USA, Inc. (a)
3,186,749
44,963
Triumph Group, Inc. (a)
622,288
10,375
V2X, Inc. (a)
639,100
 
7,726,056
Air Freight & Logistics —
0.2%
51,008
Hub Group, Inc., Class A
2,213,237
Automobile Components —
2.2%
102,715
Adient PLC (a)
2,006,024
219,534
Dana, Inc.
1,683,826
20,494
Dorman Products, Inc. (a)
2,336,931
27,931
Fox Factory Holding Corp. (a)
1,005,237
70,852
Garrett Motion, Inc. (a)
526,430
37,352
Gentherm, Inc. (a)
1,566,916
261,953
Goodyear Tire & Rubber (The)
Co. (a)
2,098,243
9,617
LCI Industries
1,070,180
12,213
Patrick Industries, Inc.
1,538,594
50,365
Phinia, Inc.
2,346,002
30,427
Visteon Corp. (a)
2,746,037
13,364
XPEL, Inc. (a) (b)
515,449
 
19,439,869
Automobiles — 0.3%
39,895
Winnebago Industries, Inc.
2,235,716
Banks — 11.6%
29,037
1st Source Corp.
1,719,862
80,720
Associated Banc-Corp.
1,916,293
39,346
Banc of California, Inc.
604,355
16,520
BancFirst Corp.
1,795,889
54,165
Bancorp (The), Inc. (a)
2,722,333
9,233
Bank of Hawaii Corp.
666,900
47,714
BankUnited, Inc.
1,686,213
29,193
Banner Corp.
1,869,520
21,522
Berkshire Hills Bancorp, Inc.
586,044
86,600
Byline Bancorp Inc.
2,330,406
53,976
Cathay General Bancorp
2,481,816
9,874
City Holding Co.
1,151,308
33,952
Columbia Financial, Inc. (a)
579,900
9,981
Community Financial System,
Inc.
610,238
62,387
Customers Bancorp, Inc. (a)
2,877,912
97,571
CVB Financial Corp.
1,895,805
141,445
Eastern Bankshares, Inc.
2,309,797
33,920
Enterprise Financial Services
Corp.
1,788,262
Shares
Description
Value
 
Banks (Continued)
24,699
FB Financial Corp.
$1,215,191
27,870
First Bancorp
1,162,179
109,508
First BanCorp
2,111,314
66,822
First Busey Corp.
1,624,443
101,383
First Commonwealth Financial
Corp.
1,666,737
91,886
First Financial Bancorp
2,350,444
75,106
First Hawaiian, Inc.
1,858,122
56,673
First Interstate BancSystem, Inc.,
Class A
1,745,528
62,319
First Merchants Corp.
2,308,919
95,902
Fulton Financial Corp.
1,736,785
29,913
German American Bancorp, Inc.
1,211,177
54,065
Hilltop Holdings, Inc.
1,656,011
138,432
Hope Bancorp, Inc.
1,715,172
39,207
Independent Bank Corp.
2,466,120
17,800
Lakeland Financial Corp.
1,158,246
12,235
Live Oak Bancshares, Inc.
485,852
41,300
National Bank Holdings Corp.,
Class A
1,856,848
26,207
NBT Bancorp, Inc.
1,165,687
18,182
Nicolet Bankshares, Inc.
1,848,928
129,949
Northwest Bancshares, Inc.
1,727,022
38,706
OFG Bancorp
1,558,691
23,035
Pacific Premier Bancorp, Inc.
587,623
13,801
Park National Corp.
2,384,537
26,340
Pathward Financial, Inc.
1,863,818
77,045
Peoples Bancorp, Inc.
2,371,445
28,888
Preferred Bank
2,437,281
62,454
Provident Financial Services,
Inc.
1,166,641
39,145
QCR Holdings, Inc.
3,096,369
53,499
Renasant Corp.
1,824,851
41,428
S&T Bancorp, Inc.
1,573,435
55,426
Sandy Spring Bancorp, Inc.
1,864,531
43,495
Seacoast Banking Corp. of
Florida
1,161,317
80,720
Simmons First National Corp.,
Class A
1,872,704
67,157
Stellar Bancorp, Inc.
1,828,014
37,397
Stock Yards Bancorp, Inc.
2,411,359
16,221
Texas Capital Bancshares,
Inc. (a)
1,248,206
35,062
TowneBank
1,140,216
40,767
TriCo Bancshares
1,741,974
72,856
Trustmark Corp.
2,529,560
66,060
Veritex Holdings, Inc.
1,783,620
33,261
WaFd, Inc.
1,130,209
58,385
WesBanco, Inc.
1,836,208
45,465
WSFS Financial Corp.
2,235,514
 
104,311,701

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Beverages — 0.2%
2,005
Boston Beer (The) Co., Inc.,
Class A (a)
$583,595
20,885
MGP Ingredients, Inc.
1,003,316
20,472
Vita Coco (The) Co., Inc. (a)
606,176
 
2,193,087
Biotechnology — 5.3%
144,966
ADMA Biologics, Inc. (a)
2,364,395
39,134
Agios Pharmaceuticals, Inc. (a)
1,738,724
54,266
Amicus Therapeutics, Inc. (a)
619,718
34,701
Arcellx, Inc. (a)
2,924,253
124,639
Arcutis Biotherapeutics, Inc. (a)
1,035,750
84,118
Ardelyx, Inc. (a)
493,773
228,778
BioCryst Pharmaceuticals,
Inc. (a)
1,832,512
116,614
Catalyst Pharmaceuticals,
Inc. (a)
2,542,185
19,896
Denali Therapeutics, Inc. (a)
516,500
52,026
Dynavax Technologies Corp. (a)
616,508
510,634
Geron Corp. (a)
2,098,706
106,538
Humacyte, Inc. (a)
538,017
123,444
Iovance Biotherapeutics, Inc. (a)
1,288,755
51,030
Janux Therapeutics, Inc. (a)
2,755,110
61,227
Kymera Therapeutics, Inc. (a)
2,826,851
368,566
MannKind Corp. (a)
2,605,762
59,443
Mirum Pharmaceuticals, Inc. (a)
2,286,178
63,480
Myriad Genetics, Inc. (a)
1,394,021
91,777
Novavax, Inc. (a)
881,977
51,586
Nurix Therapeutics, Inc. (a)
1,267,984
64,397
Protagonist Therapeutics, Inc. (a)
2,951,958
62,487
PTC Therapeutics, Inc. (a)
2,494,481
55,313
Rhythm Pharmaceuticals, Inc. (a)
2,640,089
123,893
TG Therapeutics, Inc. (a)
3,104,758
38,484
Twist Bioscience Corp. (a)
1,553,214
68,105
Veracyte, Inc. (a)
2,297,863
 
47,670,042
Broadline Retail — 0.3%
137,339
Kohl’s Corp.
2,538,025
55,093
Savers Value Village, Inc. (a) (c)
563,601
 
3,101,626
Building Products — 2.2%
31,010
American Woodmark Corp. (a)
2,812,917
24,833
Apogee Enterprises, Inc.
1,858,502
14,032
AZZ, Inc.
1,068,958
24,863
Gibraltar Industries, Inc. (a)
1,678,004
24,839
Griffon Corp.
1,561,876
37,782
Hayward Holdings, Inc. (a)
614,335
36,658
JELD-WEN Holding, Inc. (a)
519,077
125,042
Masterbrand, Inc. (a)
2,245,754
83,542
Quanex Building Products Corp.
2,427,731
Shares
Description
Value
 
Building Products (Continued)
115,108
Resideo Technologies, Inc. (a)
$2,264,174
33,764
Tecnoglass, Inc.
2,313,847
 
19,365,175
Capital Markets — 2.5%
13,379
Artisan Partners Asset
Management, Inc., Class A
590,014
126,268
BGC Group, Inc., Class A
1,183,131
205,085
DigitalBridge Group, Inc.
3,217,784
26,413
Donnelley Financial Solutions,
Inc. (a)
1,540,934
47,286
Federated Hermes, Inc.
1,897,587
21,733
PJT Partners, Inc., Class A
3,020,018
50,991
StepStone Group, Inc., Class A
3,066,089
21,235
StoneX Group, Inc. (a)
1,911,999
31,385
Victory Capital Holdings, Inc.,
Class A
1,880,903
19,027
Virtu Financial, Inc., Class A
589,076
11,068
Virtus Investment Partners, Inc.
2,394,783
116,030
WisdomTree, Inc.
1,200,911
 
22,493,229
Chemicals — 2.2%
104,653
Aspen Aerogels, Inc. (a)
1,867,010
57,044
Chemours (The) Co.
1,035,919
423,044
Ecovyst, Inc. (a)
2,817,473
18,187
Hawkins, Inc.
1,944,190
15,375
Innospec, Inc.
1,657,118
22,513
Minerals Technologies, Inc.
1,695,004
130,168
Orion S.A.
1,951,218
215,454
Perimeter Solutions S.A. (a)
2,861,229
6,880
Quaker Chemical Corp.
1,042,870
14,449
Sensient Technologies Corp.
1,090,611
22,507
Stepan Co.
1,628,156
 
19,590,798
Commercial Services &
Supplies — 3.1%
32,955
ABM Industries, Inc.
1,748,592
57,016
ACV Auctions, Inc., Class A (a)
985,807
22,690
Brady Corp., Class A
1,614,166
147,286
BrightView Holdings, Inc. (a)
2,412,545
14,150
Cimpress PLC (a)
976,491
229,079
CoreCivic, Inc. (a)
3,163,581
81,229
Driven Brands Holdings, Inc. (a)
1,206,251
90,205
GEO Group (The), Inc. (a)
1,369,312
53,824
HNI Corp.
2,652,447
93,630
MillerKnoll, Inc.
2,093,567
103,004
OPENLANE, Inc. (a)
1,627,463
406,431
Pitney Bowes, Inc.
2,930,367
85,926
Steelcase, Inc., Class A
1,033,690
8,753
UniFirst Corp.
1,573,877

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Commercial Services &
Supplies (Continued)
155,589
Vestis Corp.
$2,103,563
7,006
VSE Corp.
718,956
 
28,210,675
Communications Equipment
— 0.4%
79,557
Harmonic, Inc. (a)
882,287
18,288
Lumentum Holdings, Inc. (a)
1,168,054
194,161
Viasat, Inc. (a)
1,863,946
 
3,914,287
Construction & Engineering
— 2.0%
41,516
Construction Partners, Inc.,
Class A (a)
3,268,555
36,552
Granite Construction, Inc.
3,072,196
14,517
IES Holdings, Inc. (a)
3,174,360
11,338
MYR Group, Inc. (a)
1,485,278
49,894
Primoris Services Corp.
3,124,362
19,983
Sterling Infrastructure, Inc. (a)
3,086,374
21,339
Tutor Perini Corp. (a)
553,107
 
17,764,232
Construction Materials —
0.3%
23,738
United States Lime & Minerals,
Inc.
2,677,172
Consumer Finance — 1.4%
60,905
Bread Financial Holdings, Inc.
3,036,114
34,585
Enova International, Inc. (a)
3,005,783
101,412
LendingClub Corp. (a)
1,438,022
148,704
Navient Corp.
2,116,058
10,233
Nelnet, Inc., Class A
1,153,259
47,809
PROG Holdings, Inc.
2,087,819
 
12,837,055
Consumer Staples Distribution
& Retail — 1.4%
46,236
Andersons (The), Inc.
2,099,114
68,980
Chefs’ Warehouse (The), Inc. (a)
2,753,682
99,071
Grocery Outlet Holding
Corp. (a)
1,416,715
38,845
Ingles Markets, Inc., Class A
2,480,642
12,630
PriceSmart, Inc.
1,049,300
42,040
Weis Markets, Inc.
2,643,896
 
12,443,349
Containers & Packaging —
0.7%
46,247
Greif, Inc., Class A
2,887,663
88,349
O-I Glass, Inc. (a)
981,557
201,415
Pactiv Evergreen, Inc.
2,284,046
 
6,153,266
Shares
Description
Value
 
Diversified Consumer Services
— 2.4%
38,392
Adtalem Global Education,
Inc. (a)
$3,106,681
60,384
Frontdoor, Inc. (a)
3,000,481
2,822
Graham Holdings Co., Class B
2,379,792
139,572
Laureate Education, Inc.
2,397,847
178,055
Mister Car Wash, Inc. (a)
1,337,193
140,417
OneSpaWorld Holdings Ltd.
2,458,702
130,299
Perdoceo Education Corp.
2,912,183
6,262
Strategic Education, Inc.
544,543
33,969
Stride, Inc. (a)
3,168,628
 
21,306,050
Diversified REITs — 0.7%
60,372
Alexander & Baldwin, Inc.
1,123,523
65,072
American Assets Trust, Inc.
1,753,690
122,337
Broadstone Net Lease, Inc.
2,151,908
104,616
Empire State Realty Trust, Inc.,
Class A
1,108,930
 
6,138,051
Diversified Telecommunication
Services — 1.0%
66,490
AST SpaceMobile, Inc. (a)
1,583,127
30,536
Cogent Communications
Holdings, Inc.
2,451,124
19,033
Iridium Communications, Inc.
558,238
244,287
Liberty Latin America Ltd.,
Class C (a)
2,364,698
123,226
Shenandoah
Telecommunications Co.
1,705,448
 
8,662,635
Electric Utilities — 0.1%
6,338
MGE Energy, Inc.
573,526
Electrical Equipment — 0.7%
76,561
Fluence Energy, Inc. (a)
1,665,202
13,054
Powell Industries, Inc.
3,328,509
103,311
Shoals Technologies Group, Inc.,
Class A (a)
558,912
19,423
Thermon Group Holdings,
Inc. (a)
509,077
 
6,061,700
Electronic Equipment,
Instruments & Components
— 2.1%
39,230
Benchmark Electronics, Inc.
1,698,659
20,662
Crane NXT Co.
1,121,327
11,787
ePlus, Inc. (a)
1,048,454
23,395
IPG Photonics Corp. (a)
1,894,059
64,289
Knowles Corp. (a)
1,113,485
52,355
Mirion Technologies, Inc. (a)
774,854
11,451
OSI Systems, Inc. (a)
1,513,937
11,128
PAR Technology Corp. (a)
656,441

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Electronic Equipment,
Instruments & Components
(Continued)
15,367
PC Connection, Inc.
$978,110
4,239
Plexus Corp. (a)
610,840
10,257
Rogers Corp. (a)
1,028,572
48,267
ScanSource, Inc. (a)
2,047,003
63,514
TTM Technologies, Inc. (a)
1,425,254
153,245
Vishay Intertechnology, Inc.
2,599,035
 
18,510,030
Energy Equipment & Services
— 1.0%
57,270
Archrock, Inc.
1,146,545
26,586
Atlas Energy Solutions, Inc.
520,288
104,427
Helix Energy Solutions Group,
Inc. (a)
965,950
19,985
Kodiak Gas Services, Inc.
637,122
46,608
Oceaneering International,
Inc. (a)
1,137,235
455,637
RPC, Inc.
2,588,018
156,219
Select Water Solutions, Inc.
1,655,922
 
8,651,080
Entertainment — 0.8%
14,562
Atlanta Braves Holdings, Inc.,
Class C (a)
575,345
104,089
Cinemark Holdings, Inc. (a)
3,096,648
54,509
Madison Square Garden
Entertainment Corp. (a)
2,273,570
26,236
Sphere Entertainment Co. (a)
1,096,927
 
7,042,490
Financial Services — 1.1%
34,203
EVERTEC, Inc.
1,120,490
6,185
Federal Agricultural Mortgage
Corp., Class C
1,133,525
51,564
Merchants Bancorp
1,904,774
56,283
NMI Holdings, Inc. (a)
2,177,027
384,841
Payoneer Global, Inc. (a)
3,317,329
 
9,653,145
Food Products — 1.1%
23,232
Cal-Maine Foods, Inc.
2,039,305
39,240
Fresh Del Monte Produce, Inc.
1,259,997
3,367
J & J Snack Foods Corp.
552,592
924
Seaboard Corp.
2,555,793
13,806
TreeHouse Foods, Inc. (a)
502,262
49,578
Vital Farms, Inc. (a)
1,719,365
101,619
WK Kellogg Co.
1,689,924
 
10,319,238
Shares
Description
Value
 
Gas Utilities — 0.3%
4,667
Chesapeake Utilities Corp.
$559,060
56,793
Northwest Natural Holding Co.
2,208,680
 
2,767,740
Ground Transportation —
1.5%
21,377
ArcBest Corp.
2,227,056
6,617
Avis Budget Group, Inc.
549,211
702,510
Hertz Global Holdings, Inc. (a)
1,952,978
130,977
Marten Transport Ltd.
2,027,524
60,922
Schneider National, Inc., Class B
1,722,874
67,220
Universal Logistics Holdings,
Inc.
2,825,929
60,075
Werner Enterprises, Inc.
2,216,166
 
13,521,738
Health Care Equipment &
Supplies — 1.9%
65,316
Artivion, Inc. (a)
1,719,770
48,237
Avanos Medical, Inc. (a)
901,067
16,117
CONMED Corp.
1,099,824
26,926
Enovis Corp. (a)
1,111,236
3,180
ICU Medical, Inc. (a)
542,921
127,588
Integra LifeSciences Holdings
Corp. (a)
2,393,551
18,718
LeMaitre Vascular, Inc.
1,654,484
13,293
Omnicell, Inc. (a)
646,572
36,169
PROCEPT BioRobotics
Corp. (a)
3,255,210
11,725
RxSight, Inc. (a)
593,989
27,332
Tandem Diabetes Care, Inc. (a)
857,405
7,320
UFP Technologies, Inc. (a)
1,954,440
 
16,730,469
Health Care Providers &
Services — 2.4%
13,070
Addus HomeCare Corp. (a)
1,626,169
245,165
Alignment Healthcare, Inc. (a)
3,040,046
54,689
AMN Healthcare Services,
Inc. (a)
2,074,901
50,015
Astrana Health, Inc. (a)
2,689,807
256,070
Brookdale Senior Living, Inc. (a)
1,605,559
248,388
LifeStance Health Group,
Inc. (a)
1,666,683
18,433
National HealthCare Corp.
2,138,781
39,292
NeoGenomics, Inc. (a)
533,978
110,817
Owens & Minor, Inc. (a)
1,408,484
106,149
Patterson Cos., Inc.
2,230,191
144,893
Premier, Inc., Class A
2,919,594
 
21,934,193
Health Care REITs — 0.2%
15,796
LTC Properties, Inc.
603,407
20,685
National Health Investors, Inc.
1,585,505
 
2,188,912

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Health Care Technology —
0.5%
66,510
Doximity, Inc., Class A (a)
$2,776,127
61,482
Evolent Health, Inc., Class A (a)
1,435,605
25,431
Phreesia, Inc. (a)
465,133
 
4,676,865
Hotel & Resort REITs — 1.9%
195,142
Apple Hospitality REIT, Inc.
2,882,247
265,553
DiamondRock Hospitality Co.
2,275,789
205,521
Park Hotels & Resorts, Inc.
2,854,687
131,422
Pebblebrook Hotel Trust
1,574,436
315,670
RLJ Lodging Trust
2,793,680
280,800
Sunstone Hotel Investors, Inc.
2,833,272
117,720
Xenia Hotels & Resorts, Inc.
1,668,092
 
16,882,203
Hotels, Restaurants & Leisure
— 2.6%
35,062
Bloomin’ Brands, Inc.
581,679
37,866
Brinker International, Inc. (a)
3,889,217
42,878
Cheesecake Factory (The), Inc.
1,981,821
150,734
Global Business Travel Group
I (a)
1,150,100
53,963
Krispy Kreme, Inc.
613,559
31,550
Marriott Vacations Worldwide
Corp.
2,430,297
21,934
Monarch Casino & Resort, Inc.
1,722,038
10,759
Papa John’s International, Inc.
563,664
299,133
Playa Hotels & Resorts N.V. (a)
2,542,630
10,646
Red Rock Resorts, Inc., Class A
547,843
473,764
Sabre Corp. (a)
1,516,045
16,846
Shake Shack, Inc., Class A (a)
2,049,653
81,745
Sweetgreen, Inc., Class A (a)
2,950,994
25,155
Travel + Leisure Co.
1,202,661
 
23,742,201
Household Durables — 2.0%
2,707
Cavco Industries, Inc. (a)
1,109,315
28,140
Century Communities, Inc.
2,494,892
48,017
Dream Finders Homes, Inc.,
Class A (a)
1,433,307
27,757
Green Brick Partners, Inc. (a)
1,915,511
46,853
Helen of Troy Ltd. (a)
2,982,194
14,180
Hovnanian Enterprises, Inc.,
Class A (a)
2,496,247
67,501
La-Z-Boy, Inc.
2,568,413
19,560
LGI Homes, Inc. (a)
1,986,514
75,465
Newell Brands, Inc.
664,092
13,983
Worthington Enterprises, Inc.
535,549
 
18,186,034
Household Products — 0.5%
92,288
Central Garden & Pet Co.,
Class A (d)
2,689,273
Shares
Description
Value
 
Household Products
(Continued)
18,276
Spectrum Brands Holdings, Inc.
$1,637,895
2,247
WD-40 Co.
588,871
 
4,916,039
Independent Power and
Renewable Electricity
Producers — 0.1%
37,782
Clearway Energy, Inc., Class C
1,072,253
Industrial REITs — 0.3%
12,917
Innovative Industrial Properties,
Inc.
1,668,747
115,337
LXP Industrial Trust
1,088,782
 
2,757,529
Insurance — 3.4%
58,190
Baldwin Insurance Group (The),
Inc. (a)
2,691,869
12,871
Brighthouse Financial, Inc. (a)
608,798
60,410
Employers Holdings, Inc.
2,943,175
84,609
Genworth Financial, Inc. (a)
570,265
19,471
Goosehead Insurance, Inc.,
Class A (a)
2,120,392
33,166
Horace Mann Educators Corp.
1,235,102
70,294
Lemonade, Inc. (a)
1,670,888
46,013
Mercury General Corp.
3,111,859
136,627
Oscar Health, Inc., Class A (a)
2,295,334
24,488
Palomar Holdings, Inc. (a)
2,198,288
14,174
Safety Insurance Group, Inc.
1,109,328
202,082
SiriusPoint Ltd. (a)
2,655,358
56,918
Skyward Specialty Insurance
Group, Inc. (a)
2,516,345
15,509
Stewart Information Services
Corp.
1,067,019
69,030
Trupanion, Inc. (a)
3,781,463
 
30,575,483
Interactive Media & Services
— 1.0%
454,209
Bumble, Inc., Class A (a)
3,215,800
38,600
Cargurus, Inc. (a)
1,197,372
152,118
Getty Images Holdings, Inc. (a)
631,290
49,157
Shutterstock, Inc.
1,577,448
59,554
Ziff Davis, Inc. (a)
2,755,563
 
9,377,473
IT Services — 0.1%
28,698
DigitalOcean Holdings, Inc. (a)
1,135,867
Leisure Products — 0.6%
247,680
Peloton Interactive, Inc.,
Class A (a)
2,105,280
211,137
Topgolf Callaway Brands
Corp. (a)
2,050,140

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Leisure Products (Continued)
14,792
Vista Outdoor, Inc. (a)
$650,404
28,251
YETI Holdings, Inc. (a)
994,718
 
5,800,542
Life Sciences Tools & Services
— 0.1%
46,292
BioLife Solutions, Inc. (a)
1,083,233
Machinery — 4.2%
9,652
Alamo Group, Inc.
1,636,400
13,046
Albany International Corp.,
Class A
886,084
61,772
Atmus Filtration Technologies,
Inc.
2,405,402
14,342
Barnes Group, Inc.
670,632
48,338
Blue Bird Corp. (a)
2,035,513
64,397
Columbus McKinnon Corp.
2,048,469
27,671
Enerpac Tool Group Corp.
1,220,845
3,574
Enpro, Inc.
520,410
13,481
ESCO Technologies, Inc.
1,692,405
56,944
Greenbrier (The) Cos., Inc.
3,375,071
24,300
Helios Technologies, Inc.
1,120,959
54,884
Hillman Solutions Corp. (a)
581,770
45,442
Hyster-Yale, Inc.
2,884,204
29,417
John Bean Technologies Corp.
3,277,642
111,757
Kennametal, Inc.
2,829,687
13,950
Lindsay Corp.
1,669,815
106,833
Mueller Water Products, Inc.,
Class A
2,306,524
103,273
REV Group, Inc.
2,736,735
3,171
Standex International Corp.
583,083
6,035
Tennant Co.
528,425
83,176
Trinity Industries, Inc.
2,851,273
 
37,861,348
Media — 1.4%
8,285
Cable One, Inc.
2,829,824
116,755
EchoStar Corp., Class A (a)
2,925,880
53,615
Integral Ad Science Holding
Corp. (a)
634,802
36,036
John Wiley & Sons, Inc.,
Class A
1,776,575
125,539
Magnite, Inc. (a)
1,566,727
183,641
TEGNA, Inc.
3,017,222
 
12,751,030
Metals & Mining — 1.1%
71,419
Century Aluminum Co. (a)
1,260,545
336,960
Coeur Mining, Inc. (a)
2,170,022
23,975
Kaiser Aluminum Corp.
1,780,384
10,362
Materion Corp.
1,053,090
85,206
Worthington Steel, Inc.
3,258,278
 
9,522,319
Shares
Description
Value
 
Mortgage REITs — 1.6%
126,130
Apollo Commercial Real Estate
Finance, Inc.
$1,121,296
148,990
Arbor Realty Trust, Inc. (c)
2,196,113
30,487
Blackstone Mortgage Trust, Inc.,
Class A
555,168
183,060
Chimera Investment Corp.
2,764,206
77,379
Claros Mortgage Trust, Inc.
486,714
44,378
Franklin BSP Realty Trust, Inc.
577,358
199,852
Ladder Capital Corp.
2,280,311
136,691
MFA Financial, Inc.
1,679,932
121,930
PennyMac Mortgage Investment
Trust
1,643,616
75,960
Ready Capital Corp.
520,326
83,512
Two Harbors Investment Corp.
960,388
 
14,785,428
Multi-Utilities — 0.6%
74,783
Avista Corp.
2,802,867
40,516
Northwestern Energy Group,
Inc.
2,165,985
 
4,968,852
Office REITs — 1.1%
38,217
COPT Defense Properties
1,230,587
65,973
Douglas Emmett, Inc.
1,173,660
128,034
Easterly Government Properties,
Inc.
1,736,141
116,496
Equity Commonwealth (a)
2,305,456
69,182
Highwoods Properties, Inc.
2,320,364
33,156
JBG SMITH Properties
563,652
117,799
Paramount Group, Inc.
571,325
 
9,901,185
Oil, Gas & Consumable Fuels
— 3.5%
97,571
Calumet, Inc. (a)
2,081,189
156,219
Comstock Resources, Inc.
1,805,892
5,538
CONSOL Energy, Inc.
614,275
211,715
Crescent Energy Co., Class A
2,631,618
125,829
CVR Energy, Inc.
2,000,681
92,731
Delek US Holdings, Inc.
1,453,095
16,838
Dorian LPG Ltd.
485,776
42,804
Green Plains, Inc. (a)
523,493
19,146
Gulfport Energy Corp. (a)
2,650,572
12,805
Kinetik Holdings, Inc.
623,219
719,070
Kosmos Energy Ltd. (a)
2,703,703
164,651
Par Pacific Holdings, Inc. (a)
2,543,858
109,188
Peabody Energy Corp.
2,868,369
279,986
Talos Energy, Inc. (a)
2,861,457
107,727
Vital Energy, Inc. (a)
2,937,715
93,752
World Kinect Corp.
2,451,615
 
31,236,527

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Paper & Forest Products —
0.3%
33,754
Sylvamo Corp.
$2,869,765
Passenger Airlines — 0.3%
27,268
SkyWest, Inc. (a)
2,595,913
239,492
Wheels Up Experience,
Inc. (a) (c)
488,564
 
3,084,477
Personal Care Products —
0.5%
79,742
Edgewell Personal Care Co.
2,786,983
80,608
Herbalife Ltd. (a)
608,590
493,252
Olaplex Holdings, Inc. (a)
877,989
 
4,273,562
Pharmaceuticals — 1.8%
278,639
Amneal Pharmaceuticals, Inc. (a)
2,360,072
35,827
Amphastar Pharmaceuticals,
Inc. (a)
1,810,338
9,714
ANI Pharmaceuticals, Inc. (a)
556,078
44,192
Avadel Pharmaceuticals PLC (a)
683,650
59,997
Collegium Pharmaceutical,
Inc. (a)
2,048,298
57,957
Harmony Biosciences Holdings,
Inc. (a)
1,862,159
150,070
Innoviva, Inc. (a)
2,935,369
11,581
Ligand Pharmaceuticals, Inc. (a)
1,224,112
66,617
Ocular Therapeutix, Inc. (a)
701,477
24,115
Prestige Consumer Healthcare,
Inc. (a)
1,778,481
18,588
Supernus Pharmaceuticals,
Inc. (a)
633,293
 
16,593,327
Professional Services — 1.3%
8,613
CBIZ, Inc. (a)
593,694
9,917
CRA International, Inc.
1,806,282
23,827
CSG Systems International, Inc.
1,110,576
29,198
First Advantage Corp. (a)
529,068
15,995
Huron Consulting Group, Inc. (a)
1,851,101
10,424
ICF International, Inc.
1,757,382
9,431
Kforce, Inc.
545,018
49,476
NV5 Global, Inc. (a)
1,130,527
40,843
Paycor HCM, Inc. (a)
616,321
110,923
Upwork, Inc. (a)
1,504,116
 
11,444,085
Real Estate Management &
Development — 0.5%
89,522
Forestar Group, Inc. (a)
2,826,210
52,450
Kennedy-Wilson Holdings, Inc.
560,690
Shares
Description
Value
 
Real Estate Management &
Development (Continued)
37,319
Newmark Group, Inc., Class A
$559,412
9,940
St. Joe (The) Co.
513,898
 
4,460,210
Residential REITs — 0.5%
128,223
Apartment Investment and
Management Co., Class A (a)
1,082,202
65,898
Elme Communities
1,111,699
26,338
NexPoint Residential Trust, Inc.
1,096,978
58,929
UMH Properties, Inc.
1,099,026
 
4,389,905
Retail REITs — 0.8%
24,684
Acadia Realty Trust
604,511
2,392
Alexander’s, Inc.
543,056
18,220
Getty Realty Corp.
571,926
20,429
InvenTrust Properties Corp.
601,634
63,549
Macerich (The) Co.
1,188,366
73,690
Retail Opportunity Investments
Corp.
1,142,195
34,935
Tanger, Inc.
1,160,890
81,286
Urban Edge Properties
1,807,801
 
7,620,379
Semiconductors &
Semiconductor Equipment
— 1.0%
15,614
Alpha & Omega Semiconductor
Ltd. (a)
515,886
22,551
Cohu, Inc. (a)
561,971
117,038
Photronics, Inc. (a)
2,668,466
50,773
Semtech Corp. (a)
2,243,659
6,759
SiTime Corp. (a)
1,142,339
22,412
Synaptics, Inc. (a)
1,539,032
 
8,671,353
Software — 4.0%
97,325
Adeia, Inc.
1,209,750
10,637
Agilysys, Inc. (a)
1,064,125
55,127
Alkami Technology, Inc. (a)
2,018,199
196,965
AvePoint, Inc. (a)
2,391,155
149,760
Cipher Mining, Inc. (a)
738,317
87,443
Clear Secure, Inc., Class A
3,216,154
91,813
Clearwater Analytics Holdings,
Inc., Class A (a)
2,397,237
48,469
Intapp, Inc. (a)
2,431,690
20,461
InterDigital, Inc.
3,078,153
33,405
Jamf Holding Corp. (a)
555,859
65,525
Klaviyo, Inc., Class A (a)
2,491,916
28,175
MeridianLink, Inc. (a)
618,723
25,808
Progress Software Corp.
1,654,035
36,647
RingCentral, Inc., Class A (a)
1,319,658
390,546
Riot Platforms, Inc. (a)
3,608,645

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Software (Continued)
147,567
SEMrush Holdings, Inc.,
Class A (a)
$1,934,603
44,412
SolarWinds Corp.
580,909
124,371
SoundHound AI, Inc.,
Class A (a) (c)
625,586
495,359
Terawulf, Inc. (a)
3,229,741
30,099
Vertex, Inc., Class A (a)
1,249,410
 
36,413,865
Specialized REITs — 0.9%
11,818
EPR Properties
536,182
39,548
Four Corners Property Trust, Inc.
1,089,943
36,073
National Storage Affiliates Trust
1,520,477
126,130
Outfront Media, Inc.
2,240,069
12,865
PotlatchDeltic Corp.
534,798
110,478
Safehold, Inc.
2,350,972
 
8,272,441
Specialty Retail — 2.3%
39,544
Buckle (The), Inc.
1,682,993
87,681
Caleres, Inc.
2,617,278
79,149
Chewy, Inc., Class A (a)
2,134,648
143,957
Guess?, Inc.
2,445,829
53,123
National Vision Holdings,
Inc. (a)
552,479
38,963
ODP (The) Corp. (a)
1,209,022
170,839
Sally Beauty Holdings, Inc. (a)
2,220,907
52,869
Shoe Carnival, Inc.
1,811,821
39,642
Sonic Automotive, Inc., Class A
2,248,891
36,235
Upbound Group, Inc.
1,059,511
45,103
Victoria’s Secret & Co. (a)
1,364,817
70,982
Warby Parker, Inc., Class A (a)
1,201,725
 
20,549,921
Technology Hardware, Storage
& Peripherals — 0.7%
64,887
Diebold Nixdorf, Inc. (a)
3,002,971
66,312
IonQ, Inc. (a) (c)
996,669
223,341
Xerox Holdings Corp.
1,824,696
 
5,824,336
Textiles, Apparel & Luxury
Goods — 1.0%
35,677
Carter’s, Inc.
1,951,532
94,949
G-III Apparel Group Ltd. (a)
2,875,056
13,360
Oxford Industries, Inc.
970,203
23,660
Steven Madden Ltd.
1,063,990
166,352
Wolverine World Wide, Inc.
2,560,157
 
9,420,938
Tobacco — 0.3%
54,563
Universal Corp.
2,778,348
Shares
Description
Value
 
Trading Companies &
Distributors — 1.3%
671,966
Custom Truck One Source,
Inc. (a)
$2,748,341
75,250
Distribution Solutions Group,
Inc. (a)
2,897,125
224,118
DNOW, Inc. (a)
2,651,316
34,122
Global Industrial Co.
905,257
11,906
H&E Equipment Services, Inc.
622,088
181,969
MRC Global, Inc. (a)
2,230,940
 
12,055,067
Water Utilities — 0.6%
6,958
American States Water Co.
573,757
32,067
California Water Service Group
1,666,201
8,884
Middlesex Water Co.
543,612
39,895
SJW Group
2,220,556
 
5,004,126
Wireless Telecommunication
Services — 0.7%
161,440
Gogo, Inc. (a)
1,057,432
99,711
Telephone and Data Systems,
Inc.
2,966,402
42,421
United States Cellular Corp. (a)
2,617,376
 
6,641,210
Total Common Stocks
900,001,295
(Cost $802,943,816)
MONEY MARKET FUNDS — 0.1%
1,078,892
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
4.71% (e)
1,078,892
(Cost $1,078,892)

First Trust Small Cap Core AlphaDEX® Fund (FYX)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.5%
$2,228,124
Bank of America Corp.,
4.85% (e), dated 10/31/24, due
11/01/24, with a maturity
value of $2,228,424.
Collateralized by
U.S. Treasury Securities,
interest rates of 0.00% to
2.75%, due 11/15/28 to
02/15/50. The value of the
collateral including accrued
interest is $2,272,686. (f)
$2,228,124
2,319,066
JPMorgan Chase & Co.,
4.85% (e), dated 10/31/24, due
11/01/24, with a maturity
value of $2,319,378.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $2,365,447. (f)
2,319,066
Total Repurchase Agreements
4,547,190
(Cost $4,547,190)
Total Investments — 100.5%
905,627,377
(Cost $808,569,898)
Net Other Assets and
Liabilities — (0.5)%
(4,775,950
)
Net Assets — 100.0%
$900,851,427
(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 $4,187,695 and the total value of
the collateral held by the Fund is $4,547,190.
(d)
Non-income producing security which makes payment-in-
kind distributions.
(e)
Rate shown reflects yield as of October 31, 2024.
(f)
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 October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$900,001,295
$900,001,295
$       
$
Money Market
Funds
  1,078,892
  1,078,892
       
Repurchase
Agreements
  4,547,190
         
4,547,190
Total Investments
$905,627,377
$901,080,187
$4,547,190
$
*
See Portfolio of Investments for industry breakout.

First Trust Large Cap Value AlphaDEX® Fund (FTA)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 1.0%
7,064
General Dynamics Corp.
$2,059,933
8,974
L3Harris Technologies, Inc.
2,220,796
3,652
Lockheed Martin Corp.
1,994,175
72,303
Textron, Inc.
5,814,607
 
12,089,511
Air Freight & Logistics —
1.1%
16,247
Expeditors International of
Washington, Inc.
1,933,393
32,046
FedEx Corp.
8,775,797
15,659
United Parcel Service, Inc.,
Class B
2,099,246
 
12,808,436
Automobile Components —
0.7%
152,242
Aptiv PLC (a)
8,651,913
Automobiles — 1.9%
1,038,150
Ford Motor Co.
10,682,563
244,488
General Motors Co.
12,410,211
 
23,092,774
Banks — 6.6%
161,406
Bank of America Corp.
6,749,999
140,099
Citigroup, Inc.
8,990,153
213,545
Citizens Financial Group, Inc.
8,994,515
149,501
Fifth Third Bancorp
6,530,204
596,618
Huntington Bancshares, Inc.
9,301,275
261,800
KeyCorp
4,516,050
35,956
M&T Bank Corp.
6,999,914
23,723
PNC Financial Services Group
(The), Inc.
4,466,329
274,522
Regions Financial Corp.
6,552,840
140,052
U.S. Bancorp
6,765,912
155,253
Wells Fargo & Co.
10,079,025
 
79,946,216
Beverages — 0.7%
43,391
Brown-Forman Corp., Class B
1,910,506
117,000
Keurig Dr Pepper, Inc.
3,855,150
12,555
PepsiCo, Inc.
2,085,134
 
7,850,790
Biotechnology — 0.5%
33,041
Biogen, Inc. (a)
5,749,134
Broadline Retail — 0.5%
98,366
eBay, Inc.
5,657,029
Building Products — 1.7%
33,037
Builders FirstSource, Inc. (a)
5,662,542
54,480
Carrier Global Corp.
3,961,786
Shares
Description
Value
 
Building Products (Continued)
25,432
Masco Corp.
$2,032,271
49,684
Owens Corning
8,783,634
 
20,440,233
Capital Markets — 2.5%
61,442
Morgan Stanley
7,142,633
35,809
Raymond James Financial, Inc.
5,307,610
72,393
State Street Corp.
6,718,070
100,642
T. Rowe Price Group, Inc.
11,056,530
 
30,224,843
Chemicals — 4.0%
7,169
Air Products and Chemicals, Inc.
2,226,190
80,633
Celanese Corp.
10,157,339
102,218
CF Industries Holdings, Inc.
8,405,386
36,315
Corteva, Inc.
2,212,310
117,236
Dow, Inc.
5,789,114
23,959
DuPont de Nemours, Inc.
1,988,357
114,316
LyondellBasell Industries N.V.,
Class A
9,928,345
33,105
PPG Industries, Inc.
4,121,903
29,177
Westlake Corp.
3,849,613
 
48,678,557
Communications Equipment
— 0.4%
82,397
Cisco Systems, Inc.
4,512,884
Consumer Finance — 2.5%
246,425
Ally Financial, Inc.
8,637,196
58,575
Capital One Financial Corp.
9,535,424
219,784
Synchrony Financial
12,118,890
 
30,291,510
Consumer Staples Distribution
& Retail — 2.4%
103,705
Dollar General Corp.
8,300,548
153,058
Kroger (The) Co.
8,536,045
82,049
Sysco Corp.
6,149,572
41,092
Target Corp.
6,165,444
 
29,151,609
Containers & Packaging —
1.0%
131,107
International Paper Co.
7,281,683
20,359
Packaging Corp. of America
4,660,989
 
11,942,672
Distributors — 0.3%
31,395
Genuine Parts Co.
3,601,006
Diversified Telecommunication
Services — 1.6%
498,312
AT&T, Inc.
11,231,953
195,286
Verizon Communications, Inc.
8,227,399
 
19,459,352

First Trust Large Cap Value AlphaDEX® Fund (FTA)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Electric Utilities — 5.1%
105,531
Alliant Energy Corp.
$6,331,860
62,423
American Electric Power Co.,
Inc.
6,164,271
55,548
Duke Energy Corp.
6,403,018
50,352
Edison International
4,149,005
66,639
Entergy Corp.
10,314,385
216,283
Exelon Corp.
8,499,922
98,876
FirstEnergy Corp.
4,135,983
193,611
PPL Corp.
6,303,974
134,309
Xcel Energy, Inc.
8,973,184
 
61,275,602
Electronic Equipment,
Instruments & Components
— 0.7%
13,432
Keysight Technologies, Inc. (a)
2,001,502
14,633
Teledyne Technologies, Inc. (a)
6,662,698
 
8,664,200
Energy Equipment & Services
— 2.1%
177,167
Baker Hughes Co.
6,746,519
377,378
Halliburton Co.
10,468,466
209,066
Schlumberger N.V.
8,377,275
 
25,592,260
Entertainment — 0.4%
45,589
Walt Disney (The) Co.
4,385,662
Financial Services — 1.0%
300,764
Corebridge Financial, Inc.
9,555,272
27,360
PayPal Holdings, Inc. (a)
2,169,648
 
11,724,920
Food Products — 4.2%
183,510
Archer-Daniels-Midland Co.
10,131,587
113,439
Bunge Global S.A.
9,531,145
43,639
Campbell Soup Co.
2,035,759
65,647
Conagra Brands, Inc.
1,899,824
59,378
General Mills, Inc.
4,038,891
22,865
Hershey (The) Co.
4,060,367
202,038
Hormel Foods Corp.
6,172,261
182,415
Kraft Heinz (The) Co.
6,103,606
28,979
Mondelez International, Inc.,
Class A
1,984,482
73,625
Tyson Foods, Inc., Class A
4,313,689
 
50,271,611
Gas Utilities — 0.7%
63,228
Atmos Energy Corp.
8,774,782
Ground Transportation —
0.9%
126,996
CSX Corp.
4,272,146
Shares
Description
Value
 
Ground Transportation
(Continued)
25,445
J.B. Hunt Transport Services,
Inc.
$4,595,876
10,748
Old Dominion Freight Line, Inc.
2,163,787
 
11,031,809
Health Care Equipment &
Supplies — 1.1%
26,208
Hologic, Inc. (a)
2,119,441
23,714
Medtronic PLC
2,116,475
81,244
Zimmer Biomet Holdings, Inc.
8,686,608
 
12,922,524
Health Care Providers &
Services — 3.2%
116,502
Centene Corp. (a)
7,253,415
6,162
Cigna Group (The)
1,939,859
174,345
CVS Health Corp.
9,843,519
8,432
Elevance Health, Inc.
3,421,368
13,845
Humana, Inc.
3,569,656
9,553
Labcorp Holdings, Inc.
2,180,663
12,727
Molina Healthcare, Inc. (a)
4,088,167
41,254
Quest Diagnostics, Inc.
6,387,357
 
38,684,004
Health Care REITs — 0.7%
36,928
Alexandria Real Estate Equities,
Inc.
4,119,319
191,743
Healthpeak Properties, Inc.
4,304,630
 
8,423,949
Hotels, Restaurants & Leisure
— 0.5%
26,717
Darden Restaurants, Inc.
4,275,255
21,899
Starbucks Corp.
2,139,532
 
6,414,787
Household Durables — 3.5%
45,974
D.R. Horton, Inc.
7,769,606
58,474
Lennar Corp., Class A
9,958,122
446
NVR, Inc. (a)
4,082,153
76,379
PulteGroup, Inc.
9,893,372
70,963
Toll Brothers, Inc.
10,391,822
 
42,095,075
Household Products — 0.2%
13,104
Clorox (The) Co.
2,077,639
Insurance — 7.3%
57,286
Aflac, Inc.
6,003,000
149,703
American International Group,
Inc.
11,359,464
30,410
Chubb Ltd.
8,589,000
80,538
Cincinnati Financial Corp.
11,342,167
27,979
Everest Group Ltd.
9,949,612
70,660
Fidelity National Financial, Inc.
4,251,612

First Trust Large Cap Value AlphaDEX® Fund (FTA)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Insurance (Continued)
74,571
Hartford Financial Services
Group (The), Inc.
$8,235,621
110,946
Loews Corp.
8,760,296
24,853
Principal Financial Group, Inc.
2,047,887
36,210
Prudential Financial, Inc.
4,435,001
20,127
Reinsurance Group of America,
Inc.
4,248,407
27,358
Travelers (The) Cos., Inc.
6,728,427
37,632
W.R. Berkley Corp.
2,151,421
 
88,101,915
IT Services — 1.4%
6,040
Accenture PLC, Class A
2,082,713
63,442
Akamai Technologies, Inc. (a)
6,412,717
113,635
Cognizant Technology Solutions
Corp., Class A
8,476,035
 
16,971,465
Machinery — 2.8%
6,592
Cummins, Inc.
2,168,636
15,348
Deere & Co.
6,211,182
27,048
Fortive Corp.
1,932,039
9,952
IDEX Corp.
2,136,097
8,128
Nordson Corp.
2,014,850
111,096
PACCAR, Inc.
11,585,091
22,108
Snap-on, Inc.
7,298,514
 
33,346,409
Media — 2.9%
19,762
Charter Communications, Inc.,
Class A (a)
6,474,229
262,456
Comcast Corp., Class A
11,461,454
258,985
Fox Corp., Class A
10,877,370
164,669
News Corp., Class A
4,487,230
20,650
Omnicom Group, Inc.
2,085,650
 
35,385,933
Metals & Mining — 2.7%
72,920
Nucor Corp.
10,342,973
37,906
Reliance, Inc.
10,854,004
86,951
Steel Dynamics, Inc.
11,347,105
 
32,544,082
Multi-Utilities — 5.2%
100,279
Ameren Corp.
8,735,304
298,106
CenterPoint Energy, Inc.
8,803,070
62,086
CMS Energy Corp.
4,321,806
84,226
Consolidated Edison, Inc.
8,564,100
110,826
Dominion Energy, Inc.
6,597,472
49,875
DTE Energy Co.
6,195,472
184,837
NiSource, Inc.
6,498,869
104,870
Sempra
8,743,012
45,594
WEC Energy Group, Inc.
4,355,595
 
62,814,700
Shares
Description
Value
 
Oil, Gas & Consumable Fuels
— 12.4%
48,768
Cheniere Energy, Inc.
$9,333,220
74,440
Chevron Corp.
11,078,161
104,131
ConocoPhillips
11,406,510
457,738
Coterra Energy, Inc.
10,949,093
280,237
Devon Energy Corp.
10,839,567
50,872
Diamondback Energy, Inc.
8,992,643
89,181
EOG Resources, Inc.
10,876,515
239,364
EQT Corp.
8,746,361
93,525
Exxon Mobil Corp.
10,921,849
397,026
Kinder Morgan, Inc.
9,731,107
67,295
Marathon Petroleum Corp.
9,789,404
212,704
Occidental Petroleum Corp.
10,658,597
48,121
ONEOK, Inc.
4,661,962
83,400
Phillips 66
10,159,788
81,189
Valero Energy Corp.
10,535,085
 
148,679,862
Passenger Airlines — 2.8%
215,848
Delta Air Lines, Inc.
12,350,823
216,154
Southwest Airlines Co.
6,609,989
192,129
United Airlines Holdings,
Inc. (a)
15,036,015
 
33,996,827
Pharmaceuticals — 1.1%
27,059
Johnson & Johnson
4,325,651
755,408
Viatris, Inc.
8,762,733
 
13,088,384
Professional Services — 0.5%
16,309
Jacobs Solutions, Inc.
2,292,719
59,091
SS&C Technologies Holdings,
Inc.
4,132,234
 
6,424,953
Residential REITs — 0.7%
86,013
Equity Residential
6,052,735
13,435
Mid-America Apartment
Communities, Inc.
2,033,253
 
8,085,988
Retail REITs — 0.4%
188,852
Kimco Realty Corp.
4,479,569
Semiconductors &
Semiconductor Equipment
— 2.0%
373,841
Intel Corp.
8,045,059
120,786
ON Semiconductor Corp. (a)
8,514,205
88,795
Skyworks Solutions, Inc.
7,776,666
 
24,335,930
Software — 0.4%
62,877
Zoom Video Communications,
Inc., Class A (a)
4,699,427

First Trust Large Cap Value AlphaDEX® Fund (FTA)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Specialized REITs — 0.2%
63,050
Weyerhaeuser Co.
$1,964,638
Specialty Retail — 1.3%
62,001
Best Buy Co., Inc.
5,606,750
5,269
Home Depot (The), Inc.
2,074,669
7,883
Lowe’s Cos., Inc.
2,064,006
16,459
Ulta Beauty, Inc. (a)
6,073,042
 
15,818,467
Technology Hardware, Storage
& Peripherals — 1.7%
535,819
Hewlett Packard Enterprise Co.
10,443,112
122,252
HP, Inc.
4,342,391
58,473
Seagate Technology
Holdings PLC
5,868,935
 
20,654,438
Textiles, Apparel & Luxury
Goods — 0.2%
24,150
NIKE, Inc., Class B
1,862,689
Water Utilities — 0.2%
14,598
American Water Works Co., Inc.
2,016,130
Total Common Stocks
1,201,759,099
(Cost $1,110,964,836)
MONEY MARKET FUNDS — 0.1%
1,503,109
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
4.71% (b)
1,503,109
(Cost $1,503,109)
Total Investments — 100.0%
1,203,262,208
(Cost $1,112,467,945)
Net Other Assets and
Liabilities — 0.0%
492,737
Net Assets — 100.0%
$1,203,754,945
(a)
Non-income producing security.
(b)
Rate shown reflects yield as of October 31, 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 October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,201,759,099
$1,201,759,099
$
$
Money Market
Funds
    1,503,109
    1,503,109
Total
Investments
$1,203,262,208
$1,203,262,208
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 4.0%
23,960
Axon Enterprise, Inc. (a)
$10,147,060
40,616
General Electric Co.
6,977,017
36,617
HEICO Corp.
8,969,334
95,504
Howmet Aerospace, Inc.
9,523,659
5,368
TransDigm Group, Inc.
6,990,746
 
42,607,816
Automobiles — 0.7%
341,340
Rivian Automotive, Inc.,
Class A (a) (b)
3,447,534
14,641
Tesla, Inc. (a)
3,658,054
 
7,105,588
Banks — 1.5%
4,159
First Citizens BancShares, Inc.,
Class A
8,057,438
36,327
JPMorgan Chase & Co.
8,061,688
 
16,119,126
Beverages — 0.3%
53,296
Coca-Cola (The) Co.
3,480,762
Biotechnology — 2.1%
27,850
Alnylam Pharmaceuticals,
Inc. (a)
7,424,532
11,888
Amgen, Inc.
3,806,062
26,718
United Therapeutics Corp. (a)
9,991,730
4,008
Vertex Pharmaceuticals, Inc. (a)
1,907,728
 
23,130,052
Broadline Retail — 1.3%
20,554
Amazon.com, Inc. (a)
3,831,265
390,006
Coupang, Inc. (a)
10,058,255
 
13,889,520
Building Products — 2.0%
12,435
Carlisle Cos., Inc.
5,250,430
12,677
Lennox International, Inc.
7,638,780
24,630
Trane Technologies PLC
9,117,041
 
22,006,251
Capital Markets — 8.6%
16,302
Ameriprise Financial, Inc.
8,318,911
24,574
Ares Management Corp.,
Class A
4,120,568
133,242
Bank of New York Mellon (The)
Corp.
10,041,117
18,696
Cboe Global Markets, Inc.
3,992,905
21,494
Coinbase Global, Inc.,
Class A (a)
3,852,800
19,340
Goldman Sachs Group (The),
Inc.
10,014,059
34,821
Intercontinental Exchange, Inc.
5,427,549
73,321
KKR & Co., Inc.
10,135,895
8,018
LPL Financial Holdings, Inc.
2,262,519
11,785
Moody’s Corp.
5,350,861
Shares
Description
Value
 
Capital Markets (Continued)
3,198
MSCI, Inc.
$1,826,698
76,613
Nasdaq, Inc.
5,663,233
85,079
Northern Trust Corp.
8,552,141
327,056
Robinhood Markets, Inc.,
Class A (a)
7,682,545
10,827
S&P Global, Inc.
5,200,858
 
92,442,659
Chemicals — 1.3%
21,908
Ecolab, Inc.
5,383,453
3,911
Linde PLC
1,784,003
20,068
Sherwin-Williams (The) Co.
7,199,796
 
14,367,252
Commercial Services &
Supplies — 2.0%
37,203
Cintas Corp.
7,656,749
19,068
Republic Services, Inc.
3,775,464
75,721
Rollins, Inc.
3,569,488
50,003
Veralto Corp.
5,109,807
8,984
Waste Management, Inc.
1,939,196
 
22,050,704
Communications Equipment
— 1.4%
19,958
Arista Networks, Inc. (a)
7,712,569
17,036
Motorola Solutions, Inc.
7,655,127
 
15,367,696
Construction & Engineering
— 1.8%
22,240
EMCOR Group, Inc.
9,920,597
32,114
Quanta Services, Inc.
9,686,546
 
19,607,143
Consumer Finance — 0.9%
35,304
American Express Co.
9,534,904
Consumer Staples Distribution
& Retail — 1.2%
14,888
Casey’s General Stores, Inc.
5,866,170
8,642
Costco Wholesale Corp.
7,554,663
 
13,420,833
Electric Utilities — 3.7%
36,824
Constellation Energy Corp.
9,683,239
90,616
NextEra Energy, Inc.
7,181,318
105,098
NRG Energy, Inc.
9,500,859
387,437
PG&E Corp.
7,833,976
62,026
Southern (The) Co.
5,646,227
 
39,845,619
Electrical Equipment — 1.8%
11,557
Eaton Corp. PLC
3,832,070
13,056
Hubbell, Inc.
5,575,303
96,237
Vertiv Holdings Co., Class A
10,517,742
 
19,925,115

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Electronic Equipment,
Instruments & Components
— 0.4%
58,775
Amphenol Corp., Class A
$3,939,101
Entertainment — 2.7%
72,240
Liberty Media Corp.-Liberty
Formula One, Class C (a)
5,767,642
69,957
Live Nation Entertainment,
Inc. (a)
8,194,763
7,885
Netflix, Inc. (a)
5,961,296
173,062
ROBLOX Corp., Class A (a)
8,950,767
 
28,874,468
Financial Services — 2.6%
44,783
Apollo Global Management, Inc.
6,415,613
12,153
Berkshire Hathaway, Inc.,
Class B (a)
5,480,031
12,243
Corpay, Inc. (a)
4,036,762
42,637
Fiserv, Inc. (a)
8,437,862
18,206
Global Payments, Inc.
1,888,144
3,778
Mastercard, Inc., Class A
1,887,451
 
28,145,863
Ground Transportation —
0.5%
74,424
Uber Technologies, Inc. (a)
5,362,249
Health Care Equipment &
Supplies — 2.1%
91,405
Boston Scientific Corp. (a)
7,679,848
11,387
Intuitive Surgical, Inc. (a)
5,737,226
31,375
ResMed, Inc.
7,607,496
5,160
Stryker Corp.
1,838,405
 
22,862,975
Health Care Providers &
Services — 1.6%
23,560
HCA Healthcare, Inc.
8,451,915
57,607
Tenet Healthcare Corp. (a)
8,930,237
 
17,382,152
Health Care REITs — 1.5%
149,297
Ventas, Inc.
9,777,461
43,688
Welltower, Inc.
5,892,637
 
15,670,098
Hotels, Restaurants & Leisure
— 6.5%
1,329
Booking Holdings, Inc.
6,214,736
414,481
Carnival Corp. (a)
9,118,582
32,358
Chipotle Mexican Grill, Inc. (a)
1,804,606
67,082
DoorDash, Inc., Class A (a)
10,511,750
47,563
DraftKings, Inc., Class A (a)
1,679,925
64,685
Expedia Group, Inc. (a)
10,110,912
24,266
Hilton Worldwide Holdings, Inc.
5,698,870
111,115
Las Vegas Sands Corp.
5,761,313
Shares
Description
Value
 
Hotels, Restaurants & Leisure
(Continued)
15,407
Marriott International, Inc.,
Class A
$4,006,128
12,575
McDonald’s Corp.
3,673,283
53,985
Royal Caribbean Cruises Ltd.
11,139,805
 
69,719,910
Household Durables — 1.1%
43,511
Garmin Ltd.
8,630,407
9,415
TopBuild Corp. (a)
3,327,073
 
11,957,480
Household Products — 1.0%
17,804
Church & Dwight Co., Inc.
1,778,798
53,881
Colgate-Palmolive Co.
5,049,188
13,105
Kimberly-Clark Corp.
1,758,429
10,767
Procter & Gamble (The) Co.
1,778,493
 
10,364,908
Independent Power and
Renewable Electricity
Producers — 0.9%
80,769
Vistra Corp.
10,092,894
Insurance — 5.2%
50,483
Allstate (The) Corp.
9,416,089
5,391
Aon PLC, Class A
1,977,796
85,580
Arch Capital Group Ltd. (a)
8,434,765
19,878
Arthur J. Gallagher & Co.
5,589,693
73,937
Brown & Brown, Inc.
7,736,768
17,739
Erie Indemnity Co., Class A
7,961,973
1,190
Markel Group, Inc. (a)
1,834,992
17,167
Marsh & McLennan Cos., Inc.
3,746,526
37,730
Progressive (The) Corp.
9,161,976
 
55,860,578
Interactive Media & Services
— 0.9%
11,244
Alphabet, Inc., Class A
1,923,961
13,378
Meta Platforms, Inc., Class A
7,593,085
 
9,517,046
IT Services — 2.0%
7,556
Gartner, Inc. (a)
3,796,890
61,070
GoDaddy, Inc., Class A (a)
10,186,476
34,646
International Business Machines
Corp.
7,162,021
 
21,145,387
Life Sciences Tools & Services
— 0.5%
12,555
Agilent Technologies, Inc.
1,636,042
1,242
Mettler-Toledo International,
Inc. (a)
1,604,353
5,181
Waters Corp. (a)
1,674,033
 
4,914,428

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Machinery — 4.0%
19,583
Caterpillar, Inc.
$7,367,125
19,975
Dover Corp.
3,781,867
7,114
Illinois Tool Works, Inc.
1,857,679
39,016
Ingersoll Rand, Inc.
3,745,536
36,849
Otis Worldwide Corp.
3,618,572
12,122
Parker-Hannifin Corp.
7,686,196
52,675
Westinghouse Air Brake
Technologies Corp.
9,901,846
41,424
Xylem, Inc.
5,044,615
 
43,003,436
Media — 0.6%
51,013
Trade Desk (The), Inc.,
Class A (a)
6,132,273
Multi-Utilities — 0.7%
85,861
Public Service Enterprise Group,
Inc.
7,676,832
Oil, Gas & Consumable Fuels
— 2.1%
64,691
Targa Resources Corp.
10,800,810
6,323
Texas Pacific Land Corp.
7,372,618
83,895
Williams (The) Cos., Inc.
4,393,581
 
22,567,009
Pharmaceuticals — 0.5%
4,322
Eli Lilly & Co.
3,586,136
9,542
Zoetis, Inc.
1,705,919
 
5,292,055
Professional Services — 2.1%
6,736
Automatic Data Processing, Inc.
1,948,321
47,061
Booz Allen Hamilton Holding
Corp.
8,549,101
26,010
Broadridge Financial Solutions,
Inc.
5,484,468
19,035
Equifax, Inc.
5,044,656
13,894
Paychex, Inc.
1,935,851
 
22,962,397
Residential REITs — 0.3%
8,278
AvalonBay Communities, Inc.
1,834,488
6,312
Essex Property Trust, Inc.
1,791,724
 
3,626,212
Retail REITs — 0.7%
60,387
Realty Income Corp.
3,585,176
22,659
Simon Property Group, Inc.
3,832,090
 
7,417,266
Semiconductors &
Semiconductor Equipment
— 2.9%
44,404
Broadcom, Inc.
7,538,467
38,384
First Solar, Inc. (a)
7,464,920
2,406
KLA Corp.
1,602,949
Shares
Description
Value
 
Semiconductors &
Semiconductor Equipment
(Continued)
17,978
Micron Technology, Inc.
$1,791,508
4,141
Monolithic Power Systems, Inc.
3,144,261
63,075
NVIDIA Corp.
8,373,837
10,963
QUALCOMM, Inc.
1,784,448
 
31,700,390
Software — 8.3%
73,339
AppLovin Corp., Class A (a)
12,422,893
13,901
Autodesk, Inc. (a)
3,945,104
6,648
CrowdStrike Holdings, Inc.,
Class A (a)
1,973,592
4,928
Fair Isaac Corp. (a)
9,822,046
72,130
Fortinet, Inc. (a)
5,673,746
279,243
Gen Digital, Inc.
8,128,764
19,878
Manhattan Associates, Inc. (a)
5,235,070
11,061
MicroStrategy, Inc., Class A (a)
2,704,414
44,954
Oracle Corp.
7,545,079
257,380
Palantir Technologies, Inc.,
Class A (a)
10,696,713
11,206
Palo Alto Networks, Inc. (a)
4,037,858
6,813
Salesforce, Inc.
1,985,104
8,563
ServiceNow, Inc. (a)
7,989,193
9,584
Tyler Technologies, Inc. (a)
5,803,975
7,629
Workday, Inc., Class A (a)
1,784,042
 
89,747,593
Specialized REITs — 3.4%
24,054
American Tower Corp.
5,136,491
15,718
Crown Castle, Inc.
1,689,528
11,522
Digital Realty Trust, Inc.
2,053,566
2,100
Equinix, Inc.
1,906,968
21,256
Extra Space Storage, Inc.
3,471,105
36,238
Gaming and Leisure Properties,
Inc.
1,818,785
80,575
Iron Mountain, Inc.
9,969,545
15,371
Public Storage
5,057,981
7,746
SBA Communications Corp.
1,777,475
114,974
VICI Properties, Inc.
3,651,574
 
36,533,018
Specialty Retail — 4.4%
1,215
AutoZone, Inc. (a)
3,655,935
36,340
Burlington Stores, Inc. (a)
9,003,962
54,994
Carvana Co. (a)
13,600,566
3,323
O’Reilly Automotive, Inc. (a)
3,831,884
25,446
Ross Stores, Inc.
3,555,315
47,588
TJX (The) Cos., Inc.
5,378,872
19,225
Tractor Supply Co.
5,104,430
24,719
Williams-Sonoma, Inc.
3,315,559
 
47,446,523

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Technology Hardware, Storage
& Peripherals — 1.2%
16,439
Apple, Inc.
$3,713,734
32,311
Dell Technologies, Inc., Class C
3,994,609
45,286
NetApp, Inc.
5,221,929
 
12,930,272
Textiles, Apparel & Luxury
Goods — 0.5%
35,078
Deckers Outdoor Corp. (a)
5,643,699
Tobacco — 1.2%
75,037
Altria Group, Inc.
4,086,515
63,096
Philip Morris International, Inc.
8,372,839
 
12,459,354
Trading Companies &
Distributors — 2.1%
26,107
Fastenal Co.
2,041,045
11,824
United Rentals, Inc.
9,610,547
5,386
W.W. Grainger, Inc.
5,974,313
11,373
Watsco, Inc.
5,379,543
 
23,005,448
Wireless Telecommunication
Services — 0.8%
37,118
T-Mobile US, Inc.
8,283,253
Total Common Stocks
1,077,137,607
(Cost $893,065,496)
MONEY MARKET FUNDS — 0.2%
1,827,131
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
4.71% (c)
1,827,131
(Cost $1,827,131)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.2%
$1,221,167
Bank of America Corp.,
4.85% (c), dated 10/31/24, due
11/01/24, with a maturity
value of $1,221,332.
Collateralized by
U.S. Treasury Securities,
interest rates of 0.00% to
2.75%, due 11/15/28 to
02/15/50. The value of the
collateral including accrued
interest is $1,245,590. (d)
$1,221,167
1,271,010
JPMorgan Chase & Co.,
4.85% (c), dated 10/31/24, due
11/01/24, with a maturity
value of $1,271,181.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $1,296,430. (d)
1,271,010
Total Repurchase Agreements
2,492,177
(Cost $2,492,177)
Total Investments — 100.3%
1,081,456,915
(Cost $897,384,804)
Net Other Assets and
Liabilities — (0.3)%
(2,879,227
)
Net Assets — 100.0%
$1,078,577,688
(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 $2,332,363 and the total value of
the collateral held by the Fund is $2,492,177.
(c)
Rate shown reflects yield as of October 31, 2024.
(d)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

First Trust Large Cap Growth AlphaDEX® Fund (FTC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common
Stocks*
$1,077,137,607
$1,077,137,607
$       
$
Money Market
Funds
    1,827,131
    1,827,131
       
Repurchase
Agreements
    2,492,177
           
2,492,177
Total
Investments
$1,081,456,915
$1,078,964,738
$2,492,177
$
*
See Portfolio of Investments for industry breakout.

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 0.6%
534
AAR Corp. (a)
$31,346
403
General Dynamics Corp.
117,519
700
Huntington Ingalls Industries,
Inc.
129,472
512
L3Harris Technologies, Inc.
126,704
208
Lockheed Martin Corp.
113,578
4,123
Textron, Inc.
331,572
 
850,191
Air Freight & Logistics —
0.7%
927
Expeditors International of
Washington, Inc.
110,313
1,827
FedEx Corp.
500,324
1,185
GXO Logistics, Inc. (a)
70,875
2,305
Hub Group, Inc., Class A
100,014
893
United Parcel Service, Inc.,
Class B
119,715
 
901,241
Automobile Components —
1.5%
6,307
Adient PLC (a)
123,176
8,682
Aptiv PLC (a)
493,398
8,499
BorgWarner, Inc.
285,821
13,480
Dana, Inc.
103,392
1,715
Fox Factory Holding Corp. (a)
61,723
1,529
Gentherm, Inc. (a)
64,141
20,105
Goodyear Tire & Rubber (The)
Co. (a)
161,041
590
LCI Industries
65,655
2,826
Lear Corp.
270,618
500
Patrick Industries, Inc.
62,990
3,092
Phinia, Inc.
144,025
1,868
Visteon Corp. (a)
168,587
805
XPEL, Inc. (a) (b)
31,049
 
2,035,616
Automobiles — 1.4%
59,201
Ford Motor Co.
609,178
13,942
General Motors Co.
707,696
8,004
Harley-Davidson, Inc.
255,728
1,684
Thor Industries, Inc.
175,271
1,803
Winnebago Industries, Inc.
101,040
 
1,848,913
Banks — 8.7%
1,749
1st Source Corp.
103,593
1,977
Ameris Bancorp
122,554
3,304
Associated Banc-Corp.
78,437
1,637
Atlantic Union Bankshares Corp.
61,879
9,204
Bank of America Corp.
384,911
5,739
Bank OZK
251,081
Shares
Description
Value
 
Banks (Continued)
2,874
BankUnited, Inc.
$101,567
1,759
Banner Corp.
112,646
1,297
Berkshire Hills Bancorp, Inc.
35,317
1,179
BOK Financial Corp.
125,245
5,317
Byline Bancorp Inc.
143,080
7,747
Cadence Bank
258,982
2,439
Cathay General Bancorp
112,145
7,989
Citigroup, Inc.
512,654
12,178
Citizens Financial Group, Inc.
512,937
7,087
Columbia Banking System, Inc.
202,050
2,059
Comerica, Inc.
131,179
601
Community Financial System,
Inc.
36,745
3,831
Customers Bancorp, Inc. (a)
176,724
5,878
CVB Financial Corp.
114,210
8,685
Eastern Bankshares, Inc.
141,826
2,043
Enterprise Financial Services
Corp.
107,707
13,115
F.N.B. Corp.
190,167
744
FB Financial Corp.
36,605
8,525
Fifth Third Bancorp
372,372
1,711
First Bancorp
71,349
4,025
First Busey Corp.
97,848
6,108
First Commonwealth Financial
Corp.
100,416
5,642
First Financial Bancorp
144,322
3,074
First Hawaiian, Inc.
76,051
11,915
First Horizon Corp.
206,487
3,414
First Interstate BancSystem, Inc.,
Class A
105,151
2,816
First Merchants Corp.
104,333
5,777
Fulton Financial Corp.
104,621
2,411
Hancock Whitney Corp.
125,565
2,213
Hilltop Holdings, Inc.
67,784
8,340
Hope Bancorp, Inc.
103,333
34,022
Huntington Bancshares, Inc.
530,403
2,407
Independent Bank Corp.
151,400
14,929
KeyCorp
257,525
2,050
M&T Bank Corp.
399,094
789
NBT Bancorp, Inc.
35,095
744
Nicolet Bankshares, Inc.
75,657
5,319
Northwest Bancshares, Inc.
70,689
1,584
OFG Bancorp
63,788
1,388
Pacific Premier Bancorp, Inc.
35,408
1,587
Pathward Financial, Inc.
112,296
4,731
Peoples Bancorp, Inc.
145,620
630
Pinnacle Financial Partners, Inc.
66,433
1,353
PNC Financial Services Group
(The), Inc.
254,729
615
Popular, Inc.
54,876
1,305
Preferred Bank
110,103
1,712
Prosperity Bancshares, Inc.
125,318

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Banks (Continued)
1,881
Provident Financial Services,
Inc.
$35,137
15,655
Regions Financial Corp.
373,685
3,223
Renasant Corp.
109,937
1,696
S&T Bancorp, Inc.
64,414
3,339
Sandy Spring Bancorp, Inc.
112,324
2,671
Seacoast Banking Corp. of
Florida
71,316
4,863
Simmons First National Corp.,
Class A
112,822
635
SouthState Corp.
61,932
489
Texas Capital Bancshares,
Inc. (a)
37,629
2,153
TowneBank
70,016
2,456
TriCo Bancshares
104,945
4,473
Trustmark Corp.
155,303
7,987
U.S. Bancorp
385,852
587
UMB Financial Corp.
64,412
3,325
United Bankshares, Inc.
125,286
2,121
United Community Banks, Inc.
60,364
20,425
Valley National Bancorp
193,425
3,980
Veritex Holdings, Inc.
107,460
2,042
WaFd, Inc.
69,387
3,970
Webster Financial Corp.
205,646
8,853
Wells Fargo & Co.
574,737
3,517
WesBanco, Inc.
110,610
713
Western Alliance Bancorp
59,329
1,137
Wintrust Financial Corp.
131,767
2,054
WSFS Financial Corp.
100,995
3,919
Zions Bancorp N.A.
204,023
 
11,925,060
Beverages — 0.6%
121
Boston Beer (The) Co., Inc.,
Class A (a)
35,220
2,474
Brown-Forman Corp., Class B
108,930
6,672
Keurig Dr Pepper, Inc.
219,843
855
MGP Ingredients, Inc.
41,074
5,362
Molson Coors Beverage Co.,
Class B
292,068
716
PepsiCo, Inc.
118,913
 
816,048
Biotechnology — 0.3%
4,407
Alkermes PLC (a)
113,260
1,884
Biogen, Inc. (a)
327,816
 
441,076
Broadline Retail — 0.8%
643
Dillard’s, Inc., Class A
238,887
5,609
eBay, Inc.
322,574
8,433
Kohl’s Corp.
155,842
Shares
Description
Value
 
Broadline Retail (Continued)
15,725
Macy’s, Inc.
$241,221
5,485
Nordstrom, Inc.
124,016
 
1,082,540
Building Products — 1.4%
1,523
American Woodmark Corp. (a)
138,151
1,884
Builders FirstSource, Inc. (a)
322,918
3,107
Carrier Global Corp.
225,941
689
Fortune Brands Innovations, Inc.
57,414
1,018
Gibraltar Industries, Inc. (a)
68,705
2,276
Hayward Holdings, Inc. (a)
37,008
1,450
Masco Corp.
115,869
7,678
Masterbrand, Inc. (a)
137,897
2,833
Owens Corning
500,846
3,775
Quanex Building Products Corp.
109,701
7,068
Resideo Technologies, Inc. (a)
139,028
940
UFP Industries, Inc.
115,000
 
1,968,478
Capital Markets — 2.5%
1,735
Affiliated Managers Group, Inc.
336,416
12,592
DigitalBridge Group, Inc.
197,568
1,081
Donnelley Financial Solutions,
Inc. (a)
63,066
1,936
Federated Hermes, Inc.
77,692
12,245
Franklin Resources, Inc.
254,329
16,329
Golub Capital BDC, Inc.
247,221
3,513
Invesco Ltd.
60,915
1,002
Jefferies Financial Group, Inc.
64,108
3,504
Morgan Stanley
407,340
2,042
Raymond James Financial, Inc.
302,665
1,783
SEI Investments Co.
133,297
4,128
State Street Corp.
383,078
869
StoneX Group, Inc. (a)
78,245
5,739
T. Rowe Price Group, Inc.
630,487
500
Virtus Investment Partners, Inc.
108,185
 
3,344,612
Chemicals — 3.3%
409
Air Products and Chemicals, Inc.
127,007
2,128
Ashland, Inc.
179,965
1,226
Avient Corp.
57,144
4,598
Celanese Corp.
579,210
5,829
CF Industries Holdings, Inc.
479,319
1,718
Chemours (The) Co.
31,199
2,071
Corteva, Inc.
126,165
6,685
Dow, Inc.
330,105
1,366
DuPont de Nemours, Inc.
113,364
1,653
Eastman Chemical Co.
173,714
25,975
Ecovyst, Inc. (a)
172,993
4,677
FMC Corp.
303,958
777
H.B. Fuller Co.
56,861
629
Innospec, Inc.
67,794

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Chemicals (Continued)
6,519
LyondellBasell Industries N.V.,
Class A
$566,175
922
Minerals Technologies, Inc.
69,417
9,213
Mosaic (The) Co.
246,540
3,857
Olin Corp.
158,253
7,992
Orion S.A.
119,800
1,888
PPG Industries, Inc.
235,075
422
Quaker Chemical Corp.
63,967
921
Stepan Co.
66,625
1,664
Westlake Corp.
219,548
 
4,544,198
Commercial Services &
Supplies — 0.7%
1,349
ABM Industries, Inc.
71,578
9,043
BrightView Holdings, Inc. (a)
148,124
14,066
CoreCivic, Inc. (a)
194,251
5,539
GEO Group (The), Inc. (a)
84,082
5,749
MillerKnoll, Inc.
128,548
4,216
OPENLANE, Inc. (a)
66,613
527
UniFirst Corp.
94,760
9,553
Vestis Corp.
129,157
 
917,113
Communications Equipment
— 0.3%
4,699
Cisco Systems, Inc.
257,364
11,922
Viasat, Inc. (a)
114,451
 
371,815
Construction & Engineering
— 0.2%
1,302
Arcosa, Inc.
121,919
1,293
Fluor Corp. (a)
67,598
342
MYR Group, Inc. (a)
44,802
 
234,319
Construction Materials —
0.2%
4,741
Summit Materials, Inc.,
Class A (a)
224,771
Consumer Finance — 1.9%
14,053
Ally Financial, Inc.
492,558
3,740
Bread Financial Holdings, Inc.
186,439
3,340
Capital One Financial Corp.
543,718
6,227
LendingClub Corp. (a)
88,299
9,130
Navient Corp.
129,920
308
Nelnet, Inc., Class A
34,711
3,931
OneMain Holdings, Inc.
195,253
2,936
PROG Holdings, Inc.
128,215
5,394
SLM Corp.
118,830
12,533
Synchrony Financial
691,070
 
2,609,013
Shares
Description
Value
 
Consumer Staples Distribution
& Retail — 1.7%
2,839
Andersons (The), Inc.
$128,891
748
BJ’s Wholesale Club Holdings,
Inc. (a)
63,378
5,914
Dollar General Corp.
473,357
4,055
Grocery Outlet Holding
Corp. (a)
57,986
2,385
Ingles Markets, Inc., Class A
152,306
8,728
Kroger (The) Co.
486,760
787
Performance Food Group Co. (a)
63,944
775
PriceSmart, Inc.
64,387
4,679
Sysco Corp.
350,691
2,343
Target Corp.
351,544
2,065
Weis Markets, Inc.
129,868
 
2,323,112
Containers & Packaging —
1.1%
2,722
Berry Global Group, Inc.
191,765
2,840
Greif, Inc., Class A
177,330
7,477
International Paper Co.
415,272
2,661
O-I Glass, Inc. (a)
29,564
1,161
Packaging Corp. of America
265,799
9,100
Pactiv Evergreen, Inc.
103,194
1,699
Sealed Air Corp.
61,470
2,350
Silgan Holdings, Inc.
121,589
3,387
Sonoco Products Co.
177,885
 
1,543,868
Distributors — 0.3%
1,790
Genuine Parts Co.
205,313
4,635
LKQ Corp.
170,522
 
375,835
Diversified Consumer Services
— 0.5%
34,126
ADT, Inc.
245,707
173
Graham Holdings Co., Class B
145,891
6,306
Laureate Education, Inc.
108,337
5,363
Mister Car Wash, Inc. (a)
40,276
6,400
Perdoceo Education Corp.
143,040
 
683,251
Diversified REITs — 0.2%
3,707
Alexander & Baldwin, Inc.
68,987
7,512
Broadstone Net Lease, Inc.
132,136
1,980
WP Carey, Inc.
110,326
 
311,449
Diversified Telecommunication
Services — 1.0%
28,416
AT&T, Inc.
640,497
14,999
Liberty Latin America Ltd.,
Class C (a)
145,190

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Diversified Telecommunication
Services (Continued)
5,044
Shenandoah
Telecommunications Co.
$69,809
11,136
Verizon Communications, Inc.
469,160
 
1,324,656
Electric Utilities — 3.6%
6,018
Alliant Energy Corp.
361,080
3,560
American Electric Power Co.,
Inc.
351,550
3,168
Duke Energy Corp.
365,175
2,871
Edison International
236,570
3,800
Entergy Corp.
588,164
3,979
Evergy, Inc.
240,491
12,334
Exelon Corp.
484,726
5,638
FirstEnergy Corp.
235,837
1,197
IDACORP, Inc.
123,866
4,511
OGE Energy Corp.
180,395
3,157
Otter Tail Corp.
247,888
2,785
Pinnacle West Capital Corp.
244,551
5,151
Portland General Electric Co.
244,157
11,041
PPL Corp.
359,495
2,818
TXNM Energy, Inc.
122,696
7,659
Xcel Energy, Inc.
511,698
 
4,898,339
Electrical Equipment — 0.4%
3,640
Atkore, Inc.
312,166
1,813
EnerSys
175,607
6,224
Shoals Technologies Group, Inc.,
Class A (a)
33,672
 
521,445
Electronic Equipment,
Instruments & Components
— 1.8%
1,858
Arrow Electronics, Inc. (a)
220,489
4,543
Avnet, Inc.
246,276
1,606
Benchmark Electronics, Inc.
69,540
1,269
Crane NXT Co.
68,869
355
ePlus, Inc. (a)
31,577
1,409
IPG Photonics Corp. (a)
114,073
1,544
Jabil, Inc.
190,051
766
Keysight Technologies, Inc. (a)
114,142
233
Littelfuse, Inc.
56,999
463
PC Connection, Inc.
29,470
630
Rogers Corp. (a)
63,176
2,703
Sanmina Corp. (a)
189,480
2,964
ScanSource, Inc. (a)
125,703
1,541
TD SYNNEX Corp.
177,754
835
Teledyne Technologies, Inc. (a)
380,192
3,900
TTM Technologies, Inc. (a)
87,516
Shares
Description
Value
 
Electronic Equipment,
Instruments & Components
(Continued)
9,409
Vishay Intertechnology, Inc.
$159,577
3,656
Vontier Corp.
135,564
 
2,460,448
Energy Equipment & Services
— 2.2%
10,103
Baker Hughes Co.
384,722
21,520
Halliburton Co.
596,965
10,138
Helmerich & Payne, Inc.
340,637
16,156
Liberty Energy, Inc.
275,783
19,312
NOV, Inc.
299,529
40,316
Patterson-UTI Energy, Inc.
309,224
27,977
RPC, Inc.
158,909
11,922
Schlumberger N.V.
477,715
43,541
Transocean Ltd. (a)
188,968
 
3,032,452
Entertainment — 0.2%
790
Sphere Entertainment Co. (a)
33,030
2,600
Walt Disney (The) Co.
250,120
 
283,150
Financial Services — 1.8%
17,151
Corebridge Financial, Inc.
544,887
4,797
Essent Group Ltd.
287,868
1,030
EVERTEC, Inc.
33,743
3,381
Jackson Financial, Inc., Class A
337,931
12,047
MGIC Investment Corp.
301,657
2,677
Mr. Cooper Group, Inc. (a)
237,048
1,560
PayPal Holdings, Inc. (a)
123,708
8,891
Radian Group, Inc.
310,385
779
Voya Financial, Inc.
62,554
543
Walker & Dunlop, Inc.
59,388
15,511
Western Union (The) Co.
166,898
 
2,466,067
Food Products — 2.9%
10,465
Archer-Daniels-Midland Co.
577,773
6,469
Bunge Global S.A.
543,525
2,489
Campbell Soup Co.
116,112
3,744
Conagra Brands, Inc.
108,351
6,640
Darling Ingredients, Inc. (a)
259,690
1,182
Fresh Del Monte Produce, Inc.
37,954
3,386
General Mills, Inc.
230,316
1,304
Hershey (The) Co.
231,564
11,521
Hormel Foods Corp.
351,967
1,347
Ingredion, Inc.
178,828
1,528
J.M. Smucker (The) Co.
173,443
10,402
Kraft Heinz (The) Co.
348,051
1,653
Mondelez International, Inc.,
Class A
113,197
1,599
Post Holdings, Inc. (a)
174,627

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Food Products (Continued)
57
Seaboard Corp.
$157,663
4,199
Tyson Foods, Inc., Class A
246,019
6,122
WK Kellogg Co.
101,809
 
3,950,889
Gas Utilities — 1.5%
3,606
Atmos Energy Corp.
500,441
6,751
MDU Resources Group, Inc.
194,766
4,071
National Fuel Gas Co.
246,418
1,307
New Jersey Resources Corp.
59,978
3,487
Northwest Natural Holding Co.
135,609
2,486
ONE Gas, Inc.
177,177
2,509
Southwest Gas Holdings, Inc.
183,784
3,667
Spire, Inc.
234,175
12,327
UGI Corp.
294,739
 
2,027,087
Ground Transportation —
1.4%
966
ArcBest Corp.
100,638
813
Avis Budget Group, Inc.
67,479
7,242
CSX Corp.
243,621
53,918
Hertz Global Holdings, Inc. (a)
149,892
1,451
J.B. Hunt Transport Services,
Inc.
262,080
2,287
Knight-Swift Transportation
Holdings, Inc.
119,107
327
Landstar System, Inc.
57,477
5,918
Marten Transport Ltd.
91,611
613
Old Dominion Freight Line, Inc.
123,409
1,692
Ryder System, Inc.
247,506
3,670
Schneider National, Inc., Class B
103,787
1,713
U-Haul Holding Co.
116,929
4,127
Universal Logistics Holdings,
Inc.
173,499
2,714
Werner Enterprises, Inc.
100,119
 
1,957,154
Health Care Equipment &
Supplies — 0.9%
2,962
Avanos Medical, Inc. (a)
55,330
485
CONMED Corp.
33,097
1,653
Enovis Corp. (a)
68,219
1,494
Hologic, Inc. (a)
120,820
7,834
Integra LifeSciences Holdings
Corp. (a)
146,966
1,352
Medtronic PLC
120,666
3,539
Solventum Corp. (a)
256,861
4,633
Zimmer Biomet Holdings, Inc.
495,360
 
1,297,319
Shares
Description
Value
 
Health Care Providers &
Services — 2.3%
3,358
AMN Healthcare Services,
Inc. (a)
$127,402
6,644
Centene Corp. (a)
413,655
351
Cigna Group (The)
110,498
9,942
CVS Health Corp.
561,325
481
Elevance Health, Inc.
195,171
846
Henry Schein, Inc. (a)
59,415
790
Humana, Inc.
203,686
545
Labcorp Holdings, Inc.
124,407
726
Molina Healthcare, Inc. (a)
233,206
1,971
Option Care Health, Inc. (a)
45,412
6,676
Owens & Minor, Inc. (a)
84,852
6,518
Patterson Cos., Inc.
136,943
8,897
Premier, Inc., Class A
179,275
2,353
Quest Diagnostics, Inc.
364,315
1,769
Select Medical Holdings Corp.
56,749
1,077
Universal Health Services, Inc.,
Class B
220,042
 
3,116,353
Health Care REITs — 0.4%
2,106
Alexandria Real Estate Equities,
Inc.
234,924
10,934
Healthpeak Properties, Inc.
245,469
 
480,393
Hotel & Resort REITs — 0.9%
11,982
Apple Hospitality REIT, Inc.
176,974
16,305
DiamondRock Hospitality Co.
139,734
14,019
Host Hotels & Resorts, Inc.
241,687
12,619
Park Hotels & Resorts, Inc.
175,278
7,917
Pebblebrook Hotel Trust
94,846
19,382
RLJ Lodging Trust
171,531
17,241
Sunstone Hotel Investors, Inc.
173,962
7,092
Xenia Hotels & Resorts, Inc.
100,493
 
1,274,505
Hotels, Restaurants & Leisure
— 0.9%
2,112
Bloomin’ Brands, Inc.
35,038
2,862
Boyd Gaming Corp.
198,308
1,478
Caesars Entertainment, Inc. (a)
59,194
1,524
Darden Restaurants, Inc.
243,870
3,397
Hilton Grand Vacations, Inc. (a)
125,281
1,937
Marriott Vacations Worldwide
Corp.
149,207
1,578
MGM Resorts International (a)
58,181
1,321
Monarch Casino & Resort, Inc.
103,712
13,515
Playa Hotels & Resorts N.V. (a)
114,878
1,249
Starbucks Corp.
122,027
 
1,209,696
Household Durables — 3.6%
81
Cavco Industries, Inc. (a)
33,193

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Household Durables
(Continued)
1,728
Century Communities, Inc.
$153,204
650
Champion Homes, Inc. (a)
57,350
2,622
D.R. Horton, Inc.
443,118
2,893
Dream Finders Homes, Inc.,
Class A (a)
86,356
1,254
Green Brick Partners, Inc. (a)
86,539
2,877
Helen of Troy Ltd. (a)
183,121
871
Hovnanian Enterprises, Inc.,
Class A (a)
153,331
2,879
KB Home
226,001
3,316
La-Z-Boy, Inc.
126,174
3,335
Lennar Corp., Class A
567,950
884
LGI Homes, Inc. (a)
89,779
1,800
M/I Homes, Inc. (a)
272,862
1,504
Meritage Homes Corp.
272,525
26
NVR, Inc. (a)
237,973
4,356
PulteGroup, Inc.
564,233
4,390
Taylor Morrison Home Corp. (a)
300,715
4,047
Toll Brothers, Inc.
592,643
6,807
Tri Pointe Homes, Inc. (a)
275,207
1,729
Whirlpool Corp.
178,969
 
4,901,243
Household Products — 0.3%
4,533
Central Garden & Pet Co.,
Class A (c)
132,091
747
Clorox (The) Co.
118,437
3,967
Reynolds Consumer Products,
Inc.
106,911
1,101
Spectrum Brands Holdings, Inc.
98,672
 
456,111
Independent Power and
Renewable Electricity
Producers — 0.0%
1,138
Clearway Energy, Inc., Class C
32,296
Industrial REITs — 0.0%
3,474
LXP Industrial Trust
32,795
Insurance — 5.7%
3,267
Aflac, Inc.
342,349
458
American Financial Group, Inc.
59,050
8,537
American International Group,
Inc.
647,788
620
Assurant, Inc.
118,854
3,878
Assured Guaranty Ltd.
323,658
2,324
Axis Capital Holdings Ltd.
181,876
775
Brighthouse Financial, Inc. (a)
36,657
1,734
Chubb Ltd.
489,751
4,593
Cincinnati Financial Corp.
646,832
7,029
CNO Financial Group, Inc.
241,798
3,709
Employers Holdings, Inc.
180,702
Shares
Description
Value
 
Insurance (Continued)
1,595
Everest Group Ltd.
$567,198
4,029
Fidelity National Financial, Inc.
242,425
934
First American Financial Corp.
59,916
5,097
Genworth Financial, Inc. (a)
34,354
1,747
Globe Life, Inc.
184,483
4,252
Hartford Financial Services
Group (The), Inc.
469,591
2,036
Horace Mann Educators Corp.
75,821
7,830
Lincoln National Corp.
272,092
6,327
Loews Corp.
499,580
3,483
Old Republic International Corp.
121,661
1,417
Principal Financial Group, Inc.
116,761
2,065
Prudential Financial, Inc.
252,921
1,148
Reinsurance Group of America,
Inc.
242,320
1,132
RenaissanceRe Holdings Ltd.
297,037
427
Safety Insurance Group, Inc.
33,419
12,408
SiriusPoint Ltd. (a)
163,041
467
Stewart Information Services
Corp.
32,130
1,560
Travelers (The) Cos., Inc.
383,666
4,151
Unum Group
266,411
2,146
W.R. Berkley Corp.
122,687
 
7,706,829
Interactive Media & Services
— 0.4%
27,889
Bumble, Inc., Class A (a)
197,454
9,164
Getty Images Holdings, Inc. (a)
38,031
1,146
IAC, Inc. (a)
54,951
2,961
Shutterstock, Inc.
95,018
2,925
Ziff Davis, Inc. (a)
135,340
 
520,794
IT Services — 1.0%
344
Accenture PLC, Class A
118,618
3,618
Akamai Technologies, Inc. (a)
365,708
1,323
ASGN, Inc. (a)
121,848
6,480
Cognizant Technology Solutions
Corp., Class A
483,343
11,891
DXC Technology Co. (a)
236,155
310
EPAM Systems, Inc. (a)
58,482
 
1,384,154
Leisure Products — 0.4%
2,208
Brunswick Corp.
176,066
3,238
Mattel, Inc. (a)
65,990
2,223
Polaris, Inc.
155,410
12,964
Topgolf Callaway Brands
Corp. (a)
125,881
1,735
YETI Holdings, Inc. (a)
61,089
 
584,436

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Life Sciences Tools & Services
— 0.1%
626
Charles River Laboratories
International, Inc. (a)
$111,791
Machinery — 3.1%
1,261
AGCO Corp.
125,898
582
Alamo Group, Inc.
98,672
393
Albany International Corp.,
Class A
26,693
3,954
Columbus McKinnon Corp.
125,777
376
Cummins, Inc.
123,696
875
Deere & Co.
354,104
1,542
Fortive Corp.
110,145
588
Franklin Electric Co., Inc.
56,277
3,496
Greenbrier (The) Cos., Inc.
207,208
732
Helios Technologies, Inc.
33,767
2,232
Hyster-Yale, Inc.
141,665
567
IDEX Corp.
121,701
1,806
John Bean Technologies Corp.
201,224
6,862
Kennametal, Inc.
173,746
571
Lindsay Corp.
68,349
887
Middleby (The) Corp. (a)
115,044
1,665
Mueller Industries, Inc.
136,480
464
Nordson Corp.
115,021
3,078
Oshkosh Corp.
314,695
6,335
PACCAR, Inc.
660,614
1,261
Snap-on, Inc.
416,294
5,829
Terex Corp.
301,418
1,464
Timken (The) Co.
121,512
711
Toro (The) Co.
57,221
298
Watts Water Technologies, Inc.,
Class A
56,796
 
4,264,017
Marine Transportation —
0.2%
1,730
Matson, Inc.
267,960
Media — 2.2%
509
Cable One, Inc.
173,854
1,127
Charter Communications, Inc.,
Class A (a)
369,216
14,967
Comcast Corp., Class A
653,609
14,769
Fox Corp., Class A
620,298
3,900
Interpublic Group of (The) Cos.,
Inc.
114,660
3,192
Liberty Broadband Corp.,
Class C (a)
257,977
9,390
News Corp., Class A
255,878
1,119
Nexstar Media Group, Inc.
196,855
1,177
Omnicom Group, Inc.
118,877
11,276
TEGNA, Inc.
185,265
 
2,946,489
Shares
Description
Value
 
Metals & Mining — 2.4%
1,306
Alpha Metallurgical Resources,
Inc.
$272,040
19,321
Cleveland-Cliffs, Inc. (a)
250,787
5,612
Commercial Metals Co.
301,926
1,444
Kaiser Aluminum Corp.
107,231
312
Materion Corp.
31,709
4,158
Nucor Corp.
589,771
2,162
Reliance, Inc.
619,067
4,958
Steel Dynamics, Inc.
647,019
4,827
Warrior Met Coal, Inc.
304,728
4,185
Worthington Steel, Inc.
160,034
 
3,284,312
Mortgage REITs — 0.7%
7,745
Apollo Commercial Real Estate
Finance, Inc.
68,853
9,148
Arbor Realty Trust, Inc. (d)
134,842
11,240
Chimera Investment Corp.
169,724
4,662
Claros Mortgage Trust, Inc.
29,324
12,271
Ladder Capital Corp.
140,012
8,235
MFA Financial, Inc.
101,208
4,576
Ready Capital Corp.
31,346
21,738
Rithm Capital Corp.
230,205
3,027
Starwood Property Trust, Inc.
59,753
 
965,267
Multi-Utilities — 3.0%
5,718
Ameren Corp.
498,095
4,592
Avista Corp.
172,108
4,037
Black Hills Corp.
238,950
17,000
CenterPoint Energy, Inc.
502,010
3,540
CMS Energy Corp.
246,419
4,803
Consolidated Edison, Inc.
488,369
6,320
Dominion Energy, Inc.
376,230
2,844
DTE Energy Co.
353,282
10,540
NiSource, Inc.
370,586
2,488
Northwestern Energy Group,
Inc.
133,008
5,980
Sempra
498,553
2,600
WEC Energy Group, Inc.
248,378
 
4,125,988
Office REITs — 0.6%
4,185
Cousins Properties, Inc.
128,187
1,987
Douglas Emmett, Inc.
35,349
5,241
Easterly Government Properties,
Inc.
71,068
7,153
Equity Commonwealth (a)
141,558
4,248
Highwoods Properties, Inc.
142,478
1,997
JBG SMITH Properties
33,949
6,375
Kilroy Realty Corp.
256,402
7,097
Paramount Group, Inc.
34,420
 
843,411

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Oil, Gas & Consumable Fuels
— 10.8%
4,306
Antero Resources Corp. (a)
$111,439
12,609
APA Corp.
297,572
2,351
California Resources Corp.
122,181
2,781
Cheniere Energy, Inc.
532,228
4,245
Chevron Corp.
631,741
2,368
Chord Energy Corp.
296,237
6,087
Civitas Resources, Inc.
296,985
9,469
CNX Resources Corp. (a)
322,230
9,411
Comstock Resources, Inc.
108,791
5,938
ConocoPhillips
650,449
26,103
Coterra Energy, Inc.
624,384
13,000
Crescent Energy Co., Class A
161,590
7,726
CVR Energy, Inc.
122,843
3,796
Delek US Holdings, Inc.
59,483
15,981
Devon Energy Corp.
618,145
2,901
Diamondback Energy, Inc.
512,810
5,086
EOG Resources, Inc.
620,289
13,650
EQT Corp.
498,771
3,750
Expand Energy Corp.
317,700
5,333
Exxon Mobil Corp.
622,788
2,579
Green Plains, Inc. (a)
31,541
1,176
Gulfport Energy Corp. (a)
162,805
6,920
HF Sinclair Corp.
267,181
22,641
Kinder Morgan, Inc.
554,931
44,152
Kosmos Energy Ltd. (a)
166,012
10,104
Magnolia Oil & Gas Corp.,
Class A
255,429
3,837
Marathon Petroleum Corp.
558,168
6,241
Matador Resources Co.
325,219
9,141
Murphy Oil Corp.
287,759
33,929
New Fortress Energy, Inc. (d)
285,343
8,710
Northern Oil & Gas, Inc.
315,737
12,130
Occidental Petroleum Corp.
607,834
2,744
ONEOK, Inc.
265,839
8,050
Ovintiv, Inc.
315,560
10,110
Par Pacific Holdings, Inc. (a)
156,199
9,965
PBF Energy, Inc., Class A
284,202
6,704
Peabody Energy Corp.
176,114
4,756
Phillips 66
579,376
8,021
Range Resources Corp.
240,871
7,716
SM Energy Co.
323,841
17,191
Talos Energy, Inc. (a)
175,692
4,630
Valero Energy Corp.
600,789
6,615
Vital Energy, Inc. (a)
180,391
5,756
World Kinect Corp.
150,519
 
14,796,008
Paper & Forest Products —
0.1%
1,148
Louisiana-Pacific Corp.
113,537
Shares
Description
Value
 
Passenger Airlines — 1.6%
4,093
Alaska Air Group, Inc. (a)
$196,096
12,309
Delta Air Lines, Inc.
704,321
12,326
Southwest Airlines Co.
376,929
10,956
United Airlines Holdings,
Inc. (a)
857,416
 
2,134,762
Personal Care Products —
0.2%
4,896
Edgewell Personal Care Co.
171,115
9,899
Herbalife Ltd. (a)
74,737
14,857
Olaplex Holdings, Inc. (a)
26,446
 
272,298
Pharmaceuticals — 1.1%
9,214
Innoviva, Inc. (a)
180,226
2,215
Jazz Pharmaceuticals PLC (a)
243,716
1,543
Johnson & Johnson
246,664
9,673
Organon & Co.
181,659
2,352
Perrigo Co. PLC
60,282
987
Prestige Consumer Healthcare,
Inc. (a)
72,791
43,078
Viatris, Inc.
499,705
 
1,485,043
Professional Services — 1.2%
8,335
Alight, Inc., Class A (a)
57,762
6,018
Concentrix Corp.
255,825
1,463
CSG Systems International, Inc.
68,190
5,359
Dun & Bradstreet Holdings, Inc.
63,718
6,293
Genpact Ltd.
240,204
701
Insperity, Inc.
55,218
930
Jacobs Solutions, Inc.
130,739
568
Kforce, Inc.
32,825
1,640
Korn Ferry
115,866
1,324
Maximus, Inc.
114,447
1,492
NV5 Global, Inc. (a)
34,092
915
Robert Half, Inc.
62,321
3,370
SS&C Technologies Holdings,
Inc.
235,664
1,272
TriNet Group, Inc.
107,980
3,341
Upwork, Inc. (a)
45,304
 
1,620,155
Real Estate Management &
Development — 0.2%
5,497
Forestar Group, Inc. (a)
173,540
2,248
Newmark Group, Inc., Class A
33,698
 
207,238
Residential REITs — 0.3%
4,905
Equity Residential
345,165
766
Mid-America Apartment
Communities, Inc.
115,926
 
461,091

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Retail REITs — 0.2%
1,231
InvenTrust Properties Corp.
$36,253
10,769
Kimco Realty Corp.
255,441
2,220
Retail Opportunity Investments
Corp.
34,410
 
326,104
Semiconductors &
Semiconductor Equipment
— 1.4%
8,063
Amkor Technology, Inc.
205,203
1,925
Diodes, Inc. (a)
112,574
21,318
Intel Corp.
458,763
6,888
ON Semiconductor Corp. (a)
485,535
7,186
Photronics, Inc. (a)
163,841
5,064
Skyworks Solutions, Inc.
443,505
917
Synaptics, Inc. (a)
62,971
 
1,932,392
Software — 0.4%
5,976
Adeia, Inc.
74,282
23,980
Riot Platforms, Inc. (a)
221,575
3,586
Zoom Video Communications,
Inc., Class A (a)
268,018
 
563,875
Specialized REITs — 0.1%
1,917
Rayonier, Inc.
59,868
3,595
Weyerhaeuser Co.
112,020
 
171,888
Specialty Retail — 3.3%
5,285
Academy Sports & Outdoors,
Inc.
268,795
6,328
Advance Auto Parts, Inc.
225,846
8,265
American Eagle Outfitters, Inc.
161,911
776
Asbury Automotive Group,
Inc. (a)
176,804
1,034
AutoNation, Inc. (a)
160,756
7,730
Bath & Body Works, Inc.
219,377
3,536
Best Buy Co., Inc.
319,760
2,382
Buckle (The), Inc.
101,378
5,384
Caleres, Inc.
160,712
1,396
Five Below, Inc. (a)
132,327
644
Group 1 Automotive, Inc.
234,622
8,839
Guess?, Inc.
150,175
300
Home Depot (The), Inc.
118,125
777
Lithia Motors, Inc.
258,251
450
Lowe’s Cos., Inc.
117,824
125
Murphy USA, Inc.
61,056
2,392
ODP (The) Corp. (a)
74,224
1,139
Penske Automotive Group, Inc.
171,499
10,490
Sally Beauty Holdings, Inc. (a)
136,370
2,389
Shoe Carnival, Inc.
81,871
Shares
Description
Value
 
Specialty Retail (Continued)
2,392
Signet Jewelers Ltd.
$219,299
2,434
Sonic Automotive, Inc., Class A
138,081
939
Ulta Beauty, Inc. (a)
346,472
1,091
Upbound Group, Inc.
31,901
8,050
Urban Outfitters, Inc. (a)
289,398
4,076
Victoria’s Secret & Co. (a)
123,340
 
4,480,174
Technology Hardware, Storage
& Peripherals — 1.1%
3,984
Diebold Nixdorf, Inc. (a)
184,379
30,555
Hewlett Packard Enterprise Co.
595,517
6,971
HP, Inc.
247,610
3,334
Seagate Technology
Holdings PLC
334,634
13,713
Xerox Holdings Corp.
112,035
 
1,474,175
Textiles, Apparel & Luxury
Goods — 0.8%
1,612
Carter’s, Inc.
88,176
1,483
Columbia Sportswear Co.
119,337
5,830
G-III Apparel Group Ltd. (a)
176,532
1,377
NIKE, Inc., Class B
106,208
402
Oxford Industries, Inc.
29,193
3,059
PVH Corp.
301,189
1,843
Skechers U.S.A., Inc.,
Class A (a)
113,271
713
Steven Madden Ltd.
32,064
1,313
Tapestry, Inc.
62,302
 
1,028,272
Tobacco — 0.1%
3,350
Universal Corp.
170,582
Trading Companies &
Distributors — 1.6%
6,810
Air Lease Corp.
302,023
1,427
Beacon Roofing Supply, Inc. (a)
131,384
1,750
Boise Cascade Co.
232,802
41,259
Custom Truck One Source,
Inc. (a)
168,749
13,761
DNOW, Inc. (a)
162,793
1,028
Global Industrial Co.
27,273
2,043
GMS, Inc. (a)
183,645
1,161
Herc Holdings, Inc.
242,812
11,173
MRC Global, Inc. (a)
136,981
1,434
MSC Industrial Direct Co., Inc.,
Class A
113,386
4,670
Rush Enterprises, Inc., Class A
264,229
1,102
WESCO International, Inc.
211,551
 
2,177,628
Water Utilities — 0.3%
832
American Water Works Co., Inc.
114,907
3,198
Essential Utilities, Inc.
123,443

First Trust Multi Cap Value AlphaDEX® Fund (FAB)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Water Utilities (Continued)
535
Middlesex Water Co.
$32,737
1,803
SJW Group
100,355
 
371,442
Wireless Telecommunication
Services — 0.3%
9,913
Gogo, Inc. (a)
64,930
6,122
Telephone and Data Systems,
Inc.
182,129
2,605
United States Cellular Corp. (a)
160,729
 
407,788
Total Common Stocks
136,274,817
(Cost $129,721,327)
MONEY MARKET FUNDS — 0.1%
90,627
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
4.71% (e)
90,627
(Cost $90,627)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.3%
$398,504
JPMorgan Chase & Co.,
4.85% (e), dated 10/31/24, due
11/01/24, with a maturity
value of $398,558.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $406,474. (f)
398,504
(Cost $398,504)
Total Investments — 100.3%
136,763,948
(Cost $130,210,458)
Net Other Assets and
Liabilities — (0.3)%
(401,008
)
Net Assets — 100.0%
$136,362,940
(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)
Non-income producing security which makes payment-in-
kind distributions.
(d)
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 $378,162 and the total value of the
collateral held by the Fund is $398,504.
(e)
Rate shown reflects yield as of October 31, 2024.
(f)
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 October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$136,274,817
$136,274,817
$     
$
Money Market
Funds
     90,627
     90,627
     
Repurchase
Agreements
    398,504
         
398,504
Total Investments
$136,763,948
$136,365,444
$398,504
$
*
See Portfolio of Investments for industry breakout.

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 3.4%
1,892
AeroVironment, Inc. (a)
$406,704
2,406
Axon Enterprise, Inc. (a)
1,018,941
2,618
BWX Technologies, Inc.
318,741
2,884
Cadre Holdings, Inc.
100,277
1,443
Curtiss-Wright Corp.
497,777
4,078
General Electric Co.
700,519
3,676
HEICO Corp.
900,436
9,589
Howmet Aerospace, Inc.
956,215
6,912
Kratos Defense & Security
Solutions, Inc. (a)
157,041
16,804
Leonardo DRS, Inc. (a)
505,296
2,347
Moog, Inc., Class A
442,644
28,118
Rocket Lab USA, Inc. (a) (b)
300,863
539
TransDigm Group, Inc.
701,940
4,165
Triumph Group, Inc. (a)
57,644
1,659
Woodward, Inc.
272,225
 
7,337,263
Automobile Components —
0.3%
1,935
Dorman Products, Inc. (a)
220,648
13,379
Garrett Motion, Inc. (a)
99,406
3,571
Modine Manufacturing Co. (a)
420,557
 
740,611
Automobiles — 0.4%
26,868
Lucid Group, Inc. (a)
59,378
34,270
Rivian Automotive, Inc.,
Class A (a)
346,127
1,470
Tesla, Inc. (a)
367,280
 
772,785
Banks — 3.3%
7,542
Axos Financial, Inc. (a)
510,744
7,430
Banc of California, Inc.
114,125
1,530
BancFirst Corp.
166,326
5,114
Bancorp (The), Inc. (a)
257,030
1,372
City Holding Co.
159,975
3,193
Commerce Bancshares, Inc.
199,563
1,696
Cullen/Frost Bankers, Inc.
215,986
4,585
East West Bancorp, Inc.
446,992
10,339
First BanCorp
199,336
418
First Citizens BancShares, Inc.,
Class A
809,812
10,251
First Financial Bankshares, Inc.
370,471
4,156
German American Bancorp, Inc.
168,276
10,503
Home BancShares, Inc.
286,627
4,759
International Bancshares Corp.
291,536
3,647
JPMorgan Chase & Co.
809,342
1,681
Lakeland Financial Corp.
109,383
5,199
National Bank Holdings Corp.,
Class A
233,747
15,248
Old National Bancorp
293,676
Shares
Description
Value
 
Banks (Continued)
1,303
Park National Corp.
$225,132
3,696
QCR Holdings, Inc.
292,354
5,895
ServisFirst Bancshares, Inc.
490,110
8,454
Stellar Bancorp, Inc.
230,118
3,531
Stock Yards Bancorp, Inc.
227,679
1,086
Westamerica BanCorp
55,951
 
7,164,291
Beverages — 0.4%
5,351
Coca-Cola (The) Co.
349,474
360
Coca-Cola Consolidated, Inc.
404,734
1,896
Vita Coco (The) Co., Inc. (a)
56,140
 
810,348
Biotechnology — 4.7%
3,491
ACADIA Pharmaceuticals,
Inc. (a)
50,934
13,686
ADMA Biologics, Inc. (a)
223,219
4,926
Agios Pharmaceuticals, Inc. (a)
218,862
2,796
Alnylam Pharmaceuticals,
Inc. (a)
745,386
1,193
Amgen, Inc.
381,951
5,027
Amicus Therapeutics, Inc. (a)
57,408
3,276
Arcellx, Inc. (a)
276,068
11,767
Arcutis Biotherapeutics, Inc. (a)
97,784
15,883
Ardelyx, Inc. (a)
93,233
6,195
Avidity Biosciences, Inc. (a)
261,801
2,191
Beam Therapeutics, Inc. (a)
48,005
28,799
BioCryst Pharmaceuticals,
Inc. (a)
230,680
2,051
Blueprint Medicines Corp. (a)
179,483
11,010
Catalyst Pharmaceuticals,
Inc. (a)
240,018
1,579
Celldex Therapeutics, Inc. (a)
41,149
1,856
Crinetics Pharmaceuticals,
Inc. (a)
103,862
3,757
Denali Therapeutics, Inc. (a)
97,532
14,620
Exelixis, Inc. (a)
485,384
48,210
Geron Corp. (a)
198,143
6,628
Halozyme Therapeutics, Inc. (a)
335,178
20,117
Humacyte, Inc. (a) (b)
101,591
14,432
ImmunityBio, Inc. (a) (b)
75,191
3,898
Insmed, Inc. (a)
262,257
17,152
Iovance Biotherapeutics, Inc. (a)
179,067
4,818
Janux Therapeutics, Inc. (a)
260,124
5,780
Kymera Therapeutics, Inc. (a)
266,863
34,797
MannKind Corp. (a)
246,015
5,612
Mirum Pharmaceuticals, Inc. (a)
215,837
5,880
Myriad Genetics, Inc. (a)
129,125
3,736
Natera, Inc. (a)
451,907
12,752
Novavax, Inc. (a) (b)
122,547
7,168
Nurix Therapeutics, Inc. (a)
176,189
6,080
Protagonist Therapeutics, Inc. (a)
278,707

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Biotechnology (Continued)
5,899
PTC Therapeutics, Inc. (a)
$235,488
7,583
Relay Therapeutics, Inc. (a)
42,730
4,183
REVOLUTION Medicines,
Inc. (a)
223,790
5,222
Rhythm Pharmaceuticals, Inc. (a)
249,246
8,219
Roivant Sciences Ltd. (a)
94,929
1,825
Spyre Therapeutics, Inc. (a)
59,367
11,697
TG Therapeutics, Inc. (a)
293,127
3,565
Twist Bioscience Corp. (a)
143,883
5,122
Ultragenyx Pharmaceutical,
Inc. (a)
261,171
2,682
United Therapeutics Corp. (a)
1,002,987
8,037
Veracyte, Inc. (a)
271,168
402
Vertex Pharmaceuticals, Inc. (a)
191,344
 
10,200,730
Broadline Retail — 0.8%
2,064
Amazon.com, Inc. (a)
384,730
39,155
Coupang, Inc. (a)
1,009,808
2,927
Ollie’s Bargain Outlet Holdings,
Inc. (a)
268,786
 
1,663,324
Building Products — 2.3%
2,112
A.O. Smith Corp.
158,611
3,518
AAON, Inc.
401,826
1,952
Allegion PLC
272,558
2,300
Apogee Enterprises, Inc.
172,132
2,165
Armstrong World Industries, Inc.
302,126
6,080
AZEK (The) Co., Inc. (a)
267,520
1,950
AZZ, Inc.
148,551
1,249
Carlisle Cos., Inc.
527,365
1,294
CSW Industrials, Inc.
456,911
2,301
Griffon Corp.
144,687
1,273
Lennox International, Inc.
767,071
496
Simpson Manufacturing Co., Inc.
89,176
3,188
Tecnoglass, Inc.
218,474
2,473
Trane Technologies PLC
915,406
 
4,842,414
Capital Markets — 6.4%
1,637
Ameriprise Financial, Inc.
835,361
2,467
Ares Management Corp.,
Class A
413,667
1,239
Artisan Partners Asset
Management, Inc., Class A
54,640
13,377
Bank of New York Mellon (The)
Corp.
1,008,091
17,544
BGC Group, Inc., Class A
164,387
4,899
Blue Owl Capital, Inc.
109,542
1,877
Cboe Global Markets, Inc.
400,871
2,965
Cohen & Steers, Inc.
292,853
Shares
Description
Value
 
Capital Markets (Continued)
2,158
Coinbase Global, Inc.,
Class A (a)
$386,821
1,942
Goldman Sachs Group (The),
Inc.
1,005,548
2,816
Hamilton Lane, Inc., Class A
505,866
2,401
Houlihan Lokey, Inc.
414,821
2,722
Interactive Brokers Group, Inc.,
Class A
415,323
3,496
Intercontinental Exchange, Inc.
544,921
7,361
KKR & Co., Inc.
1,017,585
805
LPL Financial Holdings, Inc.
227,155
1,892
Main Street Capital Corp.
97,135
741
MarketAxess Holdings, Inc.
214,460
1,183
Moody’s Corp.
537,129
297
Morningstar, Inc.
97,431
321
MSCI, Inc.
183,355
7,692
Nasdaq, Inc.
568,593
8,542
Northern Trust Corp.
858,642
1,671
Piper Sandler Cos.
473,962
2,052
PJT Partners, Inc., Class A
285,146
32,836
Robinhood Markets, Inc.,
Class A (a)
771,318
1,087
S&P Global, Inc.
522,151
4,814
StepStone Group, Inc., Class A
289,466
6,591
TPG, Inc.
446,079
2,301
Tradeweb Markets, Inc., Class A
292,227
3,951
Victory Capital Holdings, Inc.,
Class A
236,783
16,122
WisdomTree, Inc.
166,863
 
13,838,192
Chemicals — 1.6%
9,880
Aspen Aerogels, Inc. (a)
176,259
5,242
Axalta Coating Systems Ltd. (a)
198,777
1,078
Balchem Corp.
180,382
3,394
Cabot Corp.
365,975
2,200
Ecolab, Inc.
540,606
3,492
Element Solutions, Inc.
94,633
2,146
Hawkins, Inc.
229,407
393
Linde PLC
179,267
172
NewMarket Corp.
90,295
20,341
Perimeter Solutions S.A. (a)
270,128
4,376
Scotts Miracle-Gro (The) Co.
380,624
1,364
Sensient Technologies Corp.
102,955
2,015
Sherwin-Williams (The) Co.
722,922
 
3,532,230
Commercial Services &
Supplies — 2.2%
5,383
ACV Auctions, Inc., Class A (a)
93,072
2,102
Brady Corp., Class A
149,536
4,101
Brink’s (The) Co.
421,542

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Commercial Services &
Supplies (Continued)
1,907
Casella Waste Systems, Inc.,
Class A (a)
$186,657
1,336
Cimpress PLC (a)
92,197
3,735
Cintas Corp.
768,700
1,177
Clean Harbors, Inc. (a)
272,193
7,669
Driven Brands Holdings, Inc. (a)
113,885
5,082
HNI Corp.
250,441
38,372
Pitney Bowes, Inc.
276,662
1,914
Republic Services, Inc.
378,972
7,602
Rollins, Inc.
358,358
8,112
Steelcase, Inc., Class A
97,588
10,056
Tetra Tech, Inc.
491,537
5,020
Veralto Corp.
512,994
902
Waste Management, Inc.
194,697
 
4,659,031
Communications Equipment
— 1.0%
2,004
Arista Networks, Inc. (a)
774,426
1,292
F5, Inc. (a)
302,173
11,054
Harmonic, Inc. (a)
122,589
2,541
Lumentum Holdings, Inc. (a)
162,294
1,710
Motorola Solutions, Inc.
768,388
 
2,129,870
Construction & Engineering
— 2.0%
1,215
Comfort Systems USA, Inc.
475,114
3,920
Construction Partners, Inc.,
Class A (a)
308,622
2,406
Dycom Industries, Inc. (a)
419,438
2,233
EMCOR Group, Inc.
996,074
3,451
Granite Construction, Inc.
290,056
1,370
IES Holdings, Inc. (a)
299,571
4,711
Primoris Services Corp.
295,003
3,224
Quanta Services, Inc.
972,455
1,887
Sterling Infrastructure, Inc. (a)
291,447
 
4,347,780
Construction Materials —
0.5%
1,319
Eagle Materials, Inc.
376,522
5,305
Knife River Corp. (a)
516,282
2,241
United States Lime & Minerals,
Inc.
252,740
 
1,145,544
Consumer Finance — 0.9%
3,545
American Express Co.
957,434
3,265
Enova International, Inc. (a)
283,761
1,652
FirstCash Holdings, Inc.
170,933
48,267
SoFi Technologies, Inc. (a)
539,142
 
1,951,270
Shares
Description
Value
 
Consumer Staples Distribution
& Retail — 1.2%
1,495
Casey’s General Stores, Inc.
$589,060
6,513
Chefs’ Warehouse (The), Inc. (a)
259,999
867
Costco Wholesale Corp.
757,914
9,312
Maplebear, Inc. (a)
410,659
4,295
Sprouts Farmers Market, Inc. (a)
551,607
 
2,569,239
Containers & Packaging —
0.2%
1,184
AptarGroup, Inc.
198,805
6,411
Graphic Packaging Holding Co.
181,175
 
379,980
Diversified Consumer Services
— 1.3%
3,625
Adtalem Global Education,
Inc. (a)
293,335
3,384
Bright Horizons Family
Solutions, Inc. (a)
451,662
1,682
Duolingo, Inc. (a)
492,776
5,701
Frontdoor, Inc. (a)
283,283
669
Grand Canyon Education,
Inc. (a)
91,727
5,970
H&R Block, Inc.
356,588
13,257
OneSpaWorld Holdings Ltd.
232,130
3,605
Service Corp. International
294,348
580
Strategic Education, Inc.
50,437
3,207
Stride, Inc. (a)
299,149
 
2,845,435
Diversified REITs — 0.3%
6,028
American Assets Trust, Inc.
162,454
14,536
Empire State Realty Trust, Inc.,
Class A
154,082
11,109
Essential Properties Realty Trust,
Inc.
352,044
6,376
Global Net Lease, Inc.
49,669
 
718,249
Diversified Telecommunication
Services — 0.2%
8,370
AST SpaceMobile, Inc. (a) (b)
199,290
2,883
Cogent Communications
Holdings, Inc.
231,418
1,763
Iridium Communications, Inc.
51,709
 
482,417
Electric Utilities — 1.9%
3,697
Constellation Energy Corp.
972,163
1,197
MGE Energy, Inc.
108,316
9,098
NextEra Energy, Inc.
721,016
10,552
NRG Energy, Inc.
953,901
38,898
PG&E Corp.
786,518
6,227
Southern (The) Co.
566,844
 
4,108,758

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Electrical Equipment — 1.5%
1,033
Acuity Brands, Inc.
$310,613
1,160
Eaton Corp. PLC
384,633
5,748
Enovix Corp. (a) (b)
51,761
7,092
Fluence Energy, Inc. (a)
154,251
1,311
Hubbell, Inc.
559,836
1,232
Powell Industries, Inc.
314,135
21,007
Sunrun, Inc. (a)
303,551
1,799
Thermon Group Holdings,
Inc. (a)
47,152
9,662
Vertiv Holdings Co., Class A
1,055,960
 
3,181,892
Electronic Equipment,
Instruments & Components
— 1.2%
5,901
Amphenol Corp., Class A
395,485
4,433
Arlo Technologies, Inc. (a)
45,039
1,737
Badger Meter, Inc.
347,487
2,429
Belden, Inc.
276,590
5,334
Coherent Corp. (a)
493,075
1,110
CTS Corp.
54,934
4,440
Itron, Inc. (a)
496,214
8,933
Knowles Corp. (a)
154,720
4,850
Mirion Technologies, Inc. (a)
71,780
1,327
Napco Security Technologies,
Inc.
51,063
1,061
OSI Systems, Inc. (a)
140,275
1,031
PAR Technology Corp. (a)
60,819
1,528
Trimble, Inc. (a)
92,444
 
2,679,925
Energy Equipment & Services
— 0.6%
5,407
Archrock, Inc.
108,248
5,020
Atlas Energy Solutions, Inc.
98,241
4,768
Cactus, Inc., Class A
282,695
2,897
Core Laboratories, Inc.
54,753
3,127
Expro Group Holdings N.V. (a)
39,869
9,859
Helix Energy Solutions Group,
Inc. (a)
91,196
3,774
Kodiak Gas Services, Inc.
120,315
6,476
Oceaneering International,
Inc. (a)
158,014
14,471
Select Water Solutions, Inc.
153,393
1,321
Tidewater, Inc. (a)
79,353
 
1,186,077
Entertainment — 1.9%
11,799
AMC Entertainment Holdings,
Inc., Class A (a)
51,798
1,349
Atlanta Braves Holdings, Inc.,
Class C (a)
53,299
9,827
Cinemark Holdings, Inc. (a)
292,353
Shares
Description
Value
 
Entertainment (Continued)
7,253
Liberty Media Corp.-Liberty
Formula One, Class C (a)
$579,079
7,024
Live Nation Entertainment,
Inc. (a)
822,791
5,146
Madison Square Garden
Entertainment Corp. (a)
214,640
911
Madison Square Garden Sports
Corp. (a)
202,880
792
Netflix, Inc. (a)
598,776
17,375
ROBLOX Corp., Class A (a)
898,635
3,067
TKO Group Holdings, Inc. (a)
358,133
 
4,072,384
Financial Services — 2.6%
11,618
Affirm Holdings, Inc. (a)
509,449
4,496
Apollo Global Management, Inc.
644,097
1,220
Berkshire Hathaway, Inc.,
Class B (a)
550,122
1,229
Corpay, Inc. (a)
405,226
1,912
Euronet Worldwide, Inc. (a)
188,275
584
Federal Agricultural Mortgage
Corp., Class C
107,030
4,281
Fiserv, Inc. (a)
847,210
1,828
Global Payments, Inc.
189,582
11,006
HA Sustainable Infrastructure
Capital, Inc.
385,100
379
Mastercard, Inc., Class A
189,345
4,868
Merchants Bancorp
179,824
5,314
NMI Holdings, Inc. (a)
205,545
36,333
Payoneer Global, Inc. (a)
313,190
4,009
Remitly Global, Inc. (a)
72,082
5,353
Shift4 Payments, Inc.,
Class A (a)
484,125
13,401
Toast, Inc., Class A (a)
402,432
 
5,672,634
Food Products — 0.5%
2,924
Cal-Maine Foods, Inc.
256,669
2,774
Freshpet, Inc. (a)
367,666
636
J & J Snack Foods Corp.
104,380
1,544
Simply Good Foods (The)
Co. (a)
51,971
1,733
Tootsie Roll Industries, Inc.
50,552
6,241
Vital Farms, Inc. (a)
216,438
 
1,047,676
Gas Utilities — 0.1%
881
Chesapeake Utilities Corp.
105,535
Ground Transportation —
0.3%
7,439
Lyft, Inc., Class A (a)
96,484
7,472
Uber Technologies, Inc. (a)
538,357
 
634,841

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Health Care Equipment &
Supplies — 2.9%
8,222
Artivion, Inc. (a)
$216,485
9,177
Boston Scientific Corp. (a)
771,052
1,456
Glaukos Corp. (a)
192,556
5,303
Globus Medical, Inc.,
Class A (a)
389,983
1,348
Inspire Medical Systems, Inc. (a)
262,914
1,630
Insulet Corp. (a)
377,394
2,918
Integer Holdings Corp. (a)
362,561
1,143
Intuitive Surgical, Inc. (a)
575,889
4,321
Lantheus Holdings, Inc. (a)
474,619
2,356
LeMaitre Vascular, Inc.
208,247
711
Masimo Corp. (a)
102,391
3,839
Merit Medical Systems, Inc. (a)
378,756
3,415
PROCEPT BioRobotics
Corp. (a)
307,350
3,150
ResMed, Inc.
763,780
2,214
RxSight, Inc. (a)
112,161
518
Stryker Corp.
184,553
3,798
Tandem Diabetes Care, Inc. (a)
119,143
2,416
TransMedics Group, Inc. (a)
198,040
691
UFP Technologies, Inc. (a)
184,497
 
6,182,371
Health Care Providers &
Services — 2.7%
1,211
Addus HomeCare Corp. (a)
150,673
23,147
Alignment Healthcare, Inc. (a)
287,023
4,722
Astrana Health, Inc. (a)
253,949
23,720
Brookdale Senior Living, Inc. (a)
148,725
158
Chemed Corp.
85,358
1,160
CorVel Corp. (a)
345,471
2,893
DaVita, Inc. (a)
404,470
3,926
Encompass Health Corp.
390,480
3,297
Ensign Group (The), Inc.
511,002
4,134
Guardant Health, Inc. (a)
90,452
2,365
HCA Healthcare, Inc.
848,420
20,596
Hims & Hers Health, Inc. (a)
387,823
31,268
LifeStance Health Group,
Inc. (a)
209,808
2,175
National HealthCare Corp.
252,365
7,419
NeoGenomics, Inc. (a)
100,824
6,834
RadNet, Inc. (a)
444,483
5,784
Tenet Healthcare Corp. (a)
896,636
 
5,807,962
Health Care REITs — 1.3%
6,147
CareTrust REIT, Inc.
200,822
10,451
Healthcare Realty Trust, Inc.
179,548
1,463
LTC Properties, Inc.
55,887
1,916
National Health Investors, Inc.
146,861
6,991
Omega Healthcare Investors, Inc.
296,908
Shares
Description
Value
 
Health Care REITs
(Continued)
15,289
Sabra Health Care REIT, Inc.
$296,606
14,989
Ventas, Inc.
981,630
4,386
Welltower, Inc.
591,584
 
2,749,846
Health Care Technology —
0.2%
6,279
Doximity, Inc., Class A (a)
262,085
7,739
Evolent Health, Inc., Class A (a)
180,706
4,802
Phreesia, Inc. (a)
87,829
 
530,620
Hotel & Resort REITs — 0.1%
1,769
Ryman Hospitality Properties,
Inc.
189,371
Hotels, Restaurants & Leisure
— 5.5%
133
Booking Holdings, Inc.
621,941
3,575
Brinker International, Inc. (a)
367,188
41,613
Carnival Corp. (a)
915,486
3,829
Cava Group, Inc. (a)
511,401
3,972
Cheesecake Factory (The), Inc.
183,586
3,249
Chipotle Mexican Grill, Inc. (a)
181,197
728
Choice Hotels International,
Inc. (b)
101,563
1,403
Churchill Downs, Inc.
196,560
1,577
Dave & Buster’s Entertainment,
Inc. (a)
58,239
6,735
DoorDash, Inc., Class A (a)
1,055,374
4,775
DraftKings, Inc., Class A (a)
168,653
6,494
Expedia Group, Inc. (a)
1,015,077
20,944
Global Business Travel Group
I (a)
159,803
2,436
Hilton Worldwide Holdings, Inc.
572,095
623
Hyatt Hotels Corp., Class A
90,615
11,156
Las Vegas Sands Corp.
578,439
19,420
Life Time Group Holdings,
Inc. (a)
432,678
1,045
Light & Wonder, Inc. (a)
98,000
1,547
Marriott International, Inc.,
Class A
402,251
1,263
McDonald’s Corp.
368,935
13,873
Norwegian Cruise Line Holdings
Ltd. (a)
351,542
997
Papa John’s International, Inc.
52,233
3,503
Planet Fitness, Inc., Class A (a)
275,055
986
Red Rock Resorts, Inc., Class A
50,740
5,420
Royal Caribbean Cruises Ltd.
1,118,417
59,638
Sabre Corp. (a)
190,842
1,560
Shake Shack, Inc., Class A (a)
189,805
7,718
Sweetgreen, Inc., Class A (a)
278,620
2,148
Texas Roadhouse, Inc.
410,526

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Hotels, Restaurants & Leisure
(Continued)
2,375
Travel + Leisure Co.
$113,549
1,061
United Parks & Resorts, Inc. (a)
55,840
3,064
Wendy’s (The) Co.
58,553
684
Wingstop, Inc.
196,780
2,968
Wynn Resorts Ltd.
284,987
 
11,706,570
Household Durables — 0.7%
4,369
Garmin Ltd.
866,591
1,541
Installed Building Products, Inc.
334,243
945
TopBuild Corp. (a)
333,944
 
1,534,778
Household Products — 0.5%
1,788
Church & Dwight Co., Inc.
178,639
5,410
Colgate-Palmolive Co.
506,971
1,316
Kimberly-Clark Corp.
176,581
1,081
Procter & Gamble (The) Co.
178,559
424
WD-40 Co.
111,118
 
1,151,868
Independent Power and
Renewable Electricity
Producers — 0.9%
14,184
AES (The) Corp.
233,894
2,465
Ormat Technologies, Inc.
194,784
2,661
Talen Energy Corp. (a)
482,599
8,109
Vistra Corp.
1,013,301
 
1,924,578
Industrial REITs — 0.2%
508
EastGroup Properties, Inc.
87,010
1,694
First Industrial Realty Trust, Inc.
88,918
1,197
Innovative Industrial Properties,
Inc.
154,641
 
330,569
Insurance — 4.1%
5,069
Allstate (The) Corp.
945,470
541
Aon PLC, Class A
198,477
8,592
Arch Capital Group Ltd. (a)
846,827
1,996
Arthur J. Gallagher & Co.
561,275
5,494
Baldwin Insurance Group (The),
Inc. (a)
254,152
7,423
Brown & Brown, Inc.
776,743
1,781
Erie Indemnity Co., Class A
799,384
2,451
Goosehead Insurance, Inc.,
Class A (a)
266,914
407
Kinsale Capital Group, Inc.
174,241
9,767
Lemonade, Inc. (a) (b)
232,162
119
Markel Group, Inc. (a)
183,499
1,724
Marsh & McLennan Cos., Inc.
376,246
4,344
Mercury General Corp.
293,785
Shares
Description
Value
 
Insurance (Continued)
12,899
Oscar Health, Inc., Class A (a)
$216,703
2,312
Palomar Holdings, Inc. (a)
207,548
1,073
Primerica, Inc.
297,017
3,788
Progressive (The) Corp.
919,840
1,224
RLI Corp.
190,907
4,286
Ryan Specialty Holdings, Inc.
282,319
5,374
Skyward Specialty Insurance
Group, Inc. (a)
237,585
6,517
Trupanion, Inc. (a)
357,001
112
White Mountains Insurance
Group Ltd.
201,280
 
8,819,375
Interactive Media & Services
— 0.7%
1,129
Alphabet, Inc., Class A
193,183
5,363
Cargurus, Inc. (a)
166,360
3,203
Cars.com, Inc. (a)
51,216
7,519
Match Group, Inc. (a)
270,910
1,343
Meta Platforms, Inc., Class A
762,260
1,530
Yelp, Inc. (a)
52,234
 
1,496,163
IT Services — 1.1%
3,988
DigitalOcean Holdings, Inc. (a)
157,845
759
Gartner, Inc. (a)
381,398
6,131
GoDaddy, Inc., Class A (a)
1,022,651
3,478
International Business Machines
Corp.
718,972
4,127
Kyndryl Holdings, Inc. (a)
94,467
 
2,375,333
Leisure Products — 0.2%
1,488
Acushnet Holdings Corp.
91,214
34,414
Peloton Interactive, Inc.,
Class A (a)
292,519
 
383,733
Life Sciences Tools & Services
— 0.4%
1,261
Agilent Technologies, Inc.
164,321
1,108
Azenta, Inc. (a)
45,528
6,432
BioLife Solutions, Inc. (a)
150,509
1,187
Bio-Techne Corp.
87,541
1,373
Bruker Corp.
77,726
284
Medpace Holdings, Inc. (a)
89,238
125
Mettler-Toledo International,
Inc. (a)
161,469
162
OmniAb, Inc. - 12.5 Earnout
Shares (a) (c) (d) (e) (f)
0
162
OmniAb, Inc. - 15 Earnout
Shares (a) (c) (d) (e) (f)
0
520
Waters Corp. (a)
168,017
 
944,349

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Machinery — 4.0%
4,936
Allison Transmission Holdings,
Inc.
$527,461
5,832
Atmus Filtration Technologies,
Inc.
227,098
4,564
Blue Bird Corp. (a)
192,190
1,966
Caterpillar, Inc.
739,609
764
Chart Industries, Inc. (a)
92,230
1,287
Donaldson Co., Inc.
94,157
2,005
Dover Corp.
379,607
2,612
Enerpac Tool Group Corp.
115,241
1,784
Esab Corp.
219,503
1,249
ESCO Technologies, Inc.
156,799
4,059
Federal Signal Corp.
331,093
5,505
Flowserve Corp.
289,783
714
Illinois Tool Works, Inc.
186,447
3,917
Ingersoll Rand, Inc.
376,032
2,538
ITT, Inc.
355,625
842
Kadant, Inc.
280,437
10,086
Mueller Water Products, Inc.,
Class A
217,757
3,699
Otis Worldwide Corp.
363,242
1,217
Parker-Hannifin Corp.
771,663
317
RBC Bearings, Inc. (a)
88,871
9,750
REV Group, Inc.
258,375
2,974
SPX Technologies, Inc. (a)
426,739
599
Standex International Corp.
110,144
2,201
Symbotic, Inc. (a) (b)
61,166
559
Tennant Co.
48,946
7,853
Trinity Industries, Inc.
269,201
5,288
Westinghouse Air Brake
Technologies Corp.
994,038
4,159
Xylem, Inc.
506,483
 
8,679,937
Marine Transportation —
0.2%
3,099
Kirby Corp. (a)
355,641
Media — 0.8%
11,023
EchoStar Corp., Class A (a)
276,236
10,124
Integral Ad Science Holding
Corp. (a)
119,868
3,338
John Wiley & Sons, Inc.,
Class A
164,564
11,629
Magnite, Inc. (a)
145,130
5,111
New York Times (The) Co.,
Class A
285,398
5,122
Trade Desk (The), Inc.,
Class A (a)
615,716
 
1,606,912
Metals & Mining — 0.6%
7,087
ATI, Inc. (a)
373,556
Shares
Description
Value
 
Metals & Mining (Continued)
2,972
Carpenter Technology Corp.
$444,314
9,923
Century Aluminum Co. (a)
175,141
39,766
Coeur Mining, Inc. (a)
256,093
676
Royal Gold, Inc.
98,736
 
1,347,840
Mortgage REITs — 0.3%
18,135
AGNC Investment Corp.
168,837
9,451
Annaly Capital Management,
Inc.
179,664
2,824
Blackstone Mortgage Trust, Inc.,
Class A
51,425
4,111
Franklin BSP Realty Trust, Inc.
53,484
11,294
PennyMac Mortgage Investment
Trust
152,243
11,603
Two Harbors Investment Corp.
133,434
 
739,087
Multi-Utilities — 0.4%
8,620
Public Service Enterprise Group,
Inc.
770,714
Office REITs — 0.2%
3,608
COPT Defense Properties
116,178
5,450
SL Green Realty Corp.
412,074
 
528,252
Oil, Gas & Consumable Fuels
— 1.5%
6,302
Antero Midstream Corp.
90,560
9,038
Calumet, Inc. (a)
192,781
1,046
CONSOL Energy, Inc.
116,022
1,560
Dorian LPG Ltd.
45,006
2,411
DT Midstream, Inc.
217,352
2,418
Kinetik Holdings, Inc.
117,684
6,495
Targa Resources Corp.
1,084,405
635
Texas Pacific Land Corp.
740,410
4,205
Viper Energy, Inc.
218,239
8,423
Williams (The) Cos., Inc.
441,113
 
3,263,572
Paper & Forest Products —
0.1%
3,187
Sylvamo Corp.
270,959
Passenger Airlines — 0.2%
2,574
SkyWest, Inc. (a)
245,045
45,222
Wheels Up Experience, Inc. (a)
92,253
 
337,298
Personal Care Products —
0.2%
4,686
BellRing Brands, Inc. (a)
308,480
733
Interparfums, Inc.
88,744
 
397,224
Pharmaceuticals — 1.3%
32,884
Amneal Pharmaceuticals, Inc. (a)
278,528

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Pharmaceuticals (Continued)
3,319
Amphastar Pharmaceuticals,
Inc. (a)
$167,709
1,834
ANI Pharmaceuticals, Inc. (a)
104,987
4,093
Avadel Pharmaceuticals PLC (a)
63,319
3,166
Axsome Therapeutics, Inc. (a)
281,869
5,665
Collegium Pharmaceutical,
Inc. (a)
193,403
10,247
Corcept Therapeutics, Inc. (a)
501,796
6,456
Elanco Animal Health, Inc. (a)
81,604
434
Eli Lilly & Co.
360,107
5,472
Harmony Biosciences Holdings,
Inc. (a)
175,815
2,592
Intra-Cellular Therapies, Inc. (a)
219,672
1,093
Ligand Pharmaceuticals, Inc. (a)
115,530
12,579
Ocular Therapeutix, Inc. (a)
132,457
958
Zoetis, Inc.
171,271
 
2,848,067
Professional Services — 2.5%
676
Automatic Data Processing, Inc.
195,526
4,725
Booz Allen Hamilton Holding
Corp.
858,344
2,612
Broadridge Financial Solutions,
Inc.
550,766
940
CACI International, Inc.,
Class A (a)
519,406
798
CBIZ, Inc. (a)
55,006
1,248
CRA International, Inc.
227,311
1,548
Dayforce, Inc. (a)
109,831
1,911
Equifax, Inc.
506,453
9,944
ExlService Holdings, Inc. (a)
414,367
1,646
Exponent, Inc.
155,349
834
FTI Consulting, Inc. (a)
162,697
1,482
Huron Consulting Group, Inc. (a)
171,512
966
ICF International, Inc.
162,858
4,574
Parsons Corp. (a)
494,724
1,395
Paychex, Inc.
194,365
569
Paycom Software, Inc.
118,938
1,150
Paylocity Holding Corp. (a)
212,256
6,821
Verra Mobility Corp. (a)
177,141
 
5,286,850
Real Estate Management &
Development — 0.1%
9,904
Kennedy-Wilson Holdings, Inc.
105,874
921
St. Joe (The) Co.
47,616
 
153,490
Residential REITs — 0.6%
12,106
Apartment Investment and
Management Co., Class A (a)
102,175
831
AvalonBay Communities, Inc.
184,158
1,536
Camden Property Trust
177,853
Shares
Description
Value
 
Residential REITs (Continued)
6,221
Elme Communities
$104,948
634
Essex Property Trust, Inc.
179,967
9,253
Independence Realty Trust, Inc.
181,544
2,487
NexPoint Residential Trust, Inc.
103,584
2,092
UDR, Inc.
88,261
5,564
UMH Properties, Inc.
103,769
 
1,226,259
Retail REITs — 1.1%
5,036
Agree Realty Corp.
373,923
452
Alexander’s, Inc.
102,618
6,809
Brixmor Property Group, Inc.
183,503
3,440
Getty Realty Corp.
107,982
7,142
Kite Realty Group Trust
183,335
6,000
Macerich (The) Co.
112,200
1,956
NNN REIT, Inc.
84,969
6,063
Realty Income Corp.
359,960
2,626
Regency Centers Corp.
187,601
2,275
Simon Property Group, Inc.
384,748
3,298
Tanger, Inc.
109,592
7,530
Urban Edge Properties
167,467
 
2,357,898
Semiconductors &
Semiconductor Equipment
— 2.1%
4,458
Broadcom, Inc.
756,835
2,291
Cirrus Logic, Inc. (a)
251,598
9,238
Credo Technology Group
Holding Ltd. (a)
348,272
3,854
First Solar, Inc. (a)
749,526
1,752
Impinj, Inc. (a)
332,862
242
KLA Corp.
161,228
1,805
Micron Technology, Inc.
179,868
416
Monolithic Power Systems, Inc.
315,869
6,332
NVIDIA Corp.
840,636
1,101
QUALCOMM, Inc.
179,210
4,794
Semtech Corp. (a)
211,847
939
SiTime Corp. (a)
158,700
1,620
Veeco Instruments, Inc. (a)
46,624
 
4,533,075
Software — 8.5%
9,317
ACI Worldwide, Inc. (a)
458,396
1,004
Agilysys, Inc. (a)
100,440
6,940
Alkami Technology, Inc. (a)
254,073
403
Appfolio, Inc., Class A (a)
83,772
1,573
Appian Corp., Class A (a)
56,235
7,363
AppLovin Corp., Class A (a)
1,247,219
397
Aspen Technology, Inc. (a)
93,188
64,084
Aurora Innovation, Inc. (a)
332,916
1,396
Autodesk, Inc. (a)
396,185
18,596
AvePoint, Inc. (a)
225,755
2,240
Blackbaud, Inc. (a)
169,142

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Software (Continued)
974
BlackLine, Inc. (a)
$53,930
8,693
Box, Inc., Class A (a)
276,090
28,278
Cipher Mining, Inc. (a)
139,411
10,155
Cleanspark, Inc. (a)
107,745
8,256
Clear Secure, Inc., Class A
303,656
8,668
Clearwater Analytics Holdings,
Inc., Class A (a)
226,321
3,082
CommVault Systems, Inc. (a)
481,378
668
CrowdStrike Holdings, Inc.,
Class A (a)
198,309
4,583
DocuSign, Inc. (a)
317,969
7,459
Dropbox, Inc., Class A (a)
192,815
5,321
Dynatrace, Inc. (a)
286,270
495
Fair Isaac Corp. (a)
986,589
7,242
Fortinet, Inc. (a)
569,656
28,036
Gen Digital, Inc.
816,128
2,074
Guidewire Software, Inc. (a)
386,303
4,576
Intapp, Inc. (a)
229,578
1,932
InterDigital, Inc.
290,650
3,094
Jamf Holding Corp. (a)
51,484
6,186
Klaviyo, Inc., Class A (a)
235,254
1,996
Manhattan Associates, Inc. (a)
525,667
5,847
MARA Holdings, Inc. (a) (b)
98,054
2,610
MeridianLink, Inc. (a)
57,316
1,110
MicroStrategy, Inc., Class A (a)
271,395
1,601
Nutanix, Inc., Class A (a)
99,422
4,513
Oracle Corp.
757,462
25,841
Palantir Technologies, Inc.,
Class A (a)
1,073,952
1,125
Palo Alto Networks, Inc. (a)
405,371
5,191
Pegasystems, Inc.
412,373
3,249
Progress Software Corp.
208,228
5,945
Q2 Holdings, Inc. (a)
503,304
5,092
RingCentral, Inc., Class A (a)
183,363
684
Salesforce, Inc.
199,297
9,855
Samsara, Inc., Class A (a)
470,970
13,932
SEMrush Holdings, Inc.,
Class A (a)
182,648
11,895
SentinelOne, Inc., Class A (a)
306,772
860
ServiceNow, Inc. (a)
802,371
8,386
SolarWinds Corp.
109,689
11,520
SoundHound AI, Inc.,
Class A (a) (b)
57,946
46,768
Terawulf, Inc. (a) (b)
304,927
962
Tyler Technologies, Inc. (a)
582,578
4,193
Unity Software, Inc. (a)
84,195
5,036
Varonis Systems, Inc. (a)
253,663
4,182
Vertex, Inc., Class A (a)
173,595
Shares
Description
Value
 
Software (Continued)
766
Workday, Inc., Class A (a)
$179,129
15,898
Zeta Global Holdings Corp.,
Class A (a)
440,057
 
18,310,601
Specialized REITs — 2.2%
2,415
American Tower Corp.
515,699
1,578
Crown Castle, Inc.
169,619
3,524
CubeSmart
168,588
1,157
Digital Realty Trust, Inc.
206,212
2,232
EPR Properties
101,266
211
Equinix, Inc.
191,605
2,134
Extra Space Storage, Inc.
348,482
3,734
Four Corners Property Trust, Inc.
102,909
3,638
Gaming and Leisure Properties,
Inc.
182,591
8,089
Iron Mountain, Inc.
1,000,852
1,420
Lamar Advertising Co., Class A
187,440
3,341
National Storage Affiliates Trust
140,823
11,908
Outfront Media, Inc.
211,486
1,543
Public Storage
507,740
10,430
Safehold, Inc.
221,950
778
SBA Communications Corp.
178,528
11,543
VICI Properties, Inc.
366,606
 
4,802,396
Specialty Retail — 3.1%
2,712
Abercrombie & Fitch Co.,
Class A (a)
357,414
122
AutoZone, Inc. (a)
367,098
2,835
Boot Barn Holdings, Inc. (a)
353,099
3,648
Burlington Stores, Inc. (a)
903,865
5,521
Carvana Co. (a)
1,365,399
7,473
Chewy, Inc., Class A (a)
201,547
1,363
Dick’s Sporting Goods, Inc.
266,807
1,528
Floor & Decor Holdings, Inc.,
Class A (a)
157,460
8,272
GameStop Corp., Class A (a)
183,473
8,603
Gap (The), Inc.
178,684
334
O’Reilly Automotive, Inc. (a)
385,149
2,555
Ross Stores, Inc.
356,985
4,778
TJX (The) Cos., Inc.
540,057
1,930
Tractor Supply Co.
512,434
6,702
Warby Parker, Inc., Class A (a)
113,465
2,482
Williams-Sonoma, Inc.
332,911
 
6,575,847
Technology Hardware, Storage
& Peripherals — 0.6%
1,650
Apple, Inc.
372,751
3,244
Dell Technologies, Inc., Class C
401,056
6,143
IonQ, Inc. (a) (b)
92,329
4,547
NetApp, Inc.
524,315
 
1,390,451

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Textiles, Apparel & Luxury
Goods — 0.9%
1,965
Crocs, Inc. (a)
$211,866
3,522
Deckers Outdoor Corp. (a)
566,655
5,799
Kontoor Brands, Inc.
496,569
1,957
Ralph Lauren Corp.
387,349
15,706
Wolverine World Wide, Inc.
241,715
 
1,904,154
Tobacco — 0.6%
7,533
Altria Group, Inc.
410,247
6,335
Philip Morris International, Inc.
840,655
 
1,250,902
Trading Companies &
Distributors — 1.8%
1,700
Applied Industrial Technologies,
Inc.
393,703
2,136
Core & Main, Inc., Class A (a)
94,582
7,104
Distribution Solutions Group,
Inc. (a)
273,504
2,621
Fastenal Co.
204,910
3,568
FTAI Aviation Ltd.
479,682
716
GATX Corp.
98,636
2,248
H&E Equipment Services, Inc.
117,458
1,187
United Rentals, Inc.
964,794
541
W.W. Grainger, Inc.
600,093
1,142
Watsco, Inc.
540,177
 
3,767,539
Water Utilities — 0.1%
644
American States Water Co.
53,104
2,971
California Water Service Group
154,373
 
207,477
Wireless Telecommunication
Services — 0.4%
3,727
T-Mobile US, Inc.
831,717
Total Common Stocks
214,692,370
(Cost $173,828,260)
MONEY MARKET FUNDS — 0.1%
301,976
Morgan Stanley Institutional
Liquidity Funds - Treasury
Portfolio - Institutional Class -
4.71% (g)
301,976
(Cost $301,976)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.7%
$379,417
Bank of America Corp.,
4.85% (g), dated 10/31/24,
due 11/01/24, with a maturity
value of $379,468.
Collateralized by
U.S. Treasury Securities,
interest rates of 0.00% to
2.75%, due 11/15/28 to
02/15/50. The value of the
collateral including accrued
interest is $387,005. (h)
$379,417
1,000,000
JPMorgan Chase & Co.,
4.85% (g), dated 10/31/24,
due 11/01/24, with a maturity
value of $1,000,135.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $1,020,000. (h)
1,000,000
Total Repurchase Agreements
1,379,417
(Cost $1,379,417)
Total Investments — 100.7%
216,373,763
(Cost $175,509,653)
Net Other Assets and
Liabilities — (0.7)%
(1,468,435
)
Net Assets — 100.0%
$214,905,328
(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 $1,302,754 and the total value of
the collateral held by the Fund is $1,379,417.
(c)
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.
(d)
Restricted security as to resale, excluding Rule 144A
securities (see Restricted Securities table).
(e)
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 October 31, 2024, securities
noted as such are valued at $0 or 0.0% of net assets.
(f)
This security’s value was determined using significant
unobservable inputs (see Valuation Inputs in the Additional
Information section).

First Trust Multi Cap Growth AlphaDEX® Fund (FAD)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
(g)
Rate shown reflects yield as of October 31, 2024.
(h)
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 October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks:
Life
Sciences Tools
& Services
$    944,349
$    944,349
$       
$—**
Other Industry
Categories*
213,748,021
213,748,021
       
Money Market
Funds
    301,976
    301,976
       
Repurchase
Agreements
  1,379,417
         
1,379,417
Total Investments
$216,373,763
$214,994,346
$1,379,417
$—**
*
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 October 31, 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
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 0.3%
3,688
Huntington Ingalls Industries,
Inc.
$682,133
Air Freight & Logistics —
0.2%
6,242
GXO Logistics, Inc. (a)
373,334
Automobile Components —
1.4%
44,780
BorgWarner, Inc.
1,505,951
14,888
Lear Corp.
1,425,675
 
2,931,626
Automobiles — 1.1%
42,176
Harley-Davidson, Inc.
1,347,523
8,873
Thor Industries, Inc.
923,502
 
2,271,025
Banks — 7.4%
10,419
Ameris Bancorp
645,874
8,628
Atlantic Union Bankshares Corp.
326,138
30,240
Bank OZK
1,323,000
6,213
BOK Financial Corp.
660,007
40,818
Cadence Bank
1,364,546
37,343
Columbia Banking System, Inc.
1,064,649
10,850
Comerica, Inc.
691,254
69,102
F.N.B. Corp.
1,001,979
62,784
First Horizon Corp.
1,088,047
12,703
Hancock Whitney Corp.
661,572
3,317
Pinnacle Financial Partners, Inc.
349,778
3,241
Popular, Inc.
289,194
9,019
Prosperity Bancshares, Inc.
660,191
3,344
SouthState Corp.
326,140
3,092
UMB Financial Corp.
339,285
17,521
United Bankshares, Inc.
660,191
11,176
United Community Banks, Inc.
318,069
107,619
Valley National Bancorp
1,019,152
20,919
Webster Financial Corp.
1,083,604
3,758
Western Alliance Bancorp
312,703
5,989
Wintrust Financial Corp.
694,065
20,649
Zions Bancorp N.A.
1,074,987
 
15,954,425
Beverages — 0.7%
28,252
Molson Coors Beverage Co.,
Class B
1,538,886
Biotechnology — 0.3%
23,223
Alkermes PLC (a)
596,831
Broadline Retail — 1.5%
3,388
Dillard’s, Inc., Class A
1,258,710
82,858
Macy’s, Inc.
1,271,041
28,903
Nordstrom, Inc.
653,497
 
3,183,248
Shares
Description
Value
 
Building Products — 0.4%
3,630
Fortune Brands Innovations, Inc.
$302,488
4,954
UFP Industries, Inc.
606,072
 
908,560
Capital Markets — 2.7%
9,140
Affiliated Managers Group, Inc.
1,772,246
64,518
Franklin Resources, Inc.
1,340,039
86,039
Golub Capital BDC, Inc.
1,302,631
18,509
Invesco Ltd.
320,946
5,281
Jefferies Financial Group, Inc.
337,878
9,395
SEI Investments Co.
702,370
 
5,776,110
Chemicals — 2.9%
11,211
Ashland, Inc.
948,114
6,459
Avient Corp.
301,054
8,709
Eastman Chemical Co.
915,229
24,644
FMC Corp.
1,601,613
4,094
H.B. Fuller Co.
299,599
48,545
Mosaic (The) Co.
1,299,064
20,322
Olin Corp.
833,812
 
6,198,485
Construction & Engineering
— 0.5%
6,860
Arcosa, Inc.
642,371
6,812
Fluor Corp. (a)
356,131
 
998,502
Construction Materials —
0.5%
24,982
Summit Materials, Inc.,
Class A (a)
1,184,397
Consumer Finance — 0.8%
20,714
OneMain Holdings, Inc.
1,028,864
28,422
SLM Corp.
626,137
 
1,655,001
Consumer Staples Distribution
& Retail — 0.3%
3,941
BJ’s Wholesale Club Holdings,
Inc. (a)
333,921
4,147
Performance Food Group Co. (a)
336,944
 
670,865
Containers & Packaging —
1.3%
14,343
Berry Global Group, Inc.
1,010,464
8,953
Sealed Air Corp.
323,920
12,381
Silgan Holdings, Inc.
640,593
17,848
Sonoco Products Co.
937,377
 
2,912,354
Distributors — 0.4%
24,425
LKQ Corp.
898,596

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Diversified Consumer Services
— 0.6%
179,812
ADT, Inc.
$1,294,646
Diversified REITs — 0.3%
10,434
WP Carey, Inc.
581,383
Electric Utilities — 3.4%
20,965
Evergy, Inc.
1,267,125
6,305
IDACORP, Inc.
652,441
23,770
OGE Energy Corp.
950,562
16,633
Otter Tail Corp.
1,306,023
14,675
Pinnacle West Capital Corp.
1,288,612
27,141
Portland General Electric Co.
1,286,483
14,851
TXNM Energy, Inc.
646,613
 
7,397,859
Electrical Equipment — 1.2%
19,177
Atkore, Inc.
1,644,620
9,555
EnerSys
925,497
 
2,570,117
Electronic Equipment,
Instruments & Components
— 3.0%
9,787
Arrow Electronics, Inc. (a)
1,161,423
23,937
Avnet, Inc.
1,297,625
8,137
Jabil, Inc.
1,001,583
1,225
Littelfuse, Inc.
299,672
14,244
Sanmina Corp. (a)
998,505
8,120
TD SYNNEX Corp.
936,642
19,266
Vontier Corp.
714,383
 
6,409,833
Energy Equipment & Services
— 3.5%
53,421
Helmerich & Payne, Inc.
1,794,946
85,126
Liberty Energy, Inc.
1,453,101
101,757
NOV, Inc.
1,578,251
212,425
Patterson-UTI Energy, Inc.
1,629,300
229,419
Transocean Ltd. (a)
995,678
 
7,451,276
Financial Services — 4.3%
25,277
Essent Group Ltd.
1,516,873
17,813
Jackson Financial, Inc., Class A
1,780,409
63,479
MGIC Investment Corp.
1,589,514
14,103
Mr. Cooper Group, Inc. (a)
1,248,821
46,845
Radian Group, Inc.
1,635,359
4,103
Voya Financial, Inc.
329,471
2,861
Walker & Dunlop, Inc.
312,907
81,729
Western Union (The) Co.
879,404
 
9,292,758
Food Products — 1.9%
34,985
Darling Ingredients, Inc. (a)
1,368,263
7,095
Ingredion, Inc.
941,932
Shares
Description
Value
 
Food Products (Continued)
8,052
J.M. Smucker (The) Co.
$913,983
8,424
Post Holdings, Inc. (a)
919,985
 
4,144,163
Gas Utilities — 3.4%
35,572
MDU Resources Group, Inc.
1,026,252
21,449
National Fuel Gas Co.
1,298,308
6,886
New Jersey Resources Corp.
315,999
13,102
ONE Gas, Inc.
933,780
13,219
Southwest Gas Holdings, Inc.
968,292
19,320
Spire, Inc.
1,233,775
64,950
UGI Corp.
1,552,954
 
7,329,360
Ground Transportation —
1.3%
12,049
Knight-Swift Transportation
Holdings, Inc.
627,512
1,721
Landstar System, Inc.
302,500
8,917
Ryder System, Inc.
1,304,379
9,028
U-Haul Holding Co.
616,251
 
2,850,642
Health Care Equipment &
Supplies — 0.6%
18,647
Solventum Corp. (a)
1,353,399
Health Care Providers &
Services — 0.9%
4,458
Henry Schein, Inc. (a)
313,085
10,384
Option Care Health, Inc. (a)
239,247
9,321
Select Medical Holdings Corp.
299,018
5,677
Universal Health Services, Inc.,
Class B
1,159,868
 
2,011,218
Hotel & Resort REITs — 0.6%
73,866
Host Hotels & Resorts, Inc.
1,273,450
Hotels, Restaurants & Leisure
— 1.1%
15,082
Boyd Gaming Corp.
1,045,032
7,787
Caesars Entertainment, Inc. (a)
311,869
17,897
Hilton Grand Vacations, Inc. (a)
660,042
8,314
MGM Resorts International (a)
306,537
 
2,323,480
Household Durables — 3.9%
3,427
Champion Homes, Inc. (a)
302,364
15,171
KB Home
1,190,924
9,483
M/I Homes, Inc. (a)
1,437,528
7,924
Meritage Homes Corp.
1,435,829
23,129
Taylor Morrison Home Corp. (a)
1,584,336
35,865
Tri Pointe Homes, Inc. (a)
1,450,022
9,112
Whirlpool Corp.
943,183
 
8,344,186

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Household Products — 0.3%
20,901
Reynolds Consumer Products,
Inc.
$563,282
Insurance — 5.2%
2,415
American Financial Group, Inc.
311,366
3,269
Assurant, Inc.
626,667
20,436
Assured Guaranty Ltd.
1,705,589
12,248
Axis Capital Holdings Ltd.
958,528
37,038
CNO Financial Group, Inc.
1,274,107
4,924
First American Financial Corp.
315,875
9,206
Globe Life, Inc.
972,154
41,258
Lincoln National Corp.
1,433,716
18,352
Old Republic International Corp.
641,035
5,966
RenaissanceRe Holdings Ltd.
1,565,478
21,871
Unum Group
1,403,681
 
11,208,196
Interactive Media & Services
— 0.1%
6,039
IAC, Inc. (a)
289,570
IT Services — 1.0%
6,972
ASGN, Inc. (a)
642,121
62,653
DXC Technology Co. (a)
1,244,289
1,633
EPAM Systems, Inc. (a)
308,065
 
2,194,475
Leisure Products — 1.0%
11,633
Brunswick Corp.
927,615
17,061
Mattel, Inc. (a)
347,703
11,713
Polaris, Inc.
818,856
 
2,094,174
Life Sciences Tools & Services
— 0.3%
3,300
Charles River Laboratories
International, Inc. (a)
589,314
Machinery — 3.1%
6,642
AGCO Corp.
663,137
3,101
Franklin Electric Co., Inc.
296,797
4,672
Middleby (The) Corp. (a)
605,958
8,772
Mueller Industries, Inc.
719,041
16,216
Oshkosh Corp.
1,657,924
30,713
Terex Corp.
1,588,169
7,712
Timken (The) Co.
640,096
3,747
Toro (The) Co.
301,559
1,569
Watts Water Technologies, Inc.,
Class A
299,036
 
6,771,717
Marine Transportation —
0.7%
9,115
Matson, Inc.
1,411,822
Shares
Description
Value
 
Media — 1.4%
20,551
Interpublic Group of (The) Cos.,
Inc.
$604,199
16,820
Liberty Broadband Corp.,
Class C (a)
1,359,393
5,897
Nexstar Media Group, Inc.
1,037,400
 
3,000,992
Metals & Mining — 2.8%
6,880
Alpha Metallurgical Resources,
Inc.
1,433,104
101,804
Cleveland-Cliffs, Inc. (a)
1,321,416
29,568
Commercial Metals Co.
1,590,758
25,431
Warrior Met Coal, Inc.
1,605,459
 
5,950,737
Mortgage REITs — 0.7%
114,541
Rithm Capital Corp.
1,212,989
15,948
Starwood Property Trust, Inc.
314,814
 
1,527,803
Multi-Utilities — 0.6%
21,270
Black Hills Corp.
1,258,971
Office REITs — 0.9%
22,050
Cousins Properties, Inc.
675,392
33,593
Kilroy Realty Corp.
1,351,110
 
2,026,502
Oil, Gas & Consumable Fuels
— 11.4%
22,688
Antero Resources Corp. (a)
587,166
66,437
APA Corp.
1,567,913
12,388
California Resources Corp.
643,804
12,478
Chord Energy Corp.
1,560,998
32,071
Civitas Resources, Inc.
1,564,744
49,894
CNX Resources Corp. (a)
1,697,893
19,758
Expand Energy Corp.
1,673,898
36,461
HF Sinclair Corp.
1,407,759
53,237
Magnolia Oil & Gas Corp.,
Class A
1,345,831
32,882
Matador Resources Co.
1,713,481
48,164
Murphy Oil Corp.
1,516,203
178,773
New Fortress Energy, Inc. (b)
1,503,481
45,893
Northern Oil & Gas, Inc.
1,663,621
42,418
Ovintiv, Inc.
1,662,786
52,506
PBF Energy, Inc., Class A
1,497,471
42,264
Range Resources Corp.
1,269,188
40,657
SM Energy Co.
1,706,374
 
24,582,611
Paper & Forest Products —
0.3%
6,049
Louisiana-Pacific Corp.
598,246
Passenger Airlines — 0.5%
21,567
Alaska Air Group, Inc. (a)
1,033,275

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Pharmaceuticals — 1.2%
11,669
Jazz Pharmaceuticals PLC (a)
$1,283,940
50,969
Organon & Co.
957,198
12,391
Perrigo Co. PLC
317,581
 
2,558,719
Professional Services — 2.6%
43,920
Alight, Inc., Class A (a)
304,366
31,708
Concentrix Corp.
1,347,907
28,237
Dun & Bradstreet Holdings, Inc.
335,738
33,156
Genpact Ltd.
1,265,564
3,693
Insperity, Inc.
290,898
8,639
Korn Ferry
610,345
6,977
Maximus, Inc.
603,092
4,821
Robert Half, Inc.
328,358
6,703
TriNet Group, Inc.
569,018
 
5,655,286
Semiconductors &
Semiconductor Equipment
— 0.8%
42,485
Amkor Technology, Inc.
1,081,243
10,142
Diodes, Inc. (a)
593,104
 
1,674,347
Specialized REITs — 0.1%
10,100
Rayonier, Inc.
315,423
Specialty Retail — 6.3%
27,845
Academy Sports & Outdoors,
Inc.
1,416,197
33,343
Advance Auto Parts, Inc.
1,190,012
43,548
American Eagle Outfitters, Inc.
853,105
4,087
Asbury Automotive Group,
Inc. (a)
931,182
5,449
AutoNation, Inc. (a)
847,156
40,728
Bath & Body Works, Inc.
1,155,861
7,357
Five Below, Inc. (a)
697,370
3,394
Group 1 Automotive, Inc.
1,236,502
4,093
Lithia Motors, Inc.
1,360,390
659
Murphy USA, Inc.
321,889
6,003
Penske Automotive Group, Inc.
903,872
12,605
Signet Jewelers Ltd.
1,155,626
42,418
Urban Outfitters, Inc. (a)
1,524,927
 
13,594,089
Textiles, Apparel & Luxury
Goods — 1.5%
7,814
Columbia Sportswear Co.
628,793
16,117
PVH Corp.
1,586,880
9,713
Skechers U.S.A., Inc.,
Class A (a)
596,961
6,918
Tapestry, Inc.
328,259
 
3,140,893
Shares
Description
Value
 
Trading Companies &
Distributors — 4.1%
35,881
Air Lease Corp.
$1,591,322
7,521
Beacon Roofing Supply, Inc. (a)
692,458
9,221
Boise Cascade Co.
1,226,670
10,766
GMS, Inc. (a)
967,756
6,116
Herc Holdings, Inc.
1,279,100
7,553
MSC Industrial Direct Co., Inc.,
Class A
597,216
24,608
Rush Enterprises, Inc., Class A
1,392,321
5,804
WESCO International, Inc.
1,114,194
 
8,861,037
Water Utilities — 0.3%
16,853
Essential Utilities, Inc.
650,526
Total Common Stocks
214,914,155
(Cost $204,570,479)
MONEY MARKET FUNDS — 0.1%
327,353
Dreyfus Government Cash
Management Fund,
Institutional Shares -
4.76% (c)
327,353
(Cost $327,353)

First Trust Mid Cap Value AlphaDEX® Fund (FNK)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.7%
$428,085
Bank of America Corp.,
4.85% (c), dated 10/31/24, due
11/01/24, with a maturity
value of $428,143.
Collateralized by
U.S. Treasury Securities,
interest rates of 0.00% to
2.75%, due 11/15/28 to
02/15/50. The value of the
collateral including accrued
interest is $436,647. (d)
$428,085
1,000,000
JPMorgan Chase & Co.,
4.85% (c), dated 10/31/24, due
11/01/24, with a maturity
value of $1,000,135.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $1,020,000. (d)
1,000,000
Total Repurchase Agreements
1,428,085
(Cost $1,428,085)
Total Investments — 100.7%
216,669,593
(Cost $206,325,917)
Net Other Assets and
Liabilities — (0.7)%
(1,445,907
)
Net Assets — 100.0%
$215,223,686
(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 $1,353,127 and the total value of
the collateral held by the Fund is $1,428,085.
(c)
Rate shown reflects yield as of October 31, 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 October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$214,914,155
$214,914,155
$       
$
Money Market
Funds
    327,353
    327,353
       
Repurchase
Agreements
  1,428,085
         
1,428,085
Total Investments
$216,669,593
$215,241,508
$1,428,085
$
*
See Portfolio of Investments for industry breakout.

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
Aerospace & Defense — 3.8%
10,461
AeroVironment, Inc. (a)
$2,248,697
14,471
BWX Technologies, Inc.
1,761,844
7,976
Curtiss-Wright Corp.
2,751,401
92,902
Leonardo DRS, Inc. (a)
2,793,563
12,978
Moog, Inc., Class A
2,447,651
9,172
Woodward, Inc.
1,505,033
 
13,508,189
Automobile Components —
0.7%
19,743
Modine Manufacturing Co. (a)
2,325,133
Automobiles — 0.1%
148,538
Lucid Group, Inc. (a)
328,269
Banks — 4.9%
41,694
Axos Financial, Inc. (a)
2,823,518
17,655
Commerce Bancshares, Inc.
1,103,438
9,375
Cullen/Frost Bankers, Inc.
1,193,906
25,349
East West Bancorp, Inc.
2,471,274
56,670
First Financial Bankshares, Inc.
2,048,054
58,066
Home BancShares, Inc.
1,584,621
26,309
International Bancshares Corp.
1,611,689
84,299
Old National Bancorp
1,623,599
32,588
ServisFirst Bancshares, Inc.
2,709,366
 
17,169,465
Beverages — 0.6%
1,992
Coca-Cola Consolidated, Inc.
2,239,526
Biotechnology — 4.2%
34,248
Avidity Biosciences, Inc. (a)
1,447,320
11,337
Blueprint Medicines Corp. (a)
992,101
10,261
Crinetics Pharmaceuticals,
Inc. (a)
574,206
80,823
Exelixis, Inc. (a)
2,683,324
36,642
Halozyme Therapeutics, Inc. (a)
1,852,986
21,548
Insmed, Inc. (a)
1,449,749
20,651
Natera, Inc. (a)
2,497,945
23,124
REVOLUTION Medicines,
Inc. (a)
1,237,134
45,437
Roivant Sciences Ltd. (a)
524,797
28,317
Ultragenyx Pharmaceutical,
Inc. (a)
1,443,884
 
14,703,446
Broadline Retail — 0.4%
16,183
Ollie’s Bargain Outlet Holdings,
Inc. (a)
1,486,085
Building Products — 3.1%
11,674
A.O. Smith Corp.
876,717
19,449
AAON, Inc.
2,221,465
10,793
Allegion PLC
1,507,027
11,968
Armstrong World Industries, Inc.
1,670,134
33,612
AZEK (The) Co., Inc. (a)
1,478,928
Shares
Description
Value
 
Building Products (Continued)
7,155
CSW Industrials, Inc.
$2,526,431
2,741
Simpson Manufacturing Co., Inc.
492,804
 
10,773,506
Capital Markets — 5.3%
27,084
Blue Owl Capital, Inc.
605,598
16,394
Cohen & Steers, Inc.
1,619,236
15,569
Hamilton Lane, Inc., Class A
2,796,815
13,273
Houlihan Lokey, Inc.
2,293,176
15,050
Interactive Brokers Group, Inc.,
Class A
2,296,329
10,508
Main Street Capital Corp.
539,481
4,093
MarketAxess Holdings, Inc.
1,184,596
1,643
Morningstar, Inc.
538,986
9,238
Piper Sandler Cos.
2,620,266
36,438
TPG, Inc.
2,466,124
12,720
Tradeweb Markets, Inc., Class A
1,615,440
 
18,576,047
Chemicals — 2.1%
28,977
Axalta Coating Systems Ltd. (a)
1,098,808
5,958
Balchem Corp.
996,952
18,765
Cabot Corp.
2,023,430
19,305
Element Solutions, Inc.
523,165
950
NewMarket Corp.
498,722
24,191
Scotts Miracle-Gro (The) Co.
2,104,133
 
7,245,210
Commercial Services &
Supplies — 2.2%
22,671
Brink’s (The) Co.
2,330,352
10,541
Casella Waste Systems, Inc.,
Class A (a)
1,031,753
6,508
Clean Harbors, Inc. (a)
1,505,040
55,592
Tetra Tech, Inc.
2,717,337
 
7,584,482
Communications Equipment
— 0.5%
7,144
F5, Inc. (a)
1,670,839
Construction & Engineering
— 1.4%
6,716
Comfort Systems USA, Inc.
2,626,225
13,301
Dycom Industries, Inc. (a)
2,318,763
 
4,944,988
Construction Materials —
1.4%
7,291
Eagle Materials, Inc.
2,081,289
29,329
Knife River Corp. (a)
2,854,298
 
4,935,587
Consumer Finance — 1.1%
9,135
FirstCash Holdings, Inc.
945,198
266,840
SoFi Technologies, Inc. (a)
2,980,603
 
3,925,801

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Consumer Staples Distribution
& Retail — 1.5%
51,481
Maplebear, Inc. (a)
$2,270,312
23,745
Sprouts Farmers Market, Inc. (a)
3,049,570
 
5,319,882
Containers & Packaging —
0.6%
6,547
AptarGroup, Inc.
1,099,307
35,440
Graphic Packaging Holding Co.
1,001,534
 
2,100,841
Diversified Consumer Services
— 2.6%
18,709
Bright Horizons Family
Solutions, Inc. (a)
2,497,090
9,296
Duolingo, Inc. (a)
2,723,449
3,696
Grand Canyon Education,
Inc. (a)
506,759
33,003
H&R Block, Inc.
1,971,269
19,929
Service Corp. International
1,627,203
 
9,325,770
Diversified REITs — 0.6%
61,416
Essential Properties Realty Trust,
Inc.
1,946,273
Electrical Equipment — 1.0%
5,712
Acuity Brands, Inc.
1,717,541
116,133
Sunrun, Inc. (a)
1,678,122
 
3,395,663
Electronic Equipment,
Instruments & Components
— 2.7%
9,603
Badger Meter, Inc.
1,921,080
13,430
Belden, Inc.
1,529,274
29,487
Coherent Corp. (a)
2,725,778
24,545
Itron, Inc. (a)
2,743,149
8,445
Trimble, Inc. (a)
510,923
 
9,430,204
Energy Equipment & Services
— 0.6%
26,362
Cactus, Inc., Class A
1,563,003
7,304
Tidewater, Inc. (a)
438,751
 
2,001,754
Entertainment — 0.9%
5,035
Madison Square Garden Sports
Corp. (a)
1,121,294
16,954
TKO Group Holdings, Inc. (a)
1,979,719
 
3,101,013
Financial Services — 3.1%
64,226
Affirm Holdings, Inc. (a)
2,816,310
10,568
Euronet Worldwide, Inc. (a)
1,040,631
Shares
Description
Value
 
Financial Services (Continued)
60,846
HA Sustainable Infrastructure
Capital, Inc.
$2,129,001
29,590
Shift4 Payments, Inc.,
Class A (a)
2,676,120
74,086
Toast, Inc., Class A (a)
2,224,803
 
10,886,865
Food Products — 0.6%
15,335
Freshpet, Inc. (a)
2,032,501
Ground Transportation —
0.1%
41,125
Lyft, Inc., Class A (a)
533,391
Health Care Equipment &
Supplies — 4.3%
8,049
Glaukos Corp. (a)
1,064,480
29,317
Globus Medical, Inc.,
Class A (a)
2,155,972
7,453
Inspire Medical Systems, Inc. (a)
1,453,633
9,011
Insulet Corp. (a)
2,086,317
16,134
Integer Holdings Corp. (a)
2,004,650
23,888
Lantheus Holdings, Inc. (a)
2,623,858
3,933
Masimo Corp. (a)
566,391
21,222
Merit Medical Systems, Inc. (a)
2,093,763
13,359
TransMedics Group, Inc. (a)
1,095,037
 
15,144,101
Health Care Providers &
Services — 4.2%
872
Chemed Corp.
471,089
6,416
CorVel Corp. (a)
1,910,813
15,993
DaVita, Inc. (a)
2,235,982
21,703
Encompass Health Corp.
2,158,581
18,229
Ensign Group (The), Inc.
2,825,313
22,857
Guardant Health, Inc. (a)
500,111
113,863
Hims & Hers Health, Inc. (a)
2,144,040
37,782
RadNet, Inc. (a)
2,457,341
 
14,703,270
Health Care REITs — 1.5%
33,982
CareTrust REIT, Inc.
1,110,192
57,779
Healthcare Realty Trust, Inc.
992,643
38,649
Omega Healthcare Investors, Inc.
1,641,423
84,525
Sabra Health Care REIT, Inc.
1,639,785
 
5,384,043
Hotel & Resort REITs — 0.3%
9,779
Ryman Hospitality Properties,
Inc.
1,046,842
Hotels, Restaurants & Leisure
— 4.6%
21,169
Cava Group, Inc. (a)
2,827,332
4,024
Choice Hotels International,
Inc. (b)
561,388
7,756
Churchill Downs, Inc.
1,086,616

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Hotels, Restaurants & Leisure
(Continued)
3,445
Hyatt Hotels Corp., Class A
$501,075
107,359
Life Time Group Holdings,
Inc. (a)
2,391,958
5,779
Light & Wonder, Inc. (a)
541,955
76,695
Norwegian Cruise Line Holdings
Ltd. (a)
1,943,451
19,367
Planet Fitness, Inc., Class A (a)
1,520,697
11,876
Texas Roadhouse, Inc.
2,269,741
3,781
Wingstop, Inc.
1,087,756
16,406
Wynn Resorts Ltd.
1,575,304
 
16,307,273
Household Durables — 0.5%
8,517
Installed Building Products, Inc.
1,847,337
Independent Power and
Renewable Electricity
Producers — 1.4%
78,416
AES (The) Corp.
1,293,080
13,630
Ormat Technologies, Inc.
1,077,043
14,709
Talen Energy Corp. (a)
2,667,624
 
5,037,747
Industrial REITs — 0.3%
2,807
EastGroup Properties, Inc.
480,783
9,366
First Industrial Realty Trust, Inc.
491,621
 
972,404
Insurance — 1.8%
2,252
Kinsale Capital Group, Inc.
964,104
5,933
Primerica, Inc.
1,642,314
6,766
RLI Corp.
1,055,293
23,693
Ryan Specialty Holdings, Inc.
1,560,658
618
White Mountains Insurance
Group Ltd.
1,110,632
 
6,333,001
Interactive Media & Services
— 0.4%
41,570
Match Group, Inc. (a)
1,497,767
IT Services — 0.1%
22,817
Kyndryl Holdings, Inc. (a)
522,281
Leisure Products — 0.1%
8,225
Acushnet Holdings Corp.
504,193
Life Sciences Tools & Services
— 0.4%
6,560
Bio-Techne Corp.
483,800
7,592
Bruker Corp.
429,783
1,571
Medpace Holdings, Inc. (a)
493,640
 
1,407,223
Machinery — 4.2%
27,289
Allison Transmission Holdings,
Inc.
2,916,103
Shares
Description
Value
 
Machinery (Continued)
4,224
Chart Industries, Inc. (a)
$509,921
7,115
Donaldson Co., Inc.
520,533
9,864
Esab Corp.
1,213,667
22,441
Federal Signal Corp.
1,830,512
30,432
Flowserve Corp.
1,601,941
14,028
ITT, Inc.
1,965,603
4,654
Kadant, Inc.
1,550,061
1,751
RBC Bearings, Inc. (a)
490,893
16,441
SPX Technologies, Inc. (a)
2,359,119
 
14,958,353
Marine Transportation —
0.6%
17,131
Kirby Corp. (a)
1,965,954
Media — 0.4%
28,256
New York Times (The) Co.,
Class A
1,577,815
Metals & Mining — 1.4%
39,182
ATI, Inc. (a)
2,065,283
16,429
Carpenter Technology Corp.
2,456,136
3,737
Royal Gold, Inc.
545,826
 
5,067,245
Mortgage REITs — 0.5%
100,256
AGNC Investment Corp.
933,383
52,251
Annaly Capital Management,
Inc.
993,292
 
1,926,675
Office REITs — 0.6%
30,130
SL Green Realty Corp.
2,278,129
Oil, Gas & Consumable Fuels
— 0.8%
34,840
Antero Midstream Corp.
500,651
13,332
DT Midstream, Inc.
1,201,880
23,247
Viper Energy, Inc.
1,206,519
 
2,909,050
Personal Care Products —
0.6%
25,906
BellRing Brands, Inc. (a)
1,705,392
4,050
Interparfums, Inc.
490,334
 
2,195,726
Pharmaceuticals — 1.7%
17,503
Axsome Therapeutics, Inc. (a)
1,558,292
56,648
Corcept Therapeutics, Inc. (a)
2,774,053
35,694
Elanco Animal Health, Inc. (a)
451,172
14,332
Intra-Cellular Therapies, Inc. (a)
1,214,637
 
5,998,154
Professional Services — 3.7%
5,196
CACI International, Inc.,
Class A (a)
2,871,102
8,560
Dayforce, Inc. (a)
607,332
54,977
ExlService Holdings, Inc. (a)
2,290,891

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Professional Services
(Continued)
9,097
Exponent, Inc.
$858,575
4,609
FTI Consulting, Inc. (a)
899,124
25,286
Parsons Corp. (a)
2,734,934
3,148
Paycom Software, Inc.
658,026
6,357
Paylocity Holding Corp. (a)
1,173,311
37,709
Verra Mobility Corp. (a)
979,303
 
13,072,598
Residential REITs — 0.7%
8,489
Camden Property Trust
982,941
51,155
Independence Realty Trust, Inc.
1,003,661
11,565
UDR, Inc.
487,928
 
2,474,530
Retail REITs — 1.6%
27,842
Agree Realty Corp.
2,067,268
37,641
Brixmor Property Group, Inc.
1,014,425
39,483
Kite Realty Group Trust
1,013,529
10,813
NNN REIT, Inc.
469,717
14,519
Regency Centers Corp.
1,037,237
 
5,602,176
Semiconductors &
Semiconductor Equipment
— 1.5%
12,664
Cirrus Logic, Inc. (a)
1,390,761
51,072
Credo Technology Group
Holding Ltd. (a)
1,925,414
9,687
Impinj, Inc. (a)
1,840,433
 
5,156,608
Software — 9.2%
51,507
ACI Worldwide, Inc. (a)
2,534,144
2,227
Appfolio, Inc., Class A (a)
462,927
2,195
Aspen Technology, Inc. (a)
515,232
354,284
Aurora Innovation, Inc. (a)
1,840,505
12,384
Blackbaud, Inc. (a)
935,116
48,060
Box, Inc., Class A (a)
1,526,386
56,139
Cleanspark, Inc. (a)
595,635
17,041
CommVault Systems, Inc. (a)
2,661,634
25,335
DocuSign, Inc. (a)
1,757,742
41,238
Dropbox, Inc., Class A (a)
1,066,002
29,419
Dynatrace, Inc. (a)
1,582,742
11,465
Guidewire Software, Inc. (a)
2,135,471
32,327
MARA Holdings, Inc. (a)
542,124
8,850
Nutanix, Inc., Class A (a)
549,585
28,696
Pegasystems, Inc.
2,279,610
32,866
Q2 Holdings, Inc. (a)
2,782,436
54,482
Samsara, Inc., Class A (a)
2,603,695
65,762
SentinelOne, Inc., Class A (a)
1,696,002
23,180
Unity Software, Inc. (a)
465,454
Shares
Description
Value
 
Software (Continued)
27,841
Varonis Systems, Inc. (a)
$1,402,351
87,888
Zeta Global Holdings Corp.,
Class A (a)
2,432,740
 
32,367,533
Specialized REITs — 0.6%
19,481
CubeSmart
931,971
7,849
Lamar Advertising Co., Class A
1,036,068
 
1,968,039
Specialty Retail — 2.3%
14,992
Abercrombie & Fitch Co.,
Class A (a)
1,975,796
15,672
Boot Barn Holdings, Inc. (a)
1,951,948
7,537
Dick’s Sporting Goods, Inc.
1,475,368
8,445
Floor & Decor Holdings, Inc.,
Class A (a)
870,257
45,734
GameStop Corp., Class A (a)
1,014,380
47,559
Gap (The), Inc.
987,800
 
8,275,549
Textiles, Apparel & Luxury
Goods — 1.7%
10,863
Crocs, Inc. (a)
1,171,249
32,058
Kontoor Brands, Inc.
2,745,126
10,818
Ralph Lauren Corp.
2,141,207
 
6,057,582
Trading Companies &
Distributors — 1.7%
9,400
Applied Industrial Technologies,
Inc.
2,176,946
11,810
Core & Main, Inc., Class A (a)
522,947
19,727
FTAI Aviation Ltd.
2,652,098
3,959
GATX Corp.
545,392
 
5,897,383
Total Common Stocks
351,947,311
(Cost $304,082,794)
MONEY MARKET FUNDS — 0.2%
706,616
Dreyfus Government Cash
Management Fund,
Institutional Shares -
4.76% (c)
706,616
(Cost $706,616)

First Trust Mid Cap Growth AlphaDEX® Fund (FNY)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 0.2%
$529,871
JPMorgan Chase & Co.,
4.85% (c), dated 10/31/24, due
11/01/24, with a maturity
value of $529,942.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $540,468. (d)
$529,871
(Cost $529,871)
Total Investments — 100.2%
353,183,798
(Cost $305,319,281)
Net Other Assets and
Liabilities — (0.2)%
(680,720
)
Net Assets — 100.0%
$352,503,078
(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 $505,166 and the total value of the
collateral held by the Fund is $529,871.
(c)
Rate shown reflects yield as of October 31, 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 October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$351,947,311
$351,947,311
$     
$
Money Market
Funds
    706,616
    706,616
     
Repurchase
Agreements
    529,871
         
529,871
Total Investments
$353,183,798
$352,653,927
$529,871
$
*
See Portfolio of Investments for industry breakout.

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
Aerospace & Defense — 0.1%
3,243
AAR Corp. (a)
$190,364
Air Freight & Logistics —
0.4%
13,991
Hub Group, Inc., Class A
607,069
Automobile Components —
3.7%
38,287
Adient PLC (a)
747,745
81,832
Dana, Inc.
627,651
10,411
Fox Factory Holding Corp. (a)
374,692
9,282
Gentherm, Inc. (a)
389,380
122,055
Goodyear Tire & Rubber (The)
Co. (a)
977,661
3,584
LCI Industries
398,828
3,035
Patrick Industries, Inc.
382,349
18,773
Phinia, Inc.
874,446
11,342
Visteon Corp. (a)
1,023,615
4,887
XPEL, Inc. (a) (b)
188,492
 
5,984,859
Automobiles — 0.4%
10,943
Winnebago Industries, Inc.
613,246
Banks — 16.1%
10,619
1st Source Corp.
628,963
20,059
Associated Banc-Corp.
476,201
17,450
BankUnited, Inc.
616,683
10,676
Banner Corp.
683,691
7,871
Berkshire Hills Bancorp, Inc.
214,327
32,281
Byline Bancorp Inc.
868,682
14,805
Cathay General Bancorp
680,734
3,650
Community Financial System,
Inc.
223,161
23,255
Customers Bancorp, Inc. (a)
1,072,753
35,684
CVB Financial Corp.
693,340
52,725
Eastern Bankshares, Inc.
860,999
12,406
Enterprise Financial Services
Corp.
654,044
4,517
FB Financial Corp.
222,236
10,389
First Bancorp
433,221
24,438
First Busey Corp.
594,088
37,078
First Commonwealth Financial
Corp.
609,562
34,251
First Financial Bancorp
876,141
18,664
First Hawaiian, Inc.
461,747
20,726
First Interstate BancSystem, Inc.,
Class A
638,361
17,094
First Merchants Corp.
633,333
35,074
Fulton Financial Corp.
635,190
13,436
Hilltop Holdings, Inc.
411,545
50,628
Hope Bancorp, Inc.
627,281
14,614
Independent Bank Corp.
919,221
4,792
NBT Bancorp, Inc.
213,148
Shares
Description
Value
 
Banks (Continued)
4,518
Nicolet Bankshares, Inc.
$459,436
32,293
Northwest Bancshares, Inc.
429,174
9,619
OFG Bancorp
387,357
8,425
Pacific Premier Bancorp, Inc.
214,922
9,633
Pathward Financial, Inc.
681,631
28,719
Peoples Bancorp, Inc.
883,971
7,924
Preferred Bank
668,548
11,421
Provident Financial Services,
Inc.
213,344
19,565
Renasant Corp.
667,362
10,295
S&T Bancorp, Inc.
391,004
20,271
Sandy Spring Bancorp, Inc.
681,917
16,213
Seacoast Banking Corp. of
Florida
432,887
29,521
Simmons First National Corp.,
Class A
684,887
2,966
Texas Capital Bancshares,
Inc. (a)
228,234
13,070
TowneBank
425,036
14,910
TriCo Bancshares
637,104
27,158
Trustmark Corp.
942,926
24,160
Veritex Holdings, Inc.
652,320
12,398
WaFd, Inc.
421,284
21,353
WesBanco, Inc.
671,552
12,471
WSFS Financial Corp.
613,199
 
26,336,747
Beverages — 0.3%
733
Boston Beer (The) Co., Inc.,
Class A (a)
213,354
5,190
MGP Ingredients, Inc.
249,328
 
462,682
Broadline Retail — 0.6%
51,194
Kohl’s Corp. (c)
946,065
Building Products — 2.3%
9,247
American Woodmark Corp. (a)
838,795
6,179
Gibraltar Industries, Inc. (a)
417,021
13,817
Hayward Holdings, Inc. (a)
224,664
46,610
Masterbrand, Inc. (a)
837,116
22,914
Quanex Building Products Corp.
665,881
42,908
Resideo Technologies, Inc. (a)
844,000
 
3,827,477
Capital Markets — 1.9%
76,447
DigitalBridge Group, Inc.
1,199,454
6,563
Donnelley Financial Solutions,
Inc. (a)
382,885
11,751
Federated Hermes, Inc.
471,568
5,277
StoneX Group, Inc. (a)
475,141
3,036
Virtus Investment Partners, Inc.
656,899
 
3,185,947

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Chemicals — 2.2%
10,431
Chemours (The) Co.
$189,427
157,692
Ecovyst, Inc. (a)
1,050,229
3,820
Innospec, Inc.
411,719
5,594
Minerals Technologies, Inc.
421,172
48,521
Orion S.A.
727,330
2,564
Quaker Chemical Corp.
388,651
5,593
Stepan Co.
404,598
 
3,593,126
Commercial Services &
Supplies — 3.4%
8,190
ABM Industries, Inc.
434,561
54,902
BrightView Holdings, Inc. (a)
899,295
85,391
CoreCivic, Inc. (a)
1,179,250
33,625
GEO Group (The), Inc. (a)
510,428
34,901
MillerKnoll, Inc.
780,386
25,597
OPENLANE, Inc. (a)
404,433
3,201
UniFirst Corp.
575,572
57,997
Vestis Corp.
784,119
 
5,568,044
Communications Equipment
— 0.4%
72,375
Viasat, Inc. (a)
694,800
Construction & Engineering
— 0.2%
2,073
MYR Group, Inc. (a)
271,563
Consumer Finance — 2.1%
22,703
Bread Financial Holdings, Inc.
1,131,745
37,802
LendingClub Corp. (a)
536,032
55,430
Navient Corp.
788,769
1,871
Nelnet, Inc., Class A
210,862
17,821
PROG Holdings, Inc.
778,243
 
3,445,651
Consumer Staples Distribution
& Retail — 2.0%
17,234
Andersons (The), Inc.
782,423
24,619
Grocery Outlet Holding
Corp. (a)
352,052
14,480
Ingles Markets, Inc., Class A
924,693
4,708
PriceSmart, Inc.
391,141
12,536
Weis Markets, Inc.
788,389
 
3,238,698
Containers & Packaging —
1.2%
17,238
Greif, Inc., Class A
1,076,341
16,156
O-I Glass, Inc. (a)
179,493
55,246
Pactiv Evergreen, Inc.
626,490
 
1,882,324
Shares
Description
Value
 
Diversified Consumer Services
— 1.6%
1,052
Graham Holdings Co., Class B
$887,151
38,283
Laureate Education, Inc.
657,702
32,559
Mister Car Wash, Inc. (a)
244,518
38,856
Perdoceo Education Corp.
868,432
 
2,657,803
Diversified REITs — 0.7%
22,504
Alexander & Baldwin, Inc.
418,799
45,601
Broadstone Net Lease, Inc.
802,122
 
1,220,921
Diversified Telecommunication
Services — 0.8%
91,059
Liberty Latin America Ltd.,
Class C (a)
881,451
30,622
Shenandoah
Telecommunications Co.
423,809
 
1,305,260
Electrical Equipment — 0.1%
37,783
Shoals Technologies Group, Inc.,
Class A (a)
204,406
Electronic Equipment,
Instruments & Components
— 2.8%
9,749
Benchmark Electronics, Inc.
422,132
7,702
Crane NXT Co.
417,988
2,156
ePlus, Inc. (a)
191,776
8,556
IPG Photonics Corp. (a)
692,694
2,810
PC Connection, Inc.
178,856
3,823
Rogers Corp. (a)
383,370
17,992
ScanSource, Inc. (a)
763,041
23,676
TTM Technologies, Inc. (a)
531,289
57,123
Vishay Intertechnology, Inc.
968,806
 
4,549,952
Energy Equipment & Services
— 0.6%
169,842
RPC, Inc.
964,703
Entertainment — 0.1%
4,797
Sphere Entertainment Co. (a)
200,563
Financial Services — 0.1%
6,254
EVERTEC, Inc.
204,881
Food Products — 1.1%
7,175
Fresh Del Monte Produce, Inc.
230,389
344
Seaboard Corp.
951,508
37,165
WK Kellogg Co.
618,054
 
1,799,951
Gas Utilities — 0.5%
21,170
Northwest Natural Holding Co.
823,301
Ground Transportation —
2.9%
5,864
ArcBest Corp.
610,912

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Ground Transportation
(Continued)
4,933
Avis Budget Group, Inc.
$409,439
327,331
Hertz Global Holdings,
Inc. (a) (c)
909,980
35,926
Marten Transport Ltd.
556,135
22,281
Schneider National, Inc., Class B
630,107
25,056
Universal Logistics Holdings,
Inc.
1,053,354
16,478
Werner Enterprises, Inc.
607,873
 
4,777,800
Health Care Equipment &
Supplies — 1.1%
17,980
Avanos Medical, Inc. (a)
335,866
2,948
CONMED Corp.
201,171
10,036
Enovis Corp. (a)
414,186
47,559
Integra LifeSciences Holdings
Corp. (a)
892,207
 
1,843,430
Health Care Providers &
Services — 2.0%
20,386
AMN Healthcare Services,
Inc. (a)
773,445
40,529
Owens & Minor, Inc. (a)
515,124
39,567
Patterson Cos., Inc.
831,303
54,010
Premier, Inc., Class A
1,088,301
 
3,208,173
Hotel & Resort REITs — 3.8%
72,741
Apple Hospitality REIT, Inc.
1,074,384
98,986
DiamondRock Hospitality Co.
848,310
76,609
Park Hotels & Resorts, Inc.
1,064,099
48,064
Pebblebrook Hotel Trust
575,807
117,668
RLJ Lodging Trust
1,041,362
104,670
Sunstone Hotel Investors, Inc.
1,056,120
43,052
Xenia Hotels & Resorts, Inc.
610,047
 
6,270,129
Hotels, Restaurants & Leisure
— 1.5%
12,823
Bloomin’ Brands, Inc.
212,734
11,760
Marriott Vacations Worldwide
Corp.
905,873
8,022
Monarch Casino & Resort, Inc.
629,807
82,050
Playa Hotels & Resorts N.V. (a)
697,425
 
2,445,839
Household Durables — 3.4%
495
Cavco Industries, Inc. (a)
202,849
10,489
Century Communities, Inc.
929,955
17,561
Dream Finders Homes, Inc.,
Class A (a)
524,196
7,613
Green Brick Partners, Inc. (a)
525,373
17,465
Helen of Troy Ltd. (a)
1,111,647
Shares
Description
Value
 
Household Durables
(Continued)
5,285
Hovnanian Enterprises, Inc.,
Class A (a)
$930,371
20,129
La-Z-Boy, Inc.
765,909
5,365
LGI Homes, Inc. (a)
544,869
 
5,535,169
Household Products — 0.9%
27,521
Central Garden & Pet Co.,
Class A (d)
801,962
6,683
Spectrum Brands Holdings, Inc.
598,930
 
1,400,892
Independent Power and
Renewable Electricity
Producers — 0.1%
6,909
Clearway Energy, Inc., Class C
196,077
Industrial REITs — 0.1%
21,090
LXP Industrial Trust
199,090
Insurance — 2.1%
4,707
Brighthouse Financial, Inc. (a)
222,641
22,518
Employers Holdings, Inc.
1,097,077
30,944
Genworth Financial, Inc. (a)
208,562
12,362
Horace Mann Educators Corp.
460,361
2,592
Safety Insurance Group, Inc.
202,863
75,327
SiriusPoint Ltd. (a)
989,797
2,837
Stewart Information Services
Corp.
195,186
 
3,376,487
Interactive Media & Services
— 1.7%
169,308
Bumble, Inc., Class A (a)
1,198,701
55,633
Getty Images Holdings, Inc. (a)
230,877
17,978
Shutterstock, Inc.
576,914
17,759
Ziff Davis, Inc. (a)
821,709
 
2,828,201
Leisure Products — 0.7%
78,703
Topgolf Callaway Brands
Corp. (a)
764,206
10,530
YETI Holdings, Inc. (a)
370,761
 
1,134,967
Machinery — 4.0%
3,530
Alamo Group, Inc.
598,476
2,386
Albany International Corp.,
Class A
162,057
24,004
Columbus McKinnon Corp.
763,567
21,226
Greenbrier (The) Cos., Inc.
1,258,065
4,443
Helios Technologies, Inc.
204,956
13,551
Hyster-Yale, Inc.
860,082
10,965
John Bean Technologies Corp.
1,221,720

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Machinery (Continued)
41,658
Kennametal, Inc.
$1,054,781
3,466
Lindsay Corp.
414,880
 
6,538,584
Media — 1.3%
3,088
Cable One, Inc.
1,054,737
68,453
TEGNA, Inc.
1,124,683
 
2,179,420
Metals & Mining — 1.1%
8,768
Kaiser Aluminum Corp.
651,111
1,895
Materion Corp.
192,589
25,408
Worthington Steel, Inc.
971,602
 
1,815,302
Mortgage REITs — 2.5%
47,016
Apollo Commercial Real Estate
Finance, Inc.
417,972
55,537
Arbor Realty Trust, Inc. (c)
818,615
68,237
Chimera Investment Corp.
1,030,379
28,299
Claros Mortgage Trust, Inc.
178,001
74,496
Ladder Capital Corp.
849,999
49,990
MFA Financial, Inc.
614,377
27,780
Ready Capital Corp.
190,293
 
4,099,636
Multi-Utilities — 1.1%
27,876
Avista Corp.
1,044,792
15,102
Northwestern Energy Group,
Inc.
807,353
 
1,852,145
Office REITs — 1.7%
12,064
Douglas Emmett, Inc.
214,619
31,817
Easterly Government Properties,
Inc.
431,438
43,425
Equity Commonwealth (a)
859,381
25,788
Highwoods Properties, Inc.
864,929
12,126
JBG SMITH Properties
206,142
43,082
Paramount Group, Inc.
208,948
 
2,785,457
Oil, Gas & Consumable Fuels
— 6.1%
57,132
Comstock Resources, Inc. (c)
660,446
78,918
Crescent Energy Co., Class A
980,951
46,904
CVR Energy, Inc.
745,774
23,044
Delek US Holdings, Inc.
361,099
15,654
Green Plains, Inc. (a)
191,448
7,137
Gulfport Energy Corp. (a)
988,046
268,038
Kosmos Energy Ltd. (a)
1,007,823
61,375
Par Pacific Holdings, Inc. (a)
948,244
40,701
Peabody Energy Corp.
1,069,215
104,366
Talos Energy, Inc. (a)
1,066,621
Shares
Description
Value
 
Oil, Gas & Consumable Fuels
(Continued)
40,156
Vital Energy, Inc. (a)
$1,095,054
34,946
World Kinect Corp.
913,838
 
10,028,559
Personal Care Products —
1.0%
29,725
Edgewell Personal Care Co.
1,038,889
60,094
Herbalife Ltd. (a)
453,709
90,196
Olaplex Holdings, Inc. (a)
160,549
 
1,653,147
Pharmaceuticals — 0.9%
55,940
Innoviva, Inc. (a)
1,094,186
5,993
Prestige Consumer Healthcare,
Inc. (a)
441,984
 
1,536,170
Professional Services — 0.7%
8,881
CSG Systems International, Inc.
413,943
3,449
Kforce, Inc.
199,318
9,071
NV5 Global, Inc. (a)
207,272
20,283
Upwork, Inc. (a)
275,038
 
1,095,571
Real Estate Management &
Development — 0.8%
33,370
Forestar Group, Inc. (a)
1,053,491
13,648
Newmark Group, Inc., Class A
204,583
 
1,258,074
Retail REITs — 0.3%
7,472
InvenTrust Properties Corp.
220,050
13,475
Retail Opportunity Investments
Corp.
208,863
 
428,913
Semiconductors &
Semiconductor Equipment
— 0.8%
43,627
Photronics, Inc. (a)
994,696
5,570
Synaptics, Inc. (a)
382,492
 
1,377,188
Software — 1.1%
36,278
Adeia, Inc.
450,935
145,578
Riot Platforms, Inc. (a)
1,345,141
 
1,796,076
Specialty Retail — 3.7%
14,462
Buckle (The), Inc.
615,503
32,683
Caleres, Inc.
975,588
53,660
Guess?, Inc.
911,683
14,524
ODP (The) Corp. (a)
450,680
63,681
Sally Beauty Holdings, Inc. (a)
827,853
14,501
Shoe Carnival, Inc.
496,949
14,777
Sonic Automotive, Inc., Class A
838,299

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Specialty Retail (Continued)
6,625
Upbound Group, Inc.
$193,715
24,742
Victoria’s Secret & Co. (a)
748,693
 
6,058,963
Technology Hardware, Storage
& Peripherals — 1.1%
24,187
Diebold Nixdorf, Inc. (a)
1,119,374
83,252
Xerox Holdings Corp.
680,169
 
1,799,543
Textiles, Apparel & Luxury
Goods — 1.2%
9,786
Carter’s, Inc.
535,294
35,393
G-III Apparel Group Ltd. (a)
1,071,700
2,443
Oxford Industries, Inc.
177,411
4,327
Steven Madden Ltd.
194,585
 
1,978,990
Tobacco — 0.6%
20,339
Universal Corp.
1,035,662
Trading Companies &
Distributors — 1.8%
250,479
Custom Truck One Source,
Inc. (a)
1,024,459
83,541
DNOW, Inc. (a)
988,290
6,240
Global Industrial Co.
165,547
67,830
MRC Global, Inc. (a)
831,596
 
3,009,892
Water Utilities — 0.5%
3,249
Middlesex Water Co.
198,806
10,943
SJW Group
609,088
 
807,894
Wireless Telecommunication
Services — 1.5%
60,177
Gogo, Inc. (a)
394,159
37,168
Telephone and Data Systems,
Inc.
1,105,748
15,813
United States Cellular Corp. (a)
975,662
 
2,475,569
Total Common Stocks
163,607,412
(Cost $163,990,032)
MONEY MARKET FUNDS — 0.2%
341,169
Dreyfus Government Cash
Management Fund,
Institutional Shares -
4.76% (e)
341,169
(Cost $341,169)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 1.2%
$981,067
Bank of America Corp.,
4.85% (e), dated 10/31/24, due
11/01/24, with a maturity
value of $981,199.
Collateralized by
U.S. Treasury Securities,
interest rates of 0.00% to
2.75%, due 11/15/28 to
02/15/50. The value of the
collateral including accrued
interest is $1,000,688. (f)
$981,067
1,021,110
JPMorgan Chase & Co.,
4.85% (e), dated 10/31/24, due
11/01/24, with a maturity
value of $1,021,248.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $1,041,532. (f)
1,021,110
Total Repurchase Agreements
2,002,177
(Cost $2,002,177)
Total Investments — 101.2%
165,950,758
(Cost $166,333,378)
Net Other Assets and
Liabilities — (1.2)%
(2,032,654
)
Net Assets — 100.0%
$163,918,104
(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 $1,870,546 and the total value of
the collateral held by the Fund is $2,002,177.
(d)
Non-income producing security which makes payment-in-
kind distributions.
(e)
Rate shown reflects yield as of October 31, 2024.
(f)
This security serves as collateral for securities on loan.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

First Trust Small Cap Value AlphaDEX® Fund (FYT)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$163,607,412
$163,607,412
$       
$
Money Market
Funds
    341,169
    341,169
       
Repurchase
Agreements
  2,002,177
         
2,002,177
Total Investments
$165,950,758
$163,948,581
$2,002,177
$
*
See Portfolio of Investments for industry breakout.

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 1.4%
23,258
Cadre Holdings, Inc.
$808,681
55,750
Kratos Defense & Security
Solutions, Inc. (a)
1,266,640
226,786
Rocket Lab USA, Inc. (a)
2,426,610
33,591
Triumph Group, Inc. (a)
464,899
 
4,966,830
Automobile Components —
0.7%
15,606
Dorman Products, Inc. (a)
1,779,552
107,903
Garrett Motion, Inc. (a)
801,719
 
2,581,271
Banks — 5.7%
59,921
Banc of California, Inc.
920,387
12,343
BancFirst Corp.
1,341,807
41,244
Bancorp (The), Inc. (a)
2,072,923
11,066
City Holding Co.
1,290,296
83,387
First BanCorp
1,607,701
33,521
German American Bancorp, Inc.
1,357,265
13,555
Lakeland Financial Corp.
882,024
41,931
National Bank Holdings Corp.,
Class A
1,885,218
10,509
Park National Corp.
1,815,745
29,808
QCR Holdings, Inc.
2,357,813
68,184
Stellar Bancorp, Inc.
1,855,968
28,477
Stock Yards Bancorp, Inc.
1,836,197
8,761
Westamerica BanCorp
451,367
 
19,674,711
Beverages — 0.1%
15,294
Vita Coco (The) Co., Inc. (a)
452,855
Biotechnology — 12.2%
28,154
ACADIA Pharmaceuticals,
Inc. (a)
410,767
110,386
ADMA Biologics, Inc. (a)
1,800,396
39,732
Agios Pharmaceuticals, Inc. (a)
1,765,293
40,543
Amicus Therapeutics, Inc. (a)
463,001
26,423
Arcellx, Inc. (a)
2,226,666
94,909
Arcutis Biotherapeutics, Inc. (a)
788,694
128,104
Ardelyx, Inc. (a)
751,971
17,673
Beam Therapeutics, Inc. (a)
387,215
232,276
BioCryst Pharmaceuticals,
Inc. (a)
1,860,531
88,798
Catalyst Pharmaceuticals,
Inc. (a)
1,935,796
12,739
Celldex Therapeutics, Inc. (a)
331,978
30,301
Denali Therapeutics, Inc. (a)
786,614
388,831
Geron Corp. (a)
1,598,095
162,252
Humacyte, Inc. (a) (b)
819,373
116,398
ImmunityBio, Inc. (a) (b)
606,434
138,339
Iovance Biotherapeutics, Inc. (a)
1,444,259
38,858
Janux Therapeutics, Inc. (a)
2,097,943
Shares
Description
Value
 
Biotechnology (Continued)
46,621
Kymera Therapeutics, Inc. (a)
$2,152,492
280,651
MannKind Corp. (a)
1,984,203
45,264
Mirum Pharmaceuticals, Inc. (a)
1,740,853
47,426
Myriad Genetics, Inc. (a)
1,041,475
102,850
Novavax, Inc. (a) (b)
988,389
57,811
Nurix Therapeutics, Inc. (a)
1,420,994
49,035
Protagonist Therapeutics, Inc. (a)
2,247,764
47,583
PTC Therapeutics, Inc. (a)
1,899,513
61,158
Relay Therapeutics, Inc. (a)
344,625
42,119
Rhythm Pharmaceuticals, Inc. (a)
2,010,340
14,722
Spyre Therapeutics, Inc. (a)
478,907
94,339
TG Therapeutics, Inc. (a)
2,364,135
28,751
Twist Bioscience Corp. (a)
1,160,390
64,824
Veracyte, Inc. (a)
2,187,162
 
42,096,268
Building Products — 1.6%
18,552
Apogee Enterprises, Inc.
1,388,432
15,724
AZZ, Inc.
1,197,854
18,558
Griffon Corp.
1,166,927
25,710
Tecnoglass, Inc.
1,761,906
 
5,515,119
Capital Markets — 2.8%
9,995
Artisan Partners Asset
Management, Inc., Class A
440,780
141,503
BGC Group, Inc., Class A
1,325,883
16,549
PJT Partners, Inc., Class A
2,299,649
38,829
StepStone Group, Inc., Class A
2,334,788
31,865
Victory Capital Holdings, Inc.,
Class A
1,909,669
130,029
WisdomTree, Inc.
1,345,800
 
9,656,569
Chemicals — 1.8%
79,690
Aspen Aerogels, Inc. (a)
1,421,670
17,310
Hawkins, Inc.
1,850,439
164,061
Perimeter Solutions S.A. (a)
2,178,730
11,002
Sensient Technologies Corp.
830,431
 
6,281,270
Commercial Services &
Supplies — 2.5%
43,416
ACV Auctions, Inc., Class A (a)
750,663
16,951
Brady Corp., Class A
1,205,894
10,775
Cimpress PLC (a)
743,583
61,853
Driven Brands Holdings, Inc. (a)
918,517
40,985
HNI Corp.
2,019,741
309,484
Pitney Bowes, Inc.
2,231,379
65,431
Steelcase, Inc., Class A
787,135
 
8,656,912

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Communications Equipment
— 0.7%
89,156
Harmonic, Inc. (a)
$988,740
20,494
Lumentum Holdings, Inc. (a)
1,308,952
 
2,297,692
Construction & Engineering
— 3.5%
31,613
Construction Partners, Inc.,
Class A (a)
2,488,891
27,833
Granite Construction, Inc.
2,339,364
11,054
IES Holdings, Inc. (a)
2,417,123
37,994
Primoris Services Corp.
2,379,184
15,217
Sterling Infrastructure, Inc. (a)
2,350,266
 
11,974,828
Construction Materials —
0.6%
18,075
United States Lime & Minerals,
Inc.
2,038,499
Consumer Finance — 0.7%
26,335
Enova International, Inc. (a)
2,288,775
Consumer Staples Distribution
& Retail — 0.6%
52,526
Chefs’ Warehouse (The), Inc. (a)
2,096,838
Diversified Consumer Services
— 2.7%
29,234
Adtalem Global Education,
Inc. (a)
2,365,615
45,980
Frontdoor, Inc. (a)
2,284,746
106,923
OneSpaWorld Holdings Ltd.
1,872,222
4,678
Strategic Education, Inc.
406,799
25,866
Stride, Inc. (a)
2,412,781
 
9,342,163
Diversified REITs — 0.8%
48,615
American Assets Trust, Inc.
1,310,174
117,238
Empire State Realty Trust, Inc.,
Class A
1,242,723
51,425
Global Net Lease, Inc.
400,601
 
2,953,498
Diversified Telecommunication
Services — 1.1%
67,507
AST SpaceMobile, Inc. (a)
1,607,342
23,252
Cogent Communications
Holdings, Inc.
1,866,438
14,220
Iridium Communications, Inc.
417,072
 
3,890,852
Electric Utilities — 0.2%
9,652
MGE Energy, Inc.
873,409
Electrical Equipment — 1.3%
46,358
Enovix Corp. (a) (b)
417,454
57,199
Fluence Energy, Inc. (a) (b)
1,244,078
Shares
Description
Value
 
Electrical Equipment
(Continued)
9,940
Powell Industries, Inc.
$2,534,501
14,511
Thermon Group Holdings,
Inc. (a)
380,334
 
4,576,367
Electronic Equipment,
Instruments & Components
— 1.3%
35,754
Arlo Technologies, Inc. (a)
363,261
8,950
CTS Corp.
442,935
72,047
Knowles Corp. (a)
1,247,854
39,115
Mirion Technologies, Inc. (a)
578,902
10,702
Napco Security Technologies,
Inc.
411,813
8,556
OSI Systems, Inc. (a)
1,131,189
8,313
PAR Technology Corp. (a)
490,384
 
4,666,338
Energy Equipment & Services
— 1.9%
43,609
Archrock, Inc.
873,052
40,488
Atlas Energy Solutions, Inc. (b)
792,350
23,367
Core Laboratories, Inc.
441,636
25,218
Expro Group Holdings N.V. (a)
321,530
79,518
Helix Energy Solutions Group,
Inc. (a)
735,541
30,435
Kodiak Gas Services, Inc.
970,268
52,232
Oceaneering International,
Inc. (a)
1,274,461
116,711
Select Water Solutions, Inc.
1,237,137
 
6,645,975
Entertainment — 1.4%
95,163
AMC Entertainment Holdings,
Inc., Class A (a) (b)
417,766
10,879
Atlanta Braves Holdings, Inc.,
Class C (a)
429,829
79,260
Cinemark Holdings, Inc. (a)
2,357,985
41,507
Madison Square Garden
Entertainment Corp. (a)
1,731,257
 
4,936,837
Financial Services — 2.0%
4,710
Federal Agricultural Mortgage
Corp., Class C
863,202
39,263
Merchants Bancorp
1,450,375
42,858
NMI Holdings, Inc. (a)
1,657,748
293,044
Payoneer Global, Inc. (a)
2,526,039
32,338
Remitly Global, Inc. (a)
581,437
 
7,078,801
Food Products — 1.6%
23,588
Cal-Maine Foods, Inc.
2,070,555
5,128
J & J Snack Foods Corp.
841,607

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Food Products (Continued)
12,453
Simply Good Foods (The)
Co. (a)
$419,168
13,980
Tootsie Roll Industries, Inc.
407,797
50,336
Vital Farms, Inc. (a)
1,745,652
 
5,484,779
Gas Utilities — 0.2%
7,108
Chesapeake Utilities Corp.
851,467
Health Care Equipment &
Supplies — 2.7%
66,314
Artivion, Inc. (a)
1,746,048
19,003
LeMaitre Vascular, Inc.
1,679,675
27,541
PROCEPT BioRobotics
Corp. (a)
2,478,690
17,856
RxSight, Inc. (a)
904,585
30,629
Tandem Diabetes Care, Inc. (a)
960,832
5,574
UFP Technologies, Inc. (a)
1,488,258
 
9,258,088
Health Care Providers &
Services — 3.3%
9,765
Addus HomeCare Corp. (a)
1,214,961
186,684
Alignment Healthcare, Inc. (a)
2,314,882
38,085
Astrana Health, Inc. (a)
2,048,211
191,309
Brookdale Senior Living, Inc. (a)
1,199,508
252,186
LifeStance Health Group,
Inc. (a)
1,692,168
17,546
National HealthCare Corp.
2,035,862
59,839
NeoGenomics, Inc. (a)
813,212
 
11,318,804
Health Care REITs — 0.5%
11,802
LTC Properties, Inc.
450,836
15,453
National Health Investors, Inc.
1,184,473
 
1,635,309
Health Care Technology —
1.2%
50,646
Doximity, Inc., Class A (a)
2,113,964
62,422
Evolent Health, Inc., Class A (a)
1,457,554
38,729
Phreesia, Inc. (a)
708,353
 
4,279,871
Hotels, Restaurants & Leisure
— 4.1%
28,833
Brinker International, Inc. (a)
2,961,437
32,033
Cheesecake Factory (The), Inc.
1,480,565
12,717
Dave & Buster’s Entertainment,
Inc. (a)
469,639
168,919
Global Business Travel Group
I (a)
1,288,852
8,037
Papa John’s International, Inc.
421,058
7,954
Red Rock Resorts, Inc., Class A
409,313
481,006
Sabre Corp. (a)
1,539,219
Shares
Description
Value
 
Hotels, Restaurants & Leisure
(Continued)
12,585
Shake Shack, Inc., Class A (a)
$1,531,217
62,245
Sweetgreen, Inc., Class A (a)
2,247,045
19,155
Travel + Leisure Co.
915,801
8,557
United Parks & Resorts, Inc. (a)
450,355
24,715
Wendy’s (The) Co.
472,304
 
14,186,805
Household Products — 0.3%
3,423
WD-40 Co.
897,066
Industrial REITs — 0.4%
9,651
Innovative Industrial Properties,
Inc.
1,246,813
Insurance — 4.8%
44,309
Baldwin Insurance Group (The),
Inc. (a)
2,049,734
19,769
Goosehead Insurance, Inc.,
Class A (a)
2,152,844
78,774
Lemonade, Inc. (a) (b)
1,872,458
35,037
Mercury General Corp.
2,369,552
104,037
Oscar Health, Inc., Class A (a)
1,747,822
18,648
Palomar Holdings, Inc. (a)
1,674,031
43,341
Skyward Specialty Insurance
Group, Inc. (a)
1,916,106
52,563
Trupanion, Inc. (a)
2,879,401
 
16,661,948
Interactive Media & Services
— 0.6%
43,256
Cargurus, Inc. (a)
1,341,801
25,835
Cars.com, Inc. (a)
413,102
12,344
Yelp, Inc. (a)
421,424
 
2,176,327
IT Services — 0.4%
32,162
DigitalOcean Holdings, Inc. (a)
1,272,972
Leisure Products — 0.7%
277,563
Peloton Interactive, Inc.,
Class A (a)
2,359,286
Life Sciences Tools & Services
— 0.5%
8,938
Azenta, Inc. (a)
367,262
51,877
BioLife Solutions, Inc. (a)
1,213,922
1,080
OmniAb, Inc. - 12.5 Earnout
Shares (a) (c) (d) (e) (f)
0
1,080
OmniAb, Inc. - 15 Earnout
Shares (a) (c) (d) (e) (f)
0
 
1,581,184
Machinery — 3.9%
47,037
Atmus Filtration Technologies,
Inc.
1,831,621
36,808
Blue Bird Corp. (a)
1,549,985
21,071
Enerpac Tool Group Corp.
929,652

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Machinery (Continued)
10,071
ESCO Technologies, Inc.
$1,264,313
81,351
Mueller Water Products, Inc.,
Class A
1,756,368
78,640
REV Group, Inc.
2,083,960
4,829
Standex International Corp.
887,957
17,753
Symbotic, Inc. (a) (b)
493,356
4,507
Tennant Co.
394,633
63,336
Trinity Industries, Inc.
2,171,158
 
13,363,003
Media — 1.6%
88,905
EchoStar Corp., Class A (a)
2,227,959
81,651
Integral Ad Science Holding
Corp. (a)
966,748
26,921
John Wiley & Sons, Inc.,
Class A
1,327,205
93,789
Magnite, Inc. (a)
1,170,487
 
5,692,399
Metals & Mining — 1.0%
80,037
Century Aluminum Co. (a)
1,412,653
320,730
Coeur Mining, Inc. (a)
2,065,501
 
3,478,154
Mortgage REITs — 0.9%
22,777
Blackstone Mortgage Trust, Inc.,
Class A
414,769
33,153
Franklin BSP Realty Trust, Inc.
431,321
91,092
PennyMac Mortgage Investment
Trust
1,227,920
93,586
Two Harbors Investment Corp.
1,076,239
 
3,150,249
Office REITs — 0.3%
29,102
COPT Defense Properties
937,084
Oil, Gas & Consumable Fuels
— 1.1%
72,895
Calumet, Inc. (a)
1,554,851
8,435
CONSOL Energy, Inc.
935,610
12,579
Dorian LPG Ltd.
362,904
19,502
Kinetik Holdings, Inc.
949,162
 
3,802,527
Paper & Forest Products —
0.6%
25,702
Sylvamo Corp.
2,185,184
Passenger Airlines — 0.8%
20,763
SkyWest, Inc. (a)
1,976,638
364,731
Wheels Up Experience,
Inc. (a) (b)
744,051
 
2,720,689
Pharmaceuticals — 2.9%
265,219
Amneal Pharmaceuticals, Inc. (a)
2,246,405
Shares
Description
Value
 
Pharmaceuticals (Continued)
26,767
Amphastar Pharmaceuticals,
Inc. (a)
$1,352,536
14,795
ANI Pharmaceuticals, Inc. (a)
846,940
33,015
Avadel Pharmaceuticals PLC (a)
510,742
45,685
Collegium Pharmaceutical,
Inc. (a)
1,559,686
44,133
Harmony Biosciences Holdings,
Inc. (a)
1,417,993
8,819
Ligand Pharmaceuticals, Inc. (a)
932,168
101,454
Ocular Therapeutix, Inc. (a)
1,068,311
 
9,934,781
Professional Services — 1.4%
6,434
CBIZ, Inc. (a)
443,496
10,069
CRA International, Inc.
1,833,968
11,949
Huron Consulting Group, Inc. (a)
1,382,858
7,789
ICF International, Inc.
1,313,147
 
4,973,469
Real Estate Management &
Development — 0.4%
79,878
Kennedy-Wilson Holdings, Inc.
853,896
7,426
St. Joe (The) Co.
383,924
 
1,237,820
Residential REITs — 1.0%
97,638
Apartment Investment and
Management Co., Class A (a)
824,065
50,180
Elme Communities
846,537
20,056
NexPoint Residential Trust, Inc.
835,332
44,874
UMH Properties, Inc.
836,900
 
3,342,834
Retail REITs — 1.4%
3,642
Alexander’s, Inc.
826,843
27,747
Getty Realty Corp.
870,978
48,390
Macerich (The) Co.
904,893
26,602
Tanger, Inc.
883,985
60,729
Urban Edge Properties
1,350,613
 
4,837,312
Semiconductors &
Semiconductor Equipment
— 1.0%
38,662
Semtech Corp. (a)
1,708,474
7,573
SiTime Corp. (a)
1,279,913
13,070
Veeco Instruments, Inc. (a)
376,154
 
3,364,541
Software — 8.0%
8,100
Agilysys, Inc. (a)
810,324
55,970
Alkami Technology, Inc. (a)
2,049,062
12,682
Appian Corp., Class A (a)
453,381
149,983
AvePoint, Inc. (a)
1,820,794
7,852
BlackLine, Inc. (a)
434,765
228,073
Cipher Mining, Inc. (a)
1,124,400

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Software (Continued)
66,585
Clear Secure, Inc., Class A
$2,448,996
69,913
Clearwater Analytics Holdings,
Inc., Class A (a)
1,825,428
36,908
Intapp, Inc. (a)
1,851,674
15,581
InterDigital, Inc.
2,344,006
24,956
Jamf Holding Corp. (a)
415,268
49,896
Klaviyo, Inc., Class A (a)
1,897,545
21,049
MeridianLink, Inc. (a)
462,236
26,203
Progress Software Corp.
1,679,350
41,069
RingCentral, Inc., Class A (a)
1,478,895
112,367
SEMrush Holdings, Inc.,
Class A (a)
1,473,131
67,635
SolarWinds Corp.
884,666
92,917
SoundHound AI, Inc.,
Class A (a) (b)
467,373
377,200
Terawulf, Inc. (a) (b)
2,459,344
33,732
Vertex, Inc., Class A (a)
1,400,215
 
27,780,853
Specialized REITs — 1.8%
17,999
EPR Properties
816,615
30,115
Four Corners Property Trust, Inc.
829,969
26,950
National Storage Affiliates Trust
1,135,943
96,045
Outfront Media, Inc.
1,705,759
84,126
Safehold, Inc.
1,790,201
 
6,278,487
Specialty Retail — 0.7%
60,269
Chewy, Inc., Class A (a)
1,625,455
54,050
Warby Parker, Inc., Class A (a)
915,066
 
2,540,521
Technology Hardware, Storage
& Peripherals — 0.2%
49,542
IonQ, Inc. (a) (b)
744,616
Textiles, Apparel & Luxury
Goods — 0.6%
126,671
Wolverine World Wide, Inc.
1,949,467
Trading Companies &
Distributors — 0.9%
57,300
Distribution Solutions Group,
Inc. (a)
2,206,050
18,132
H&E Equipment Services, Inc.
947,397
 
3,153,447
Water Utilities — 0.5%
5,199
American States Water Co.
428,709
23,959
California Water Service Group
1,244,910
 
1,673,619
Total Common Stocks
345,894,452
(Cost $298,997,794)
Shares
Description
Value
MONEY MARKET FUNDS — 0.1%
442,647
Dreyfus Government Cash
Management Fund,
Institutional Shares -
4.76% (g)
$442,647
(Cost $442,647)
Principal
Value
Description
Value
REPURCHASE AGREEMENTS — 2.3%
$3,889,115
Bank of America Corp.,
4.85% (g), dated 10/31/24,
due 11/01/24, with a maturity
value of $3,889,639.
Collateralized by
U.S. Treasury Securities,
interest rates of 0.00% to
2.75%, due 11/15/28 to
02/15/50. The value of the
collateral including accrued
interest is $3,966,897. (h)
3,889,115
4,047,853
JPMorgan Chase & Co.,
4.85% (g), dated 10/31/24,
due 11/01/24, with a maturity
value of $4,048,398.
Collateralized by
U.S. Treasury Securities,
interest rates of 1.38% to
4.13%, due 02/28/30 to
08/15/46. The value of the
collateral including accrued
interest is $4,128,810. (h)
4,047,853
Total Repurchase Agreements
7,936,968
(Cost $7,936,968)
Total Investments — 102.3%
354,274,067
(Cost $307,377,409)
Net Other Assets and
Liabilities — (2.3)%
(8,038,195
)
Net Assets — 100.0%
$346,235,872
(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 $7,403,828 and the total value of
the collateral held by the Fund is $7,936,968.
(c)
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.
(d)
Restricted security as to resale, excluding Rule 144A
securities (see Restricted Securities table).

First Trust Small Cap Growth AlphaDEX® Fund (FYC)
Portfolio of Investments (Continued)
October 31, 2024 (Unaudited)
(e)
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 October 31, 2024, securities
noted as such are valued at $0 or 0.0% of net assets.
(f)
This security’s value was determined using significant
unobservable inputs (see Valuation Inputs in the Additional
Information section).
(g)
Rate shown reflects yield as of October 31, 2024.
(h)
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 October 31, 2024 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
10/31/2024
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks:
Life
Sciences Tools
& Services
$  1,581,184
$  1,581,184
$       
$—**
Other Industry
Categories*
344,313,268
344,313,268
       
Money Market
Funds
    442,647
    442,647
       
Repurchase
Agreements
  7,936,968
         
7,936,968
Total Investments
$354,274,067
$346,337,099
$7,936,968
$—**
*
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 October 31, 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
October 31, 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.