C000087412 Holdings — First Trust BICK Index Fund

All 85 reported holdings of First Trust BICK Index Fund (C000087412) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Dr Reddy's Laboratories Ltd2.69%$325.96K
HDFC Bank Ltd2.54%$308.49K
Reliance Industries Ltd2.48%$300.35K
MakeMyTrip Ltd2.43%$295.00K
State Bank of India2.38%$288.20K
ICICI Bank Ltd2.37%$287.05K
Infosys Ltd2.37%$287.01K
ReNew Energy Global PLC2.36%$285.57K
Wipro Ltd2.27%$275.70K
WNS Holdings Ltd2.23%$270.48K
Sendas Distribuidora S/A1.29%$156.00K
Ecopro Co Ltd1.28%$155.38K
XP Inc1.25%$151.55K
NIO Inc1.21%$146.73K
Equatorial Energia SA1.15%$139.30K
Rede D'Or Sao Luiz SA1.14%$138.45K
Li Auto Inc1.14%$137.77K
Eletrobras SA1.13%$137.34K
Petroleo Brasileiro SA1.13%$136.64K
Banco do Brasil SA1.11%$135.03K
Localiza Rent a Car SA1.11%$134.66K
Itausa SA1.10%$133.91K
Hapvida Participacoes e Invest1.10%$133.89K
B3 SA - Brasil Bolsa Balcao1.10%$133.78K
NU Holdings Ltd/Cayman Islands1.10%$133.48K
PRIO SA/Brazil1.09%$132.28K
Itau Unibanco Holding SA1.08%$130.88K
Rumo SA1.07%$130.05K
Doosan Enerbility Co Ltd1.07%$130.04K
Ambev SA1.07%$129.96K
NetEase Inc1.07%$129.56K
Banco Bradesco SA1.06%$128.09K
Kum Yang Co Ltd1.05%$127.74K
Gerdau SA1.05%$127.56K
Baidu Inc1.05%$127.05K
Jbs S/a1.05%$126.76K
Trip.com Group Ltd1.04%$126.39K
Meituan1.04%$126.29K
POSCO Holdings Inc1.03%$124.30K
Weg SA1.01%$122.42K
SK Hynix Inc1.01%$122.40K
BB Seguridade Participacoes SA1.00%$121.33K
CosmoAM&T Co Ltd1.00%$120.97K
Vale SA1.00%$120.67K
Tencent Holdings Ltd0.99%$120.63K
Suzano SA0.99%$120.45K
Alibaba Group Holding Ltd0.98%$119.44K
JD.com Inc0.98%$119.39K
LG Electronics Inc0.98%$119.24K
Hyundai Motor Co0.98%$119.07K
HYBE Co Ltd0.98%$119.05K
Ke Holdings, Inc.0.98%$118.90K
Kia Corp0.98%$118.69K
Xiaomi Corp0.98%$118.63K
BYD Co Ltd0.97%$118.19K
Bank of China Ltd0.96%$116.83K
Samsung Electronics Co Ltd0.96%$116.73K
POSCO Future M Co Ltd0.96%$116.55K
StoneCo Ltd0.96%$115.93K
Ecopro BM Co Ltd0.95%$115.66K
ANTA Sports Products Ltd0.95%$115.52K
China Construction Bank Corp0.95%$115.47K
Kuaishou Technology0.95%$115.43K
Ping An0.95%$114.86K
KB Financial Group Inc0.94%$114.44K
Li Ning Co Ltd0.94%$114.34K
Yum China Holdings Inc0.94%$114.07K
Icbc0.94%$113.67K
ZTO Express Cayman Inc0.93%$113.29K
Samsung Electro-Mechanics Co L0.93%$113.27K
SenseTime Group Inc0.93%$112.79K
China Merchants Bank Co Ltd0.93%$112.57K
Shinhan Financial Group Co Ltd0.92%$111.63K
LG Chem Ltd0.92%$110.98K
Hanwha Solutions Corp0.90%$109.06K
Magazine Luiza SA0.89%$108.16K
Samsung SDI Co Ltd0.89%$107.74K
Wuxi Biologics Cayman Inc0.89%$107.66K
Sinopec Corp.0.88%$107.01K
NAVER Corp0.88%$106.25K
L&F Co Ltd0.86%$104.23K
Celltrion Inc0.85%$103.06K
Celltrion Healthcare Co Ltd0.84%$102.39K
Kakao Corp0.83%$100.35K
SK Innovation Co Ltd0.80%$96.99K

C000087412 overview: performance, fees, allocation and SEC filings