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5.12500000 N N N N N N ZIGGO BOND CO BV 213800JYI4P7V5QDOG59 Ziggo Bond Co BV 98953GAD7 2700000.00000000 PA USD 2565891.00000000 0.494037451481 Long DBT CORP NL N 2 2030-02-28 Fixed 5.12500000 N N N N N N ALTICE FINANCING SA 549300DIYGW8HVDF7Q17 Altice Financing SA 02154CAF0 1980000.00000000 PA USD 1840231.80000000 0.354318803334 Long DBT CORP LU N 2 2028-01-15 Fixed 5.00000000 N N N N N N NABORS INDUSTRIES INC 549300VFQWRKICUFNU92 Nabors Industries Inc 62957HAJ4 1130000.00000000 PA USD 1156775.35000000 0.222725885803 Long DBT CORP US N 2 2027-05-15 Fixed 7.37500000 N N N N N N 1011778 BC / NEW RED FIN N/A 1011778 BC ULC / New Red Finance Inc 68245XAK5 1855000.00000000 PA USD 1912625.58000000 0.368257524260 Long DBT CORP CA N 2 2025-04-15 Fixed 5.75000000 N N N N N N VZ SECURED FINANCING BV 549300MG611MYCOWY949 VZ Secured Financing BV 91845AAA3 1320000.00000000 PA USD 1274915.40000000 0.245472607788 Long DBT CORP NL N 2 2032-01-15 Fixed 5.00000000 N N N N N N PRESTIGE BRANDS INC 549300JBVP4J6D42I235 Prestige Brands Inc 74112BAL9 1325000.00000000 PA USD 1336686.50000000 0.257366034601 Long DBT CORP US N 2 2028-01-15 Fixed 5.12500000 N N N N N N TK ELEVATOR HOLDCO GMBH 2549008GCHWX9EEMIS56 TK Elevator Holdco GmbH 92537VAA8 2143000.00000000 PA USD 2259086.31000000 0.434965181010 Long DBT CORP DE N 2 2028-07-15 Fixed 7.62500000 N N N N N N DISH DBS CORP N/A DISH DBS Corp 25470XAW5 900000.00000000 PA USD 909324.00000000 0.175081525883 Long DBT CORP US N 2 2024-11-15 Fixed 5.87500000 N N N N N N BAUSCH HEALTH COS INC B3BS7ACMDUWISF18KY76 Bausch Health Cos Inc 071734AH0 1300000.00000000 PA USD 1098214.00000000 0.211450465254 Long DBT CORP CA N 2 2028-01-30 Fixed 5.00000000 N N N N N N VMED O2 UK FINAN 213800MRR46ECNGZ7L69 Vmed O2 UK Financing I PLC 000000000 1000000.00000000 PA 1280065.06000000 0.246464124926 Long DBT CORP GB N 2 2031-07-15 Fixed 4.50000000 N N N N N N GARDA WORLD SECURITY COR 549300ZF1NDXLMCHNO20 Garda World Security Corp 36257BAA7 3410000.00000000 PA USD 3588291.85000000 0.690890829246 Long DBT CORP CA N 2 2027-11-01 Fixed 9.50000000 N N N N N N CORELOGIC INC 54930086CD8K2UIL0516 CoreLogic Inc 21871DAD5 1900000.00000000 PA USD 1823430.00000000 0.351083779534 Long DBT CORP US N 2 2028-05-01 Fixed 4.50000000 N N N N N N CHENIERE ENERGY INC MIHC87W9WTYSYZWV1J40 Cheniere Energy Inc 16411RAK5 1020000.00000000 PA USD 1036998.30000000 0.199663975329 Long DBT CORP US N 2 2028-10-15 Fixed 4.62500000 N N N N N N BOYD GAMING CORP 254900787YGRYS2A1Z35 Boyd Gaming Corp 103304BS9 250000.00000000 PA USD 265515.00000000 0.051122340711 Long DBT CORP US N 2 2025-06-01 Fixed 8.62500000 N N N N N N CARNIVAL CORP F1OF2ZSX47CR0BCWA982 Carnival Corp 143658BR2 2885000.00000000 PA USD 2779279.18000000 0.535123278051 Long DBT CORP PA N 2 2029-05-01 Fixed 6.00000000 N N N N N N EMBARQ CORP N/A Embarq Corp 29078EAA3 720000.00000000 PA USD 742237.20000000 0.142910581424 Long DBT CORP US N 2 2036-06-01 Fixed 7.99500000 N N N N N N CENTENE CORP 549300Z7JJ4TQSQGT333 Centene Corp 15135BAW1 4825000.00000000 PA USD 4689393.38000000 0.902897260424 Long DBT CORP US N 2 2030-10-15 Fixed 3.00000000 N N N N N N TRIUMPH GROUP INC 5493007L6S47Q14SL582 Triumph Group Inc 896818AQ4 550000.00000000 PA USD 548743.25000000 0.105655196088 Long DBT CORP US N 2 2024-09-15 Fixed 6.25000000 N N N N N N IRON MOUNTAIN INC SQL3F6CKNNBM3SQGHX24 Iron Mountain Inc 46284VAN1 1375000.00000000 PA USD 1305975.00000000 0.251452832835 Long DBT CORP US N 2 2031-02-15 Fixed 4.50000000 N N N N N N LEVEL 3 FINANCING INC 254900AE5FEFIJOXWL19 Level 3 Financing Inc 527298BT9 1500000.00000000 PA USD 1371112.50000000 0.263994427352 Long DBT CORP US N 2 2029-07-15 Fixed 3.75000000 N N N N N N CNX RESOURCES CORP 549300JK3KH8PWM3B226 CNX Resources Corp 12653CAJ7 322000.00000000 PA USD 332184.86000000 0.063958976299 Long DBT CORP US N 2 2029-01-15 Fixed 6.00000000 N N N N N N HERTZ CORP/THE 549300PD0C69OJ0NLB27 Hertz Corp/The 428040DA4 750000.00000000 PA USD 729198.75000000 0.140400154205 Long DBT CORP US N 2 2026-12-01 Fixed 4.62500000 N N N N N N CENTENNIAL RESOURCE PROD 5493004CTVUMQLRPOE23 Centennial Resource Production LLC 15138AAC4 2369000.00000000 PA USD 2398813.87000000 0.461868368887 Long DBT CORP US N 2 2027-04-01 Fixed 6.87500000 N N N N N N ILIAD HOLDING SAS 9695009PXA7OI9NXN582 Iliad Holding SASU 449691AA2 1350000.00000000 PA USD 1369494.00000000 0.263682800859 Long DBT CORP FR N 2 2026-10-15 Fixed 6.50000000 N N N N N N DYCOM INDUSTRIES INC 549300F56EKTHQI3WT60 Dycom Industries Inc 267475AD3 2540000.00000000 PA USD 2491524.10000000 0.479718825417 Long DBT CORP US N 2 2029-04-15 Fixed 4.50000000 N N N N N N MOZART DEBT MERGER SUB N/A Mozart Debt Merger Sub Inc 62482BAA0 2779000.00000000 PA USD 2677663.77000000 0.515558215393 Long DBT CORP US N 2 2029-04-01 Fixed 3.87500000 N N N N N N 2022-03-22 First Trust High Income Long/Short Fund Donald P. Swade Donald P. Swade Treasurer, Chief Financial Officer and Chief Accounting Officer XXXX NPORT-EX 2 FT32FTHIInLS.htm.htm
First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments
January 31, 2022 (Unaudited)
Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
CORPORATE BONDS AND NOTES – 99.5%
    Automotive – 3.6%            
$2,300,000  
Dana, Inc.

  4.50%   02/15/32   $2,200,134
2,195,000  
Dornoch Debt Merger Sub, Inc. (a)

  6.63%   10/15/29   2,120,919
1,400,000  
Ford Motor Co.

  4.35%   12/08/26   1,455,272
4,605,000  
Ford Motor Credit Co., LLC (b)

  4.13%   08/17/27   4,725,144
5,000,000  
Ford Motor Credit Co., LLC (b)

  5.11%   05/03/29   5,369,775
2,805,000  
Thor Industries, Inc. (a) (b)

  4.00%   10/15/29   2,675,269
        18,546,513
    Basic Industry – 7.5%            
1,370,000  
BCPE Ulysses Intermediate, Inc. (a) (c)

  7.75%   04/01/27   1,339,476
645,000  
Brundage-Bone Concrete Pumping Holdings, Inc. (a) (b)

  6.00%   02/01/26   653,762
3,081,000  
Builders FirstSource, Inc. (a) (b)

  6.75%   06/01/27   3,211,172
630,000  
Builders FirstSource, Inc. (a)

  4.25%   02/01/32   617,784
1,285,000  
Coeur Mining, Inc. (a)

  5.13%   02/15/29   1,227,580
3,515,000  
Cornerstone Building Brands, Inc. (a) (b)

  6.13%   01/15/29   3,632,313
640,000  
CP Atlas Buyer, Inc. (a)

  7.00%   12/01/28   609,638
2,540,000  
Dycom Industries, Inc. (a) (b)

  4.50%   04/15/29   2,491,524
1,150,000  
Foundation Building Materials, Inc. (a)

  6.00%   03/01/29   1,111,320
900,000  
Great Lakes Dredge & Dock Corp. (a)

  5.25%   06/01/29   921,758
2,445,000  
JELD-WEN, Inc. (a) (b)

  4.88%   12/15/27   2,443,985
2,979,000  
KB Home (b)

  7.50%   09/15/22   3,078,916
1,820,000  
LGI Homes, Inc. (a) (b)

  4.00%   07/15/29   1,722,676
1,855,000  
Meritage Homes Corp.

  6.00%   06/01/25   2,005,784
1,125,000  
Novelis Corp. (a)

  3.25%   11/15/26   1,092,167
885,000  
Novelis Corp. (a)

  3.88%   08/15/31   833,329
2,045,000  
Olin Corp. (b)

  5.13%   09/15/27   2,088,896
385,000  
Olympus Water US Holding Corp. (a)

  4.25%   10/01/28   366,020
825,000  
Park River Holdings, Inc. (a)

  5.63%   02/01/29   753,790
1,745,000  
Standard Industries, Inc./NJ (a)

  4.38%   07/15/30   1,673,691
1,390,000  
TopBuild Corp. (a) (b)

  4.13%   02/15/32   1,353,985
3,765,000  
TRI Pointe Group, Inc./TRI Pointe Homes, Inc. (b)

  5.88%   06/15/24   3,952,723
770,000  
Weekley Homes LLC/Weekley Finance Corp. (a)

  4.88%   09/15/28   758,546
1,055,000  
White Cap Parent LLC (a) (d)

  8.25%   03/15/26   1,072,001
        39,012,836
    Capital Goods – 5.3%            
1,065,000  
Amsted Industries, Inc. (a)

  5.63%   07/01/27   1,093,702
1,589,000  
Berry Global, Inc. (a) (b)

  4.50%   02/15/26   1,595,332
1,470,000  
EnerSys (a)

  4.38%   12/15/27   1,480,239
985,000  
Graphic Packaging International LLC (a) (b)

  3.75%   02/01/30   947,166
81,000  
Howmet Aerospace, Inc.

  6.88%   05/01/25   89,667
5,605,000  
Howmet Aerospace, Inc. (b)

  3.00%   01/15/29   5,304,796
3,100,000  
Mauser Packaging Solutions Holding Co. (a) (b)

  5.50%   04/15/24   3,100,341
1,010,000  
Mauser Packaging Solutions Holding Co. (a)

  7.25%   04/15/25   1,002,006
2,090,000  
Owens-Brockway Glass Container, Inc. (a)

  6.63%   05/13/27   2,194,500
625,000  
TransDigm, Inc. (a)

  8.00%   12/15/25   653,834
2,685,000  
TransDigm, Inc. (a) (b)

  6.25%   03/15/26   2,768,235
3,055,000  
TransDigm, Inc. (b)

  5.50%   11/15/27   3,075,239
2,515,000  
TriMas Corp. (a) (b)

  4.13%   04/15/29   2,468,523
990,000  
Triumph Group, Inc. (a)

  8.88%   06/01/24   1,058,038
550,000  
Triumph Group, Inc. (a)

  6.25%   09/15/24   548,743
        27,380,361
    Consumer Goods – 6.6%            
2,245,000  
CD&R Smokey Buyer, Inc. (a)

  6.75%   07/15/25   2,340,065

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
CORPORATE BONDS AND NOTES (Continued)
    Consumer Goods (Continued)            
$750,000  
Chobani LLC/Chobani Finance Corp., Inc. (a)

  7.50%   04/15/25   $766,489
600,000  
Chobani LLC/Chobani Finance Corp., Inc. (a)

  4.63%   11/15/28   594,918
3,545,000  
Darling Ingredients, Inc. (a) (b)

  5.25%   04/15/27   3,619,445
2,120,000  
Edgewell Personal Care Co. (a) (b)

  5.50%   06/01/28   2,201,938
1,185,000  
Energizer Holdings, Inc. (a)

  4.38%   03/31/29   1,122,248
2,470,000  
Kraft Heinz Foods Co. (b)

  5.00%   07/15/35   2,817,629
1,570,000  
Kraft Heinz Foods Co.

  4.38%   06/01/46   1,665,377
1,855,000  
Kronos Acquisition Holdings, Inc./KIK Custom Products, Inc. (a)

  5.00%   12/31/26   1,738,172
3,449,000  
Kronos Acquisition Holdings, Inc./KIK Custom Products, Inc. (a) (b)

  7.00%   12/31/27   3,128,829
1,585,000  
Mattel, Inc. (a) (b)

  5.88%   12/15/27   1,686,060
893,000  
Newell Brands, Inc.

  5.88%   04/01/36   1,051,271
1,000,000  
Performance Food Group, Inc. (a)

  4.25%   08/01/29   940,010
1,765,000  
Post Holdings, Inc. (a) (b)

  5.75%   03/01/27   1,813,628
2,760,000  
Post Holdings, Inc. (a) (b)

  4.63%   04/15/30   2,663,869
3,800,000  
Primo Water Holdings, Inc. (a) (b)

  4.38%   04/30/29   3,660,768
1,100,000  
Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed (a)

  4.63%   03/01/29   1,056,665
740,000  
Triton Water Holdings, Inc. (a)

  6.25%   04/01/29   694,675
670,000  
US Foods, Inc. (a)

  4.63%   06/01/30   654,302
        34,216,358
    Energy – 16.6%            
1,200,000  
Aethon United BR L.P./Aethon United Finance Corp. (a)

  8.25%   02/15/26   1,265,556
600,000  
Apache Corp.

  5.10%   09/01/40   630,291
2,170,000  
Archrock Partners L.P./Archrock Partners Finance Corp. (a)

  6.25%   04/01/28   2,191,613
1,560,000  
Ascent Resources Utica Holdings LLC/ARU Finance Corp. (a)

  7.00%   11/01/26   1,560,476
970,000  
Ascent Resources Utica Holdings LLC/ARU Finance Corp. (a) (b)

  8.25%   12/31/28   1,017,307
2,624,000  
Ascent Resources Utica Holdings LLC/ARU Finance Corp. (a) (b)

  5.88%   06/30/29   2,535,374
2,369,000  
Centennial Resource Production LLC (a)

  6.88%   04/01/27   2,398,814
755,000  
Cheniere Energy Partners L.P.

  4.50%   10/01/29   773,052
1,020,000  
Cheniere Energy, Inc.

  4.63%   10/15/28   1,036,998
1,100,000  
CNX Midstream Partners L.P. (a)

  4.75%   04/15/30   1,075,872
2,080,000  
CNX Resources Corp. (a)

  7.25%   03/14/27   2,186,194
322,000  
CNX Resources Corp. (a)

  6.00%   01/15/29   332,185
391,000  
Continental Resources, Inc./OK

  4.38%   01/15/28   413,092
1,025,000  
CrownRock L.P./CrownRock Finance, Inc. (a)

  5.00%   05/01/29   1,036,234
934,000  
DCP Midstream Operating L.P.

  5.13%   05/15/29   990,867
1,295,000  
DCP Midstream Operating L.P.

  3.25%   02/15/32   1,225,821
2,650,000  
Delek Logistics Partners LP/Delek Logistics Finance Corp. (a) (b)

  7.13%   06/01/28   2,692,440
2,096,000  
Endeavor Energy Resources L.P./EER Finance, Inc. (a)

  6.63%   07/15/25   2,193,338
335,000  
Endeavor Energy Resources L.P./EER Finance, Inc. (a)

  5.75%   01/30/28   347,022
2,335,000  
EnLink Midstream LLC

  5.38%   06/01/29   2,360,113
1,825,000  
EQM Midstream Partners L.P. (a)

  6.50%   07/01/27   1,922,332
1,700,000  
EQM Midstream Partners L.P.

  5.50%   07/15/28   1,722,780
3,620,000  
EQM Midstream Partners L.P. (a) (b)

  4.75%   01/15/31   3,471,019
791,000  
Hess Midstream Operations L.P. (a)

  5.63%   02/15/26   807,793
1,040,000  
Hess Midstream Operations L.P. (a)

  4.25%   02/15/30   1,005,264
1,845,000  
Hilcorp Energy I L.P./Hilcorp Finance Co. (a) (b)

  5.75%   02/01/29   1,884,944
1,320,000  
Hilcorp Energy I L.P./Hilcorp Finance Co. (a)

  6.00%   02/01/31   1,353,396
210,000  
Laredo Petroleum, Inc.

  10.13%   01/15/28   221,334
1,785,000  
Laredo Petroleum, Inc. (a)

  7.75%   07/31/29   1,727,621
1,130,000  
Nabors Industries, Inc. (a)

  7.38%   05/15/27   1,156,775
4,280,000  
Occidental Petroleum Corp. (b)

  8.50%   07/15/27   5,147,684
3,070,000  
Occidental Petroleum Corp. (b)

  6.63%   09/01/30   3,608,355

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
CORPORATE BONDS AND NOTES (Continued)
    Energy (Continued)            
$1,800,000  
Occidental Petroleum Corp. (b)

  6.13%   01/01/31   $2,080,575
3,195,000  
PBF Holding Co., LLC/PBF Finance Corp. (a) (b)

  9.25%   05/15/25   3,126,619
1,445,000  
PBF Logistics LP/PBF Logistics Finance Corp.

  6.88%   05/15/23   1,421,591
725,000  
Rockcliff Energy II LLC (a)

  5.50%   10/15/29   730,307
1,070,000  
SM Energy Co.

  6.50%   07/15/28   1,107,086
730,000  
Southwestern Energy Co.

  8.38%   09/15/28   801,894
3,265,000  
Southwestern Energy Co. (b)

  5.38%   03/15/30   3,350,363
1,700,000  
Southwestern Energy Co.

  4.75%   02/01/32   1,700,000
770,000  
Sunoco L.P./Sunoco Finance Corp.

  6.00%   04/15/27   795,333
2,240,000  
Sunoco L.P./Sunoco Finance Corp. (b)

  4.50%   05/15/29   2,196,846
920,000  
Tap Rock Resources LLC (a)

  7.00%   10/01/26   944,219
2,000,000  
Targa Resources Partners L.P./Targa Resources Partners Finance Corp.

  5.00%   01/15/28   2,052,380
1,645,000  
Targa Resources Partners L.P./Targa Resources Partners Finance Corp.

  6.88%   01/15/29   1,801,111
730,000  
Targa Resources Partners L.P./Targa Resources Partners Finance Corp.

  5.50%   03/01/30   774,213
1,500,000  
USA Compression Partners L.P./USA Compression Finance Corp.

  6.88%   04/01/26   1,528,823
1,830,000  
USA Compression Partners L.P./USA Compression Finance Corp.

  6.88%   09/01/27   1,881,020
1,720,000  
Venture Global Calcasieu Pass LLC (a) (b)

  3.88%   08/15/29   1,718,727
2,645,000  
Venture Global Calcasieu Pass LLC (a) (b)

  4.13%   08/15/31   2,666,836
905,000  
Venture Global Calcasieu Pass LLC (a)

  3.88%   11/01/33   897,565
909,000  
Western Midstream Operating L.P.

  4.50%   03/01/28   957,886
1,251,000  
Western Midstream Operating L.P.

  4.55%   02/01/30   1,312,449
        86,137,799
    Financial Services – 3.2%            
2,635,000  
Fortress Transportation and Infrastructure Investors LLC (a) (b)

  5.50%   05/01/28   2,555,950
2,100,000  
Icahn Enterprises L.P./Icahn Enterprises Finance Corp.

  5.25%   05/15/27   2,119,834
270,000  
LD Holdings Group LLC (a)

  6.13%   04/01/28   241,196
1,395,000  
LPL Holdings, Inc. (a) (b)

  4.63%   11/15/27   1,407,269
1,010,000  
Midcap Financial Issuer Trust (a)

  6.50%   05/01/28   1,019,494
1,330,000  
MSCI, Inc. (a)

  3.88%   02/15/31   1,330,346
1,540,000  
OneMain Finance Corp.

  6.13%   03/15/24   1,615,060
765,000  
OneMain Finance Corp. (b)

  8.88%   06/01/25   812,874
610,000  
OneMain Finance Corp.

  3.50%   01/15/27   582,303
1,011,000  
OneMain Finance Corp. (b)

  5.38%   11/15/29   1,028,066
1,225,000  
PennyMac Financial Services, Inc. (a)

  5.38%   10/15/25   1,226,733
2,640,000  
Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc. (a) (b)

  3.63%   03/01/29   2,478,445
        16,417,570
    Healthcare – 11.2%            
3,065,000  
Avantor Funding, Inc. (a) (b)

  3.88%   11/01/29   2,947,825
1,025,000  
Bausch Health Americas, Inc. (a)

  8.50%   01/31/27   1,037,941
2,775,000  
Carriage Services, Inc. (a) (b)

  4.25%   05/15/29   2,709,538
1,365,000  
Catalent Pharma Solutions, Inc. (a)

  3.50%   04/01/30   1,279,892
4,010,000  
Centene Corp. (b)

  4.63%   12/15/29   4,176,174
4,825,000  
Centene Corp. (b)

  3.00%   10/15/30   4,689,393
875,000  
CHS/Community Health Systems, Inc. (a)

  6.63%   02/15/25   905,975
4,765,000  
CHS/Community Health Systems, Inc. (a) (b)

  8.00%   03/15/26   4,966,941
765,000  
CHS/Community Health Systems, Inc. (a)

  5.63%   03/15/27   771,315
1,485,000  
CHS/Community Health Systems, Inc. (a)

  6.00%   01/15/29   1,513,297
1,305,000  
CHS/Community Health Systems, Inc. (a)

  6.88%   04/15/29   1,292,381
2,250,000  
CHS/Community Health Systems, Inc. (a)

  5.25%   05/15/30   2,243,239
1,770,000  
HCA, Inc.

  3.50%   09/01/30   1,772,974

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
CORPORATE BONDS AND NOTES (Continued)
    Healthcare (Continued)            
$1,665,000  
HealthEquity, Inc. (a) (b)

  4.50%   10/01/29   $1,629,619
2,779,000  
Mozart Debt Merger Sub, Inc. (a) (b)

  3.88%   04/01/29   2,677,664
740,000  
Mozart Debt Merger Sub, Inc. (a)

  5.25%   10/01/29   720,993
732,000  
Ortho-Clinical Diagnostics, Inc./Ortho-Clinical Diagnostics S.A. (a)

  7.38%   06/01/25   767,114
2,065,000  
Par Pharmaceutical, Inc. (a)

  7.50%   04/01/27   2,083,358
885,000  
PRA Health Sciences, Inc. (a)

  2.88%   07/15/26   867,689
1,325,000  
Prestige Brands, Inc. (a) (b)

  5.13%   01/15/28   1,336,686
990,000  
Prestige Brands, Inc. (a)

  3.75%   04/01/31   900,009
4,750,000  
Service Corp International (b)

  7.50%   04/01/27   5,595,096
615,000  
Syneos Health, Inc. (a)

  3.63%   01/15/29   578,973
1,730,000  
Teleflex, Inc. (a)

  4.25%   06/01/28   1,720,295
7,000,000  
Tenet Healthcare Corp. (a) (b)

  6.13%   10/01/28   7,022,610
2,275,000  
Tenet Healthcare Corp. (a)

  4.38%   01/15/30   2,196,203
        58,403,194
    Insurance – 0.4%            
1,275,000  
MGIC Investment Corp.

  5.25%   08/15/28   1,320,345
505,000  
NMI Holdings, Inc. (a)

  7.38%   06/01/25   560,964
        1,881,309
    Leisure – 4.4%            
1,730,000  
Affinity Gaming (a) (b)

  6.88%   12/15/27   1,758,484
250,000  
Boyd Gaming Corp. (a)

  8.63%   06/01/25   265,515
1,290,000  
Caesars Entertainment, Inc. (a)

  6.25%   07/01/25   1,333,686
1,055,000  
Caesars Resort Collection LLC/CRC Finco, Inc. (a)

  5.75%   07/01/25   1,087,795
1,200,000  
Everi Holdings, Inc. (a)

  5.00%   07/15/29   1,195,818
1,730,000  
Hilton Domestic Operating Co., Inc.

  4.88%   01/15/30   1,777,929
2,980,000  
Mohegan Gaming & Entertainment (a) (b)

  8.00%   02/01/26   3,041,537
700,000  
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer (a)

  5.88%   10/01/28   713,454
3,300,000  
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer (a) (b)

  4.88%   05/15/29   3,263,683
2,005,000  
Penn National Gaming, Inc. (a)

  4.13%   07/01/29   1,887,738
3,175,000  
Scientific Games International, Inc. (a) (b)

  7.00%   05/15/28   3,339,243
775,000  
Station Casinos LLC (a)

  4.50%   02/15/28   754,059
750,000  
Station Casinos LLC (a)

  4.63%   12/01/31   713,730
1,485,000  
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp. (a)

  5.13%   10/01/29   1,445,581
        22,578,252
    Media – 8.2%            
1,235,000  
Arches Buyer, Inc. (a) (b)

  4.25%   06/01/28   1,164,975
2,300,000  
Arches Buyer, Inc. (a) (b)

  6.13%   12/01/28   2,233,737
3,330,000  
CCO Holdings LLC/CCO Holdings Capital Corp. (a) (b)

  4.75%   03/01/30   3,301,245
3,500,000  
CSC Holdings LLC (b)

  5.25%   06/01/24   3,608,955
2,325,000  
CSC Holdings LLC (a) (b)

  5.50%   04/15/27   2,368,414
2,230,000  
CSC Holdings LLC (a)

  4.63%   12/01/30   1,985,058
595,000  
Diamond Sports Group LLC/Diamond Sports Finance Co. (a)

  5.38%   08/15/26   274,697
305,000  
Diamond Sports Group LLC/Diamond Sports Finance Co. (a)

  6.63%   08/15/27   79,300
2,655,000  
Directv Financing LLC/Directv Financing Co-Obligor, Inc. (a) (b)

  5.88%   08/15/27   2,671,196
900,000  
DISH DBS Corp.

  5.88%   11/15/24   909,324
1,200,000  
DISH DBS Corp.

  7.75%   07/01/26   1,238,034
4,015,000  
DISH DBS Corp. (a) (b)

  5.25%   12/01/26   3,902,078
3,520,000  
DISH DBS Corp. (b)

  7.38%   07/01/28   3,407,149
1,255,000  
iHeartCommunications, Inc. (a)

  5.25%   08/15/27   1,276,335

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
CORPORATE BONDS AND NOTES (Continued)
    Media (Continued)            
$1,250,000  
iHeartCommunications, Inc. (a)

  4.75%   01/15/28   $1,246,556
2,185,000  
Lamar Media Corp.

  4.00%   02/15/30   2,101,129
2,725,000  
Match Group Holdings II LLC (a) (b)

  3.63%   10/01/31   2,501,461
945,000  
News Corp. (a)

  3.88%   05/15/29   904,412
920,000  
Nexstar Media, Inc. (a)

  5.63%   07/15/27   944,339
2,175,000  
Sirius XM Radio, Inc. (a)

  4.13%   07/01/30   2,075,483
410,000  
TEGNA, Inc.

  4.63%   03/15/28   403,071
655,000  
TripAdvisor, Inc. (a)

  7.00%   07/15/25   686,918
880,000  
Univision Communications, Inc. (a)

  4.50%   05/01/29   869,356
1,235,000  
Urban One, Inc. (a)

  7.38%   02/01/28   1,257,372
1,490,000  
WMG Acquisition Corp. (a)

  3.75%   12/01/29   1,418,990
        42,829,584
    Real Estate – 3.8%            
1,199,000  
Iron Mountain, Inc. (a) (b)

  4.88%   09/15/27   1,204,252
1,845,000  
Iron Mountain, Inc. (a) (b)

  5.25%   03/15/28   1,874,575
1,575,000  
Iron Mountain, Inc. (a) (b)

  5.25%   07/15/30   1,566,582
1,375,000  
Iron Mountain, Inc. (a) (b)

  4.50%   02/15/31   1,305,975
910,000  
Iron Mountain, Inc. (a)

  5.63%   07/15/32   925,174
890,000  
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp. (a)

  4.75%   06/15/29   872,360
1,845,000  
MGM Growth Properties Operating Partnership L.P./MGP Finance Co-Issuer, Inc.

  5.63%   05/01/24   1,953,117
905,000  
Realogy Group LLC/Realogy Co-Issuer Corp. (a)

  5.75%   01/15/29   889,775
3,800,000  
Realogy Group LLC/Realogy Co-Issuer Corp. (a) (b)

  5.25%   04/15/30   3,655,714
1,840,000  
SBA Communications Corp.

  3.13%   02/01/29   1,717,594
1,934,000  
Service Properties Trust

  7.50%   09/15/25   2,041,466
1,030,000  
VICI Properties L.P./VICI Note Co., Inc. (a)

  4.63%   12/01/29   1,061,812
925,000  
XHR LP (a)

  4.88%   06/01/29   908,479
        19,976,875
    Retail – 7.1%            
4,290,000  
Albertsons Cos, Inc./Safeway, Inc./New Albertsons L.P./Albertsons LLC (a) (b)

  3.50%   03/15/29   4,057,611
2,150,000  
Arko Corp. (a) (b)

  5.13%   11/15/29   2,048,122
1,430,000  
Asbury Automotive Group, Inc. (a)

  5.00%   02/15/32   1,421,298
390,000  
At Home Group, Inc. (a)

  4.88%   07/15/28   374,995
817,000  
Bath & Body Works, Inc. (a)

  9.38%   07/01/25   978,357
4,100,000  
Bath & Body Works, Inc. (b)

  7.50%   06/15/29   4,481,423
1,200,000  
Bath & Body Works, Inc. (a) (b)

  6.63%   10/01/30   1,295,826
2,085,000  
Foot Locker, Inc. (a)

  4.00%   10/01/29   2,013,881
555,000  
Group 1 Automotive, Inc. (a)

  4.00%   08/15/28   533,649
2,000,000  
Hanesbrands, Inc. (a)

  4.63%   05/15/24   2,040,000
700,000  
LCM Investments Holdings II LLC (a)

  4.88%   05/01/29   675,476
275,000  
Macy’s Retail Holdings LLC

  2.88%   02/15/23   276,081
2,425,000  
Macy’s Retail Holdings LLC (b)

  3.63%   06/01/24   2,458,707
2,500,000  
Macy’s Retail Holdings LLC (a) (b)

  5.88%   04/01/29   2,548,950
1,900,000  
Michaels Cos (The), Inc. (a) (b)

  5.25%   05/01/28   1,834,440
1,620,000  
Michaels Cos (The), Inc. (a)

  7.88%   05/01/29   1,485,038
875,000  
Nordstrom, Inc.

  4.38%   04/01/30   821,052
2,680,000  
QVC, Inc. (b)

  4.38%   09/01/28   2,473,466
2,795,000  
Sonic Automotive, Inc. (a) (b)

  4.63%   11/15/29   2,733,049
2,615,000  
Victoria’s Secret & Co. (a) (b)

  4.63%   07/15/29   2,523,946
        37,075,367

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
CORPORATE BONDS AND NOTES (Continued)
    Services – 10.2%            
$1,870,000  
Allied Universal Holdco LLC/Allied Universal Finance Corp. (a) (b)

  6.63%   07/15/26   $1,922,603
3,005,000  
Allied Universal Holdco LLC/Allied Universal Finance Corp. (a)

  9.75%   07/15/27   3,174,858
685,000  
Allied Universal Holdco LLC/Allied Universal Finance Corp. (a)

  6.00%   06/01/29   650,325
1,095,000  
APX Group, Inc. (a)

  6.75%   02/15/27   1,125,999
715,000  
Aramark Services, Inc. (a)

  5.00%   02/01/28   711,207
390,000  
Avis Budget Car Rental LLC/Avis Budget Finance, Inc. (a)

  5.38%   03/01/29   391,544
1,250,000  
Brink’s (The) Co. (a) (b)

  5.50%   07/15/25   1,297,094
625,000  
Clarivate Science Holdings Corp. (a)

  3.88%   07/01/28   597,656
2,420,000  
Clean Harbors, Inc. (a) (b)

  4.88%   07/15/27   2,482,920
1,900,000  
CoreLogic, Inc. (a)

  4.50%   05/01/28   1,823,430
675,000  
Covanta Holding Corp. (a)

  4.88%   12/01/29   673,856
950,000  
GYP Holdings III Corp. (a) (b)

  4.63%   05/01/29   924,132
3,045,000  
H&E Equipment Services, Inc. (a) (b)

  3.88%   12/15/28   2,873,308
3,605,000  
Herc Holdings, Inc. (a) (b)

  5.50%   07/15/27   3,714,953
750,000  
Hertz (The) Corp. (a)

  4.63%   12/01/26   729,199
1,450,000  
Imola Merger Corp. (a)

  4.75%   05/15/29   1,413,011
730,000  
LBM Acquisition LLC (a)

  6.25%   01/15/29   696,785
1,445,000  
NESCO Holdings II, Inc. (a) (b)

  5.50%   04/15/29   1,433,151
750,000  
Nielsen Finance LLC/Nielsen Finance Co. (a)

  4.50%   07/15/29   700,560
805,000  
Picasso Finance Sub, Inc. (a) (b)

  6.13%   06/15/25   835,280
1,915,000  
Prime Security Services Borrower LLC/Prime Finance, Inc. (a)

  3.38%   08/31/27   1,780,720
1,800,000  
Sotheby’s (a)

  7.38%   10/15/27   1,875,213
2,065,000  
Sotheby’s/Bidfair Holdings, Inc. (a)

  5.88%   06/01/29   2,094,178
2,200,000  
Staples, Inc. (a)

  7.50%   04/15/26   2,173,567
3,000,000  
Uber Technologies, Inc. (a) (b)

  7.50%   05/15/25   3,139,950
790,000  
Uber Technologies, Inc. (a)

  6.25%   01/15/28   820,814
2,165,000  
United Rentals North America, Inc.

  3.75%   01/15/32   2,076,506
4,765,000  
WASH Multifamily Acquisition, Inc. (a) (b)

  5.75%   04/15/26   4,832,734
2,500,000  
Waste Pro USA, Inc. (a)

  5.50%   02/15/26   2,428,888
880,000  
WESCO Distribution, Inc. (a)

  7.13%   06/15/25   922,803
1,045,000  
WESCO Distribution, Inc. (a)

  7.25%   06/15/28   1,120,836
225,000  
White Cap Buyer LLC (a)

  6.88%   10/15/28   231,140
855,000  
Williams Scotsman International, Inc. (a)

  4.63%   08/15/28   863,819
640,000  
ZoomInfo Technologies LLC/ZoomInfo Finance Corp. (a)

  3.88%   02/01/29   603,347
        53,136,386
    Technology & Electronics – 3.5%            
900,000  
Boxer Parent Co., Inc. (a)

  7.13%   10/02/25   938,313
2,380,000  
CommScope, Inc. (a)

  6.00%   03/01/26   2,413,107
820,000  
CommScope, Inc. (a)

  8.25%   03/01/27   803,600
1,235,000  
Dell International LLC/EMC Corp. (b)

  8.35%   07/05/46   1,956,314
800,000  
Endurance International Group Holdings, Inc. (a)

  6.00%   02/15/29   712,924
1,900,000  
Entegris, Inc. (a)

  4.38%   04/15/28   1,889,588
1,760,000  
Fair Isaac Corp. (a)

  4.00%   06/15/28   1,746,289
2,330,000  
Go Daddy Operating Co., LLC/GD Finance Co., Inc. (a) (b)

  5.25%   12/01/27   2,390,580
2,220,000  
NCR Corp. (a) (b)

  5.13%   04/15/29   2,220,244
585,000  
Presidio Holdings, Inc. (a)

  8.25%   02/01/28   618,348
2,320,000  
Viavi Solutions, Inc. (a)

  3.75%   10/01/29   2,254,228
        17,943,535
    Telecommunications – 4.9%            
1,200,000  
Cable One, Inc. (a) (b)

  4.00%   11/15/30   1,132,980
720,000  
Embarq Corp. (b)

  8.00%   06/01/36   742,237
5,925,000  
Level 3 Financing, Inc. (b)

  5.38%   05/01/25   6,015,268

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
CORPORATE BONDS AND NOTES (Continued)
    Telecommunications (Continued)            
$1,765,000  
Level 3 Financing, Inc. (a)

  3.63%   01/15/29   $1,607,253
1,500,000  
Level 3 Financing, Inc. (a) (b)

  3.75%   07/15/29   1,371,113
3,295,000  
Lumen Technologies, Inc. (a) (b)

  5.38%   06/15/29   3,137,260
2,471,000  
Lumen Technologies, Inc., Series P

  7.60%   09/15/39   2,471,000
2,045,000  
Sprint Capital Corp. (b)

  8.75%   03/15/32   2,850,781
3,685,000  
Sprint Corp. (b)

  7.63%   03/01/26   4,224,834
2,035,000  
T-Mobile USA, Inc. (a)

  3.38%   04/15/29   1,996,518
        25,549,244
    Transportation – 2.0%            
609,152  
American Airlines 2013-2 Class A Pass Through Trust

  4.95%   01/15/23   612,550
2,325,000  
American Airlines Group, Inc. (a)

  3.75%   03/01/25   2,154,705
1,540,000  
American Airlines, Inc. (a)

  11.75%   07/15/25   1,867,881
714,000  
First Student Bidco, Inc./First Transit Parent, Inc. (a)

  4.00%   07/31/29   677,715
716,529  
JetBlue 2020-1 Class B Pass Through Trust

  7.75%   11/15/28   824,961
1,300,000  
Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd. (a) (b)

  6.50%   06/20/27   1,383,428
685,000  
United Airlines, Inc. (a)

  4.38%   04/15/26   681,143
895,000  
United Airlines, Inc. (a) (b)

  4.63%   04/15/29   887,111
1,289,534  
US Airways 2000-3C Pass Through Trust

  8.39%   03/01/22   1,299,343
        10,388,837
    Utility – 1.0%            
655,000  
Calpine Corp. (a)

  3.75%   03/01/31   596,279
470,000  
Clearway Energy Operating LLC (a)

  3.75%   02/15/31   443,320
1,690,000  
Clearway Energy Operating LLC (a) (b)

  3.75%   01/15/32   1,607,714
1,355,000  
FirstEnergy Corp.

  4.40%   07/15/27   1,381,941
1,310,000  
Vistra Operations Co. LLC (a)

  4.38%   05/01/29   1,266,364
        5,295,618
   
Total Corporate Bonds and Notes

  516,769,638
    (Cost $515,701,774)            
Principal
Value
(Local
Currency)
  Description   Stated
Coupon
  Stated
Maturity
  Value
(US Dollars)
FOREIGN CORPORATE BONDS AND NOTES – 22.8%
    Agency – 0.5%            
2,250,000  
Petroleos Mexicanos (USD)

  6.50%   03/13/27   2,356,504
    Automotive – 0.5%            
918,000  
Clarios Global L.P. (USD) (a)

  6.75%   05/15/25   953,494
607,000  
Clarios Global L.P./Clarios US Finance Co. (USD) (a)

  6.25%   05/15/26   628,218
1,099,000  
Clarios Global L.P./Clarios US Finance Co. (USD) (a)

  8.50%   05/15/27   1,150,593
        2,732,305
    Banking – 1.1%            
2,485,000  
Deutsche Bank AG/New York NY (USD) (b) (e)

  3.73%   01/14/32   2,418,665
3,635,000  
Deutsche Bank AG/New York NY (USD) (e)

  3.74%   01/07/33   3,516,751
        5,935,416
    Basic Industry – 1.8%            
1,350,000  
Ahlstrom-Munksjo Holding 3 Oy (USD) (a)

  4.88%   02/04/28   1,306,543
1,900,000  
James Hardie International Finance DAC (USD) (a) (b)

  5.00%   01/15/28   1,949,286
1,325,000  
NOVA Chemicals Corp. (USD) (a)

  4.25%   05/15/29   1,263,984

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Principal
Value
(Local
Currency)
  Description   Stated
Coupon
  Stated
Maturity
  Value
(US Dollars)
FOREIGN CORPORATE BONDS AND NOTES (Continued)
    Basic Industry (Continued)            
2,250,000  
SPCM S.A. (USD) (a)

  3.38%   03/15/30   $2,115,551
2,200,000  
Stora Enso OYJ (USD) (a) (b)

  7.25%   04/15/36   2,960,323
        9,595,687
    Capital Goods – 3.8%            
1,815,000  
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC (USD) (a)

  3.25%   09/01/28   1,722,462
1,385,000  
Bombardier, Inc. (USD) (a)

  7.13%   06/15/26   1,410,969
3,100,000  
Bombardier, Inc. (USD) (a) (b)

  7.88%   04/15/27   3,134,456
2,240,000  
Canpack S.A./Canpack US LLC (USD) (a)

  3.13%   11/01/25   2,228,447
450,000  
Canpack S.A./Canpack US LLC (USD) (a)

  3.88%   11/15/29   431,742
1,880,000  
Cascades, Inc./Cascades USA, Inc. (USD) (a) (b)

  5.38%   01/15/28   1,910,400
1,945,000  
Intertape Polymer Group, Inc. (USD) (a)

  4.38%   06/15/29   1,923,644
875,000  
OI European Group BV (USD) (a)

  4.75%   02/15/30   851,204
3,630,000  
Titan Acquisition Ltd./Titan Co-Borrower LLC (USD) (a)

  7.75%   04/15/26   3,707,029
2,143,000  
TK Elevator Holdco GmbH (USD) (a)

  7.63%   07/15/28   2,259,086
        19,579,439
    Consumer Goods – 1.2%            
2,725,000  
JBS USA LUX S.A./JBS USA Food Co./JBS USA Finance, Inc. (USD) (a) (b)

  6.50%   04/15/29   2,956,788
1,000,000  
JBS USA LUX S.A./JBS USA Food Co./JBS USA Finance, Inc. (USD) (a)

  5.50%   01/15/30   1,062,175
2,500,000  
Minerva Luxembourg S.A. (USD) (a) (b)

  4.38%   03/18/31   2,326,325
        6,345,288
    Energy – 1.0%            
2,065,000  
MEG Energy Corp. (USD) (a) (b)

  7.13%   02/01/27   2,146,103
1,100,000  
Petrobras Global Finance BV (USD)

  5.60%   01/03/31   1,135,772
1,975,000  
Petrobras Global Finance BV (USD)

  5.50%   06/10/51   1,741,150
        5,023,025
    Healthcare – 2.6%            
4,130,000  
Bausch Health Cos., Inc. (USD) (a) (b)

  9.00%   12/15/25   4,301,434
1,300,000  
Bausch Health Cos., Inc. (USD) (a)

  5.00%   01/30/28   1,098,214
1,250,000  
Endo Luxembourg Finance Co I Sarl/Endo US, Inc. (USD) (a)

  6.13%   04/01/29   1,188,744
3,850,000  
Teva Pharmaceutical Finance Netherlands III B.V. (USD) (b)

  7.13%   01/31/25   4,020,786
2,945,000  
Teva Pharmaceutical Finance Netherlands III B.V. (USD) (b)

  5.13%   05/09/29   2,836,329
        13,445,507
    Leisure – 1.9%            
2,885,000  
Carnival Corp. (USD) (a) (b)

  6.00%   05/01/29   2,779,279
1,253,000  
International Game Technology PLC (USD) (a)

  5.25%   01/15/29   1,281,944
700,000  
Melco Resorts Finance Ltd. (USD) (a)

  5.75%   07/21/28   672,991
1,915,000  
Royal Caribbean Cruises Ltd. (USD) (a) (b)

  4.25%   07/01/26   1,789,108
3,315,000  
Royal Caribbean Cruises Ltd. (USD) (a) (b)

  5.38%   07/15/27   3,211,671
        9,734,993
    Media – 0.8%            
1,820,000  
UPC Holding, B.V. (USD) (a)

  5.50%   01/15/28   1,851,086
2,700,000  
Ziggo Bond Co. BV (USD) (a) (b)

  5.13%   02/28/30   2,565,891
        4,416,977

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Principal
Value
(Local
Currency)
  Description   Stated
Coupon
  Stated
Maturity
  Value
(US Dollars)
FOREIGN CORPORATE BONDS AND NOTES (Continued)
    Retail – 0.6%            
1,855,000  
1011778 BC ULC/New Red Finance, Inc. (USD) (a)

  5.75%   04/15/25   $1,912,626
1,000,000  
1011778 BC ULC/New Red Finance, Inc. (USD) (a)

  3.50%   02/15/29   948,300
        2,860,926
    Services – 2.2%            
1,600,000  
Garda World Security Corp. (USD) (a)

  4.63%   02/15/27   1,564,120
3,410,000  
Garda World Security Corp. (USD) (a) (b)

  9.50%   11/01/27   3,588,292
1,765,000  
GFL Environmental, Inc. (USD) (a) (b)

  4.00%   08/01/28   1,647,098
655,000  
GFL Environmental, Inc. (USD) (a) (b)

  4.75%   06/15/29   636,365
4,125,000  
Ritchie Bros. Auctioneers, Inc. (USD) (a) (b)

  5.38%   01/15/25   4,160,063
        11,595,938
    Technology & Electronics – 0.4%            
1,760,000  
Open Text Corp. (USD) (a)

  3.88%   12/01/29   1,693,340
570,000  
Seagate HDD Cayman (USD)

  4.13%   01/15/31   560,116
        2,253,456
    Telecommunications – 3.3%            
1,980,000  
Altice Financing S.A. (USD) (a)

  5.00%   01/15/28   1,840,232
4,045,000  
Altice France Holding S.A. (USD) (a)

  6.00%   02/15/28   3,701,721
2,535,000  
Altice France S.A./France (USD) (a) (b)

  5.13%   07/15/29   2,350,592
600,000  
DKT Finance ApS (EUR) (f)

  7.00%   06/17/23   679,797
1,116,000  
DKT Finance ApS (USD) (a)

  9.38%   06/17/23   1,127,160
1,350,000  
Iliad Holding SAS (USD) (a)

  6.50%   10/15/26   1,369,494
2,040,000  
Telecom Italia Capital S.A. (USD)

  7.72%   06/04/38   2,201,109
1,300,000  
Total Play Telecomunicaciones SA de CV (USD) (a)

  6.38%   09/20/28   1,215,500
1,000,000  
Vmed O2 UK Financing I PLC (GBP) (a)

  4.50%   07/15/31   1,280,065
1,320,000  
VZ Secured Financing BV (USD) (a)

  5.00%   01/15/32   1,274,915
        17,040,585
    Transportation – 1.1%            
850,000  
Air Canada (USD) (a)

  3.88%   08/15/26   825,775
2,595,000  
Air Canada 2020-1 Class C Pass Through Trust (USD) (a)

  10.50%   07/15/26   3,175,144
1,645,000  
American Airlines, Inc./AAdvantage Loyalty IP Ltd. (USD) (a)

  5.50%   04/20/26   1,682,013
        5,682,932
   
Total Foreign Corporate Bonds and Notes

  118,598,978
    (Cost $120,072,534)            
Par
Amount
(Local Currency)
  Description   Stated
Rate
  Stated
Maturity
  Value
(US Dollars)
CAPITAL PREFERRED SECURITIES – 7.2%
    Automotive – 1.2%            
5,935,000  
General Motors Financial Co., Inc., Series A (USD) (b) (e)

  5.75%   (g)   6,278,043
    Banking – 2.9%            
2,940,000  
Bank of America Corp., Series DD (USD) (e)

  6.30%   (g)   3,234,000
3,000,000  
Barclays Bank PLC, 3 Mo. EUR LIBOR + 0.71% (EUR) (f) (h)

  0.11%   (g)   3,260,483
4,475,000  
Citigroup, Inc., Series M (USD) (e)

  6.30%   (g)   4,618,424
3,935,000  
Citigroup, Inc., Series V (USD) (e)

  4.70%   (g)   3,949,953
        15,062,860

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Par
Amount
(Local Currency)
  Description   Stated
Rate
  Stated
Maturity
  Value
(US Dollars)
CAPITAL PREFERRED SECURITIES (Continued)
    Financial Services – 1.2%            
3,175,000  
American AgCredit Corp., Series QIB (USD) (a) (b) (e)

  5.25%   (g)   $3,246,437
3,210,000  
Textron Financial Corp., 3 Mo. LIBOR + 1.74% (USD) (a) (b) (h)

  1.89%   02/15/42   2,696,400
        5,942,837
    Insurance – 1.6%            
5,400,000  
Hartford Financial Services Group (The), Inc., 3 Mo. LIBOR + 2.13% (USD) (a) (b) (h)

  2.81%   02/12/47   5,198,791
3,500,000  
Lincoln National Corp., 3 Mo. LIBOR + 2.36% (USD) (b) (h)

  2.52%   05/17/66   3,062,500
        8,261,291
    Utility – 0.3%            
1,695,000  
Edison International (USD) (b) (e)

  5.00%   (g)   1,692,763
   
Total Capital Preferred Securities

  37,237,794
    (Cost $36,571,299)            
Principal
Value
  Description   Rate (i)   Stated
Maturity (j)
  Value
SENIOR FLOATING-RATE LOAN INTERESTS – 2.2%
    Capital Goods – 0.5%            
$2,887,500  
ADS Tactical, Inc., Initial Term Loan, 1 Mo. LIBOR + 5.75%, 1.00% Floor

  6.75%   03/19/26   2,860,444
    Insurance – 0.2%            
980,100  
HUB International Ltd., Term Loan B3, 1 Mo. LIBOR + 3.25%, 0.75% Floor

  4.00%   04/25/25   977,817
    Services – 1.4%            
7,000,000  
TruGreen L.P., Initial Term Loan (Second Lien), 1 Mo. LIBOR + 8.50%, 0.75% Floor

  9.25%   11/02/28   7,052,500
    Technology & Electronics – 0.1%            
600,000  
Dcert Buyer, Inc., First Amendment Refinancing Loan (Second Lien), 1 Mo. LIBOR + 7.00%, 0.00% Floor

  7.11%   02/16/29   602,700
   
Total Senior Floating-Rate Loan Interests

  11,493,461
    (Cost $11,279,951)            
Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
MORTGAGE-BACKED SECURITIES – 0.5%
    Collateralized Mortgage Obligations – 0.0%            
    Washington Mutual Alternative Mortgage Pass-Through
Certificates 
           
12,841  
Series 2007-5, Class A11, 1 Mo. LIBOR x -6 + 39.48% (k)

  38.83%   06/25/37   22,366
    Commercial Mortgage-Backed Securities – 0.5%            
    Securitized Asset Backed Receivables LLC Trust             
6,675,563  
Series 2006-FR4, Class A2A, 1 Mo. LIBOR + 0.08% (h)

  0.19%   08/25/36   2,807,371
   
Total Mortgage-Backed Securities

  2,829,737
    (Cost $5,066,609)            
    

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
Shares   Description   Value
COMMON STOCKS – 0.1%
    Energy – 0.0%    
7  
Thunderbird Resources Equity, Inc. (l) (m) (n) (o)

  $66,253
    Utility – 0.1%    
13,918  
Vistra Corp.

  303,552
   
Total Common Stocks

  369,805
    (Cost $997,888)    
RIGHTS – 0.0%
    Utility – 0.0%    
13,918  
Vistra Corp., no expiration date (m) (o)

  19,068
    (Cost $22,917)    
   
Total Investments – 132.3%

  687,318,481
    (Cost $689,712,972)            

 

Principal
Value
  Description   Stated
Coupon
  Stated
Maturity
  Value
U.S. GOVERNMENT BONDS SOLD SHORT – (10.6)%
$(30,000,000)  
United States Treasury Note

  1.38%   09/30/23   (30,159,375)
(24,000,000)  
United States Treasury Note

  2.88%   05/31/25   (25,113,750)
   
Total U.S. Government Bonds Sold Short

  (55,273,125)
    (Proceeds $52,553,860)            
CORPORATE BONDS SOLD SHORT – (0.9)%
    Energy – (0.3)%            
(1,600,000)  
Halliburton Co.

  2.92%   03/01/30   (1,606,322)
    Technology & Electronics – (0.6)%            
(2,930,000)  
Amkor Technology, Inc. (a)

  6.63%   09/15/27   (3,082,360)
   
Total Corporate Bonds Sold Short

  (4,688,682)
    (Proceeds $4,479,457)            
FOREIGN CORPORATE BONDS SOLD SHORT – (0.6)%
    Basic Industry – (0.6)%            
(2,900,000)  
FMG Resources (August 2006) Pty Ltd. (USD) (a)

  5.13%   05/15/24   (3,008,141)
    (Proceeds $3,026,975)            
   
Total Investments Sold Short – (12.1)%

  (62,969,948)
    (Proceeds $60,060,292)            
Outstanding Loan – (27.4)%

 (142,061,522)
 
Net Other Assets and Liabilities – 7.2%

 37,082,130
 
Net Assets – 100.0%

 $519,369,141
    
Forward Foreign Currency Contracts
Settlement
Date
  Counterparty   Amount
Purchased
  Amount
Sold
  Purchase
Value as of
1/31/2022
  Sale
Value as of
1/31/2022
  Unrealized
Appreciation/
(Depreciation)
05/06/22   JPM   USD 4,043,188   EUR 3,574,000   $ 4,043,188   $ 4,025,022   $ 18,166
05/06/22   JPM   USD 1,337,941   GBP 992,000    1,337,941    1,333,476     4,465
Net Unrealized Appreciation / (Depreciation)

  $22,631
    
Counterparty Abbreviations
JPM JPMorgan Chase
    

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
(a) This security, sold within the terms of a private placement memorandum, is exempt from registration upon resale under Rule 144A of the Securities Act of 1933, as amended (the “1933 Act”), and may be resold in transactions exempt from registration, normally to qualified institutional buyers. Pursuant to procedures adopted by the Fund Board of Trustees, this security has been determined to be liquid by MacKay Shields LLC, the Fund’s sub-advisor (the “Sub-Advisor”). Although market instability can result in periods of increased overall market illiquidity, liquidity for each security is determined based on security specific factors and assumptions, which require subjective judgment. At January 31, 2022, securities noted as such amounted to $466,434,334 of total investments and $(6,090,501) of total investments sold short, or 89.8% and (1.2)% of net assets, respectively.
(b) This security or a portion of this security is segregated as collateral for investments sold short.
(c) These notes are Senior Payment-in-kind (“PIK”) Toggle Notes whereby the issuer may, at its option, elect to pay interest on the notes (1) entirely in cash or (2) entirely in PIK interest. Interest paid in cash will accrue on the notes at a rate of 7.75% per annum (“Cash Interest Rate”) and PIK interest will accrue on the notes at a rate per annum equal to the Cash Interest Rate plus 75 basis points. For the fiscal year-to-date period (November 1, 2021 to January 31, 2022), this security paid all of its interest in cash.
(d) These notes are Senior PIK Toggle Notes whereby the issuer may, at its option, elect to pay interest on the notes (1) entirely in cash or (2) entirely in PIK interest. Interest paid in cash will accrue on the notes at a rate of 8.25% per annum and PIK interest will accrue on the notes at a rate per annum equal to the Cash Interest Rate plus 75 basis points. For the fiscal year-to-date period (November 1, 2021 to January 31, 2022), this security paid all of its interest in cash.
(e) Fixed-to-floating or fixed-to-variable rate security. The interest rate shown reflects the fixed rate in effect at January 31, 2022. At a predetermined date, the fixed rate will change to a floating rate or a variable rate.
(f) This security may be resold to qualified foreign investors and foreign institutional buyers under Regulation S of the 1933 Act.
(g) Perpetual maturity.
(h) Floating or variable rate security.
(i) Senior Floating-Rate Loan Interests (“Senior Loans”) in which the Fund invests pay interest at rates which are periodically predetermined by reference to a base lending rate plus a premium. These base lending rates are generally (i) the lending rate offered by one or more major European banks, such as the LIBOR, (ii) the prime rate offered by one or more United States banks or (iii) the certificate of deposit rate. Certain Senior Loans are subject to a LIBOR floor that establishes a minimum LIBOR rate.
(j) Senior Loans generally are subject to mandatory and/or optional prepayment. As a result, the actual remaining maturity of Senior Loans may be substantially less than the stated maturities shown.
(k) Inverse floating rate security.
(l) This security is fair valued by the Pricing Committee of the Fund’s investment advisor, First Trust Advisors L.P. (the “Advisor”), in accordance with procedures adopted by the Fund’s Board of Trustees, and in accordance with the provisions of the Investment Company Act of 1940, as amended. At January 31, 2022, securities noted as such are valued at $66,253 or 0.0% of net assets.
(m) Pursuant to procedures adopted by the Fund’s Board of Trustees, this security has been determined to be illiquid by the Sub-Advisor.
(n) This security’s value was determined using significant unobservable inputs (see Valuation Inputs section).
(o) Non-income producing security.
    
EUR Euro
GBP British Pound Sterling
LIBOR London Interbank Offered Rate
USD United States Dollar

Valuation Inputs
The Fund is 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.

First Trust High Income Long/Short Fund (FSD)
Portfolio of Investments (Continued)
January 31, 2022 (Unaudited)
A summary of the inputs used to value the Fund’s investments as of January 31, 2022 is as follows:
ASSETS TABLE
  Total
Value at
1/31/2022
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Corporate Bonds and Notes*

$516,769,638 $$516,769,638 $
Foreign Corporate Bonds and Notes*

118,598,978 118,598,978
Capital Preferred Securities*

37,237,794 37,237,794
Senior Floating-Rate Loan Interests*

11,493,461 11,493,461
Mortgage-Backed Securities

2,829,737 2,829,737
Common Stocks:        
Energy

66,253 66,253
Utility

303,552 303,552
Rights*

19,068 19,068
Total Investments

687,318,481 303,552 686,948,676 66,253
Forward Foreign Currency Contracts

22,631 22,631
Total

$687,341,112 $303,552 $686,971,307 $66,253
 
LIABILITIES TABLE
  Total
Value at
1/31/2022
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
U.S. Government Bonds Sold Short

$(55,273,125) $$(55,273,125) $
Corporate Bonds Sold Short*

(4,688,682) (4,688,682)
Foreign Corporate Bonds Sold Short*

(3,008,141) (3,008,141)
Total Investments

$(62,969,948) $$(62,969,948) $
    
* See Portfolio of Investments for industry breakout.
Level 3 Common Stocks are fair valued by the Advisor’s Pricing Committee. These values are based on unobservable and non-quantitative inputs.