C000218788 Holdings — First Trust International Developed Capital Strength Portfolio

All 52 reported holdings of First Trust International Developed Capital Strength Portfolio (C000218788) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Morgan Stanley Institutional Liquidity Funds3.64%$1.35M
Imperial Oil Ltd.2.95%$1.09M
Rio Tinto PLC2.62%$968.93K
BHP Group Ltd.2.44%$903.84K
GSK plc2.41%$894.07K
Singapore Telecommunications Ltd.2.26%$837.08K
Coca-Cola HBC AG2.26%$835.47K
The Toronto-Dominion Bank2.25%$834.66K
Singapore Exchange Ltd.2.25%$832.93K
Novartis AG2.23%$824.42K
AstraZeneca PLC2.22%$821.27K
Alfa Laval AB2.20%$815.19K
ITOCHU Corp.2.18%$809.02K
Great-West Lifeco Inc.2.17%$804.55K
Deutsche Boerse AG2.15%$797.69K
Roche Holding AG2.13%$787.41K
Royal Bank of Canada2.12%$785.49K
Euronext2.10%$777.06K
Loblaws Companies Ltd.2.06%$764.63K
Hannover Rueck SE2.05%$760.85K
Aena SME S.A.2.03%$753.84K
Prudential PLC2.00%$739.66K
Industria De Diseno Textil SA1.99%$738.32K
Allianz SE1.98%$735.26K
Ferrovial SE1.97%$730.45K
Poste Italiane S.p.A.1.93%$714.82K
Zurich Insurance Group AG1.92%$712.47K
Munich Reinsurance AG1.90%$705.43K
Pan Pacific International Holdings Corp.1.87%$692.38K
Kone Oyj1.86%$690.37K
Next PLC1.82%$674.11K
Sgs SA1.82%$674.07K
Sampo PLC1.81%$672.33K
Safran SA1.80%$667.22K
Bureau Veritas SA1.79%$663.25K
Swiss RE AG1.75%$647.89K
Nestle' Capital Markets SA1.75%$647.30K
L'Oreal S.A.1.71%$632.85K
Schindler Holding AG1.67%$618.27K
Reckitt Benckiser Group PLC1.62%$599.18K
CGI Inc1.61%$594.66K
Sonova Holding AG1.58%$587.13K
Unilever PLC1.57%$581.82K
Compass Group PLC1.57%$580.06K
Aristocrat Leisure Ltd.1.44%$534.88K
Obic Co. Ltd.1.43%$531.54K
Sika AG1.43%$529.49K
The Sage Group PLC1.41%$523.02K
Amadeus IT Group SA1.39%$515.60K
Universal Music Group N.V1.34%$497.93K
3i Group PLC1.09%$402.37K
Constellation Software Inc.0.00%$0

C000218788 overview: performance, fees, allocation and SEC filings