NPORT-EX 2 750382FT063025.htm EDGAR HTML
First Trust Bloomberg Shareholder Yield ETF (SHRY)
Portfolio of Investments
June 30, 2025 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.8%
Aerospace & Defense — 4.1%
1,367
General Dynamics Corp.
$398,699
640
Lockheed Martin Corp.
296,410
 
695,109
Air Freight & Logistics —
3.1%
5,260
United Parcel Service, Inc.,
Class B
530,944
Beverages — 1.0%
2,433
Coca-Cola (The) Co.
172,135
Biotechnology — 0.5%
446
AbbVie, Inc.
82,786
Capital Markets — 6.2%
1,132
Ameriprise Financial, Inc.
604,182
889
Blackstone, Inc.
132,977
1,123
CME Group, Inc.
309,521
 
1,046,680
Chemicals — 0.8%
300
Linde PLC
140,754
Consumer Staples Distribution
& Retail — 0.3%
52
Costco Wholesale Corp.
51,477
Electrical Equipment — 2.3%
1,086
Eaton Corp. PLC
387,691
Electronic Equipment,
Instruments & Components
— 3.2%
3,190
TE Connectivity PLC
538,057
Energy Equipment & Services
— 1.6%
8,196
Schlumberger N.V.
277,025
Financial Services — 3.5%
1,103
Fiserv, Inc. (a)
190,168
306
Mastercard, Inc., Class A
171,954
668
Visa, Inc., Class A
237,173
 
599,295
Ground Transportation —
5.1%
15,842
CSX Corp.
516,924
1,496
Union Pacific Corp.
344,200
 
861,124
Health Care Equipment &
Supplies — 1.0%
1,263
Abbott Laboratories
171,781
Health Care Providers &
Services — 2.0%
877
HCA Healthcare, Inc.
335,979
Shares
Description
Value
 
Hotels, Restaurants & Leisure
— 1.5%
849
McDonald’s Corp.
$248,052
Household Products — 6.0%
3,618
Colgate-Palmolive Co.
328,876
3,538
Kimberly-Clark Corp.
456,119
1,488
Procter & Gamble (The) Co.
237,068
 
1,022,063
Insurance — 7.8%
3,916
Aflac, Inc.
412,981
497
Chubb Ltd.
143,991
9,567
MetLife, Inc.
769,378
 
1,326,350
Interactive Media & Services
— 2.3%
1,276
Alphabet, Inc., Class A
224,869
230
Meta Platforms, Inc., Class A
169,761
 
394,630
IT Services — 2.5%
609
Accenture PLC, Class A
182,024
799
International Business Machines
Corp.
235,529
 
417,553
Machinery — 3.4%
1,499
Caterpillar, Inc.
581,927
Media — 7.2%
1,626
Charter Communications, Inc.,
Class A (a)
664,725
15,716
Comcast Corp., Class A
560,904
 
1,225,629
Oil, Gas & Consumable Fuels
— 4.7%
3,736
EOG Resources, Inc.
446,863
12,069
Kinder Morgan, Inc.
354,829
 
801,692
Pharmaceuticals — 1.1%
2,361
Merck & Co., Inc.
186,897
Professional Services — 1.3%
715
Automatic Data Processing, Inc.
220,506
Semiconductors &
Semiconductor Equipment
— 11.5%
2,026
Applied Materials, Inc.
370,900
441
KLA Corp.
395,021
4,417
Lam Research Corp.
429,951
1,954
NXP Semiconductors N.V.
426,930
2,044
QUALCOMM, Inc.
325,527
 
1,948,329

First Trust Bloomberg Shareholder Yield ETF (SHRY)
Portfolio of Investments (Continued)
June 30, 2025 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Software — 3.3%
864
Adobe, Inc. (a)
$334,265
442
Microsoft Corp.
219,855
 
554,120
Specialty Retail — 2.4%
1,815
Lowe’s Cos., Inc.
402,694
Technology Hardware, Storage
& Peripherals — 5.1%
1,238
Apple, Inc.
254,001
25,355
HP, Inc.
620,183
 
874,184
Tobacco — 5.0%
14,390
Altria Group, Inc.
843,686
Total Common Stocks
16,939,149
(Cost $15,818,603)
MONEY MARKET FUNDS — 0.0%
6,737
Dreyfus Government Cash
Management Fund,
Institutional Shares -
4.21% (b)
6,737
(Cost $6,737)
Total Investments — 99.8%
16,945,886
(Cost $15,825,340)
Net Other Assets and
Liabilities — 0.2%
31,781
Net Assets — 100.0%
$16,977,667
(a)
Non-income producing security.
(b)
Rate shown reflects yield as of June 30, 2025.

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of June 30, 2025 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
6/30/2025
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$16,939,149
$16,939,149
$
$
Money Market Funds
     6,737
     6,737
Total Investments
$16,945,886
$16,945,886
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Indxx Medical Devices ETF (MDEV)
Portfolio of Investments
June 30, 2025 (Unaudited)
Shares
Description
Value
COMMON STOCKS (a) — 99.6%
Biotechnology — 2.2%
850
Exact Sciences Corp. (b)
$45,169
Health Care Equipment &
Supplies — 74.4%
299
Abbott Laboratories
40,667
428
Alcon AG (CHF)
37,867
232
Align Technology, Inc. (b)
43,925
1,322
Baxter International, Inc.
40,030
187
Becton Dickinson & Co.
32,211
303
BioMerieux (EUR)
41,902
401
Boston Scientific Corp. (b)
43,071
624
Carl Zeiss Meditec AG (EUR)
41,897
232
Cochlear Ltd. (AUD)
45,871
360
Coloplast A/S, Class B (DKK)
34,194
493
Cooper (The) Cos., Inc. (b)
35,082
1,122
Demant A/S (DKK) (b)
46,802
553
Dexcom, Inc. (b)
48,271
545
Edwards Lifesciences Corp. (b)
42,625
1,881
Fisher & Paykel Healthcare
Corp., Ltd. (NZD)
41,334
597
GE HealthCare Technologies,
Inc.
44,220
524
Globus Medical, Inc.,
Class A (b)
30,927
651
Hologic, Inc. (b)
42,419
394
Hoya Corp. (JPY)
46,936
148
Insulet Corp. (b)
46,499
76
Intuitive Surgical, Inc. (b)
41,299
1,655
Koninklijke Philips N.V. (EUR)
39,790
246
Masimo Corp. (b)
41,382
451
Medtronic PLC
39,314
406
Merit Medical Systems, Inc. (b)
37,953
2,940
Olympus Corp. (JPY)
35,013
138
Penumbra, Inc. (b)
35,415
177
ResMed, Inc.
45,666
766
Siemens Healthineers AG
(EUR) (c) (d)
42,463
2,997
Smith & Nephew PLC (GBP)
45,787
132
Sonova Holding AG (CHF)
39,328
171
STERIS PLC
41,078
321
Straumann Holding AG (CHF)
41,892
107
Stryker Corp.
42,332
1,934
Sysmex Corp. (JPY)
33,763
288
Teleflex, Inc.
34,088
1,860
Terumo Corp. (JPY)
34,228
364
Zimmer Biomet Holdings, Inc.
33,200
 
1,530,741
Health Care Providers &
Services — 2.1%
1,873
Amplifon S.p.A. (EUR)
43,972
Shares
Description
Value
 
Life Sciences Tools & Services
— 20.9%
372
Agilent Technologies, Inc.
$43,900
160
Bio-Rad Laboratories, Inc.,
Class A (b)
38,611
206
Danaher Corp.
40,693
37
Mettler-Toledo International,
Inc. (b)
43,465
400
Revvity, Inc.
38,688
212
Sartorius Stedim Biotech (EUR)
50,644
87
Thermo Fisher Scientific, Inc.
35,275
118
Waters Corp. (b)
41,187
183
West Pharmaceutical Services,
Inc.
40,040
5,685
WuXi AppTec Co., Ltd., Class H
(HKD) (c) (d)
56,959
 
429,462
Total Common Stocks
2,049,344
(Cost $2,314,082)
MONEY MARKET FUNDS — 0.4%
7,655
Dreyfus Government Cash
Management Fund,
Institutional Shares -
4.21% (e)
7,655
(Cost $7,655)
Total Investments — 100.0%
2,056,999
(Cost $2,321,737)
Net Other Assets and
Liabilities — 0.0%
487
Net Assets — 100.0%
$2,057,486
(a)
Securities are issued in U.S. dollars unless otherwise
indicated in the security description.
(b)
Non-income producing security.
(c)
This security 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. This
security is not restricted on the foreign exchange where it
trades freely without any additional registration.
(d)
This security may be resold to qualified foreign investors and
foreign institutional buyers under Regulation S of the 1933
Act.
(e)
Rate shown reflects yield as of June 30, 2025.

First Trust Indxx Medical Devices ETF (MDEV)
Portfolio of Investments (Continued)
June 30, 2025 (Unaudited)
Abbreviations throughout the Portfolio of Investments:
AUD
Australian Dollar
CHF
Swiss Franc
DKK
Danish Krone
EUR
Euro
GBP
British Pound Sterling
HKD
Hong Kong Dollar
JPY
Japanese Yen
NZD
New Zealand Dollar
USD
United States Dollar
Country Allocation
% of Net
Assets
United States
57.2%
Japan
7.3
Switzerland
5.8
France
4.5
Germany
4.1
Denmark
3.9
Ireland
3.9
China
2.8
Australia
2.2
United Kingdom
2.2
Italy
2.2
New Zealand
2.0
Netherlands
1.9
Total Investments
100.0
Net Other Assets and Liabilities
0.0
Total
100.0%
Portfolio securities are categorized based upon their country
of incorporation, which can be different from the country
categorization of the Fund’s underlying index.
Amount is less than 0.1%.
Currency Exposure Diversification
% of Total
Investments
USD
61.1%
EUR
12.7
JPY
7.3
CHF
5.8
DKK
3.9
HKD
2.8
AUD
2.2
GBP
2.2
NZD
2.0
Total
100.0%

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of June 30, 2025 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
6/30/2025
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$2,049,344
$2,049,344
$
$
Money Market Funds
    7,655
    7,655
Total Investments
$2,056,999
$2,056,999
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Bloomberg R&D Leaders ETF (RND)
Portfolio of Investments
June 30, 2025 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 2.4%
314
Boeing (The) Co. (a)
$65,792
Automobiles — 4.1%
350
Tesla, Inc. (a)
111,181
Biotechnology — 4.8%
524
Gilead Sciences, Inc.
58,096
44
Regeneron Pharmaceuticals, Inc.
23,100
108
Vertex Pharmaceuticals, Inc. (a)
48,082
 
129,278
Broadline Retail — 7.8%
955
Amazon.com, Inc. (a)
209,517
Communications Equipment
— 1.6%
98
Arista Networks, Inc. (a)
10,026
360
Cisco Systems, Inc.
24,977
17
Motorola Solutions, Inc.
7,148
 
42,151
Electrical Equipment — 2.2%
166
Eaton Corp. PLC
59,260
Electronic Equipment,
Instruments & Components
— 1.9%
504
Amphenol Corp., Class A
49,770
Energy Equipment & Services
— 0.7%
588
Schlumberger N.V.
19,874
Health Care Equipment &
Supplies — 6.3%
122
Becton Dickinson & Co.
21,014
619
Boston Scientific Corp. (a)
66,487
149
Intuitive Surgical, Inc. (a)
80,968
 
168,469
Hotels, Restaurants & Leisure
— 5.1%
162
Airbnb, Inc., Class A (a)
21,439
14
Booking Holdings, Inc.
81,049
140
DoorDash, Inc., Class A (a)
34,512
 
137,000
Insurance — 1.2%
88
Aon PLC, Class A
31,395
Interactive Media & Services
— 12.1%
1,175
Alphabet, Inc., Class A
207,071
158
Meta Platforms, Inc., Class A
116,618
 
323,689
IT Services — 1.0%
91
International Business Machines
Corp.
26,825
Shares
Description
Value
 
Machinery — 2.0%
106
Deere & Co.
$53,900
Personal Care Products —
0.6%
806
Kenvue, Inc.
16,870
Pharmaceuticals — 4.2%
110
Eli Lilly & Co.
85,749
174
Zoetis, Inc.
27,135
 
112,884
Semiconductors &
Semiconductor Equipment
— 19.4%
161
Advanced Micro Devices,
Inc. (a)
22,846
81
Applied Materials, Inc.
14,829
543
Broadcom, Inc.
149,678
13
KLA Corp.
11,645
128
Lam Research Corp.
12,459
86
Marvell Technology, Inc.
6,656
1,676
NVIDIA Corp.
264,791
110
QUALCOMM, Inc.
17,519
91
Texas Instruments, Inc.
18,893
 
519,316
Software — 16.2%
43
Adobe, Inc. (a)
16,636
96
AppLovin Corp., Class A (a)
33,608
21
Autodesk, Inc. (a)
6,501
27
Cadence Design Systems,
Inc. (a)
8,320
22
CrowdStrike Holdings, Inc.,
Class A (a)
11,205
63
Fortinet, Inc. (a)
6,660
27
Intuit, Inc.
21,266
484
Microsoft Corp.
240,746
164
Oracle Corp.
35,855
65
Palo Alto Networks, Inc. (a)
13,302
11
Roper Technologies, Inc.
6,235
20
ServiceNow, Inc. (a)
20,562
15
Synopsys, Inc. (a)
7,690
21
Workday, Inc., Class A (a)
5,040
 
433,626
Technology Hardware, Storage
& Peripherals — 6.3%
818
Apple, Inc.
167,829
Total Investments — 99.9%
2,678,626
(Cost $2,457,269)
Net Other Assets and
Liabilities — 0.1%
1,473
Net Assets — 100.0%
$2,680,099
(a)
Non-income producing security.

First Trust Bloomberg R&D Leaders ETF (RND)
Portfolio of Investments (Continued)
June 30, 2025 (Unaudited)

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of June 30, 2025 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
6/30/2025
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$2,678,626
$2,678,626
$
$
*
See Portfolio of Investments for industry breakout.

First Trust New Constructs Core Earnings Leaders ETF (FTCE)
Portfolio of Investments
June 30, 2025 (Unaudited)
Shares
Description
Value
COMMON STOCKS — 99.9%
Aerospace & Defense — 3.0%
3,677
Boeing (The) Co. (a)
$770,442
932
L3Harris Technologies, Inc.
233,783
267
TransDigm Group, Inc.
406,011
 
1,410,236
Air Freight & Logistics —
0.5%
1,088
FedEx Corp.
247,313
Automobiles — 6.3%
125,054
Ford Motor Co.
1,356,836
31,906
General Motors Co.
1,570,094
 
2,926,930
Beverages — 2.3%
13,472
Coca-Cola (The) Co.
953,144
597
Constellation Brands, Inc.,
Class A
97,120
 
1,050,264
Biotechnology — 2.4%
3,203
AbbVie, Inc.
594,541
233
Alnylam Pharmaceuticals,
Inc. (a)
75,979
2,260
Gilead Sciences, Inc.
250,566
466
Vertex Pharmaceuticals, Inc. (a)
207,463
 
1,128,549
Capital Markets — 5.0%
424
Blackrock, Inc.
444,882
311
Cboe Global Markets, Inc.
72,528
4,577
Charles Schwab (The) Corp.
417,606
1,702
Intercontinental Exchange, Inc.
312,266
221
LPL Financial Holdings, Inc.
82,868
457
Moody’s Corp.
229,227
226
MSCI, Inc.
130,343
1,395
Nasdaq, Inc.
124,741
947
S&P Global, Inc.
499,344
 
2,313,805
Chemicals — 1.0%
2,513
International Flavors &
Fragrances, Inc.
184,831
2,278
PPG Industries, Inc.
259,123
 
443,954
Communications Equipment
— 2.0%
5,440
Arista Networks, Inc. (a)
556,567
918
Motorola Solutions, Inc.
385,982
 
942,549
Consumer Finance — 0.5%
1,097
Capital One Financial Corp.
233,398
Electric Utilities — 0.8%
1,799
Edison International
92,828
Shares
Description
Value
 
Electric Utilities (Continued)
1,990
Entergy Corp.
$165,409
3,319
PPL Corp.
112,481
 
370,718
Electrical Equipment — 2.0%
1,942
Eaton Corp. PLC
693,275
1,811
Vertiv Holdings Co., Class A
232,550
 
925,825
Electronic Equipment,
Instruments & Components
— 1.3%
4,297
Corning, Inc.
225,979
845
Keysight Technologies, Inc. (a)
138,462
1,467
TE Connectivity PLC
247,439
 
611,880
Energy Equipment & Services
— 1.1%
15,195
Schlumberger N.V.
513,591
Entertainment — 11.3%
2,258
Spotify Technology S.A. (a)
1,732,654
3,039
Take-Two Interactive Software,
Inc. (a)
738,021
18,819
Walt Disney (The) Co.
2,333,744
39,848
Warner Bros. Discovery, Inc. (a)
456,658
 
5,261,077
Financial Services — 4.3%
201
Corpay, Inc. (a)
66,696
1,688
Fiserv, Inc. (a)
291,028
755
Global Payments, Inc.
60,430
2,432
Mastercard, Inc., Class A
1,366,638
2,976
PayPal Holdings, Inc. (a)
221,177
 
2,005,969
Food Products — 0.2%
558
Hershey (The) Co.
92,600
Health Care Equipment &
Supplies — 1.3%
525
Becton Dickinson & Co.
90,431
2,670
Boston Scientific Corp. (a)
286,785
626
Stryker Corp.
247,664
 
624,880
Health Care Providers &
Services — 0.4%
503
Cigna Group (The)
166,282
Hotels, Restaurants & Leisure
— 2.9%
8,950
Yum! Brands, Inc.
1,326,211
Household Products — 0.2%
940
Church & Dwight Co., Inc.
90,343

First Trust New Constructs Core Earnings Leaders ETF (FTCE)
Portfolio of Investments (Continued)
June 30, 2025 (Unaudited)
Shares
Description
Value
COMMON STOCKS (Continued)
Industrial Conglomerates —
1.6%
3,201
Honeywell International, Inc.
$745,449
Insurance — 3.1%
1,646
Aflac, Inc.
173,587
1,855
American International Group,
Inc.
158,770
624
Aon PLC, Class A
222,618
752
Arthur J. Gallagher & Co.
240,730
37
Markel Group, Inc. (a)
73,902
1,464
Marsh & McLennan Cos., Inc.
320,089
668
Travelers (The) Cos., Inc.
178,717
300
Willis Towers Watson PLC
91,950
 
1,460,363
IT Services — 3.2%
5,045
International Business Machines
Corp.
1,487,165
Machinery — 0.8%
1,982
Ingersoll Rand, Inc.
164,863
1,966
Otis Worldwide Corp.
194,673
 
359,536
Metals & Mining — 1.4%
11,186
Newmont Corp.
651,696
Multi-Utilities — 1.3%
3,023
CenterPoint Energy, Inc.
111,065
1,608
Consolidated Edison, Inc.
161,363
3,904
Dominion Energy, Inc.
220,654
846
DTE Energy Co.
112,061
 
605,143
Oil, Gas & Consumable Fuels
— 1.8%
7,296
Occidental Petroleum Corp.
306,505
4,474
Phillips 66
533,748
 
840,253
Personal Care Products —
0.3%
7,369
Kenvue, Inc.
154,233
Pharmaceuticals — 5.2%
3,677
Bristol-Myers Squibb Co.
170,208
1,544
Eli Lilly & Co.
1,203,594
4,358
Johnson & Johnson
665,684
10,203
Pfizer, Inc.
247,321
749
Zoetis, Inc.
116,807
 
2,403,614
Professional Services — 0.4%
346
Broadridge Financial Solutions,
Inc.
84,089
368
Equifax, Inc.
95,448
 
179,537
Shares
Description
Value
 
Real Estate Management &
Development — 0.4%
729
CBRE Group, Inc., Class A (a)
$102,147
1,009
CoStar Group, Inc. (a)
81,124
 
183,271
Retail REITs — 0.3%
2,118
Realty Income Corp.
122,018
Semiconductors &
Semiconductor Equipment
— 16.3%
11,094
Broadcom, Inc.
3,058,061
21,642
Intel Corp.
484,781
736
KLA Corp.
659,265
4,754
Marvell Technology, Inc.
367,959
17,138
NVIDIA Corp.
2,707,633
1,340
NXP Semiconductors N.V.
292,776
 
7,570,475
Software — 7.1%
882
Atlassian Corp., Class A (a)
179,125
1,221
CrowdStrike Holdings, Inc.,
Class A (a)
621,868
1,265
MicroStrategy, Inc., Class A (a)
511,351
9,065
Oracle Corp.
1,981,881
 
3,294,225
Specialized REITs — 1.6%
1,133
American Tower Corp.
250,416
1,055
Crown Castle, Inc.
108,380
234
Equinix, Inc.
186,140
510
Extra Space Storage, Inc.
75,194
709
Iron Mountain, Inc.
72,722
259
SBA Communications Corp.
60,824
 
753,676
Technology Hardware, Storage
& Peripherals — 4.0%
8,362
Apple, Inc.
1,715,631
5,158
HP, Inc.
126,165
 
1,841,796
Tobacco — 2.3%
5,967
Philip Morris International, Inc.
1,086,770
Total Investments — 99.9%
46,425,594
(Cost $41,082,054)
Net Other Assets and
Liabilities — 0.1%
54,975
Net Assets — 100.0%
$46,480,569
(a)
Non-income producing security.
Abbreviations throughout the Portfolio of Investments:
REITs
Real Estate Investment Trusts

First Trust New Constructs Core Earnings Leaders ETF (FTCE)
Portfolio of Investments (Continued)
June 30, 2025 (Unaudited)

Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of June 30, 2025 is as follows (see Valuation Inputs in the Additional Information section):
 
Total
Value at
6/30/2025
Level 1
Quoted
Prices
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Common Stocks*
$46,425,594
$46,425,594
$
$
*
See Portfolio of Investments for industry breakout.

First Trust Exchange-Traded Fund VI
Additional Information
June 30, 2025 (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
First Trust Bloomberg Shareholder Yield ETF
First Trust Bloomberg R&D Leaders ETF
First Trust New Constructs Core Earnings Leaders ETF
“Bloomberg®”, Bloomberg Shareholder Yield Index, Bloomberg R&D Leaders Select Index and Bloomberg New Constructs Core Earnings Leaders Index licensed herein (the “Indices”) are service marks of Bloomberg Finance L.P. and its affiliates, including Bloomberg Index Services Limited (“BISL”), the administrator of the Indices (collectively, “Bloomberg”) and have been licensed for use for certain purposes by First Trust Advisors L.P. (the “Licensee”). Bloomberg is not affiliated with the Licensee, and Bloomberg does not approve, endorse, review, or recommend the financial products referenced herein (the “Financial Products”). Bloomberg does not guarantee the timeliness, accurateness, or completeness of any data or information relating to the Indices or the Financial Products.
First Trust Indxx Medical Devices ETF
Indxx and Indxx Medical Devices Index (“Index”) are trademarks of Indxx, Inc. (“Indxx”) and have been licensed for use for certain purposes by First Trust. The Fund is not sponsored, endorsed, sold or promoted by Indxx, and Indxx makes no representation regarding the advisability of trading in such product. The Index is determined, composed and calculated by Indxx without regard to First Trust or the Fund.