RFDI Holdings — First Trust RiverFront Dynamic Developed International ETF

All 149 reported holdings of First Trust RiverFront Dynamic Developed International ETF (RFDI) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Advantest Corp.3.38%$5.15M
Hsbc Holdings PLC3.12%$4.76M
Shell PLC2.24%$3.42M
Novartis AG2.05%$3.12M
Asml Holding NV2.01%$3.06M
Totalenergies SE1.92%$2.92M
Abb Ltd. (ch)1.86%$2.84M
Ubs Group AG1.73%$2.64M
Barclays PLC1.69%$2.58M
Allianz SE1.62%$2.47M
Bp PLC1.61%$2.45M
Bnp Paribas SA1.60%$2.45M
Banco Bilbao Vizcaya Argentaria SA1.59%$2.42M
Mizuho Financial Group, Inc.1.39%$2.12M
Nordea Bank Abp1.31%$1.99M
Natwest Group PLC1.23%$1.87M
Unipol Assicurazioni Spa1.21%$1.84M
Bper Banca Spa1.21%$1.84M
Rio Tinto PLC1.18%$1.79M
Deutsche Bank AG1.16%$1.77M
Disco Corp.1.12%$1.71M
Centrica PLC1.09%$1.67M
British American Tobacco PLC1.08%$1.65M
Bhp Group Ltd.1.08%$1.65M
Fast Retailing Company Ltd.1.08%$1.65M
Reckitt Benckiser Group PLC1.04%$1.59M
Canadian Natural Resources Ltd.1.04%$1.58M
Bp PLC1.01%$1.54M
Itochu Corp.1.00%$1.52M
Ms & Ad Insurance Group Holdings, Inc.1.00%$1.52M
Eni Spa0.95%$1.45M
Unilever PLC0.92%$1.40M
Orix Corp.0.92%$1.40M
Endesa SA - Empresa Nacional Electricidad0.92%$1.40M
Apa Group0.91%$1.39M
Axa SA0.89%$1.36M
Vinci SA0.88%$1.34M
Hoya Corp.0.87%$1.33M
Japan Tobacco, Inc.0.85%$1.30M
Poste Italiane Spa0.84%$1.27M
Recruit Holdings Co. Ltd.0.82%$1.26M
Chugai Pharmaceutical Co. Ltd.0.82%$1.25M
Ventia Services Group Ltd.0.82%$1.25M
Nestle' Capital Markets SA0.81%$1.24M
Imperial Brands PLC0.81%$1.23M
Ote-Hellenic Telecommunication Organizations SA0.77%$1.18M
National Grid PLC0.76%$1.16M
Dhl Group0.76%$1.15M
Wesfarmers Ltd.0.75%$1.15M
Singapore Airlines Ltd.0.75%$1.14M
Equinor Asa0.72%$1.10M
Credit Agricole SA0.71%$1.09M
Rio Tinto Ltd.0.71%$1.08M
3i Group PLC0.70%$1.07M
Ck Hutchison Holdings Ltd.0.70%$1.07M
Fresenius SE & Co. Kgaa0.70%$1.07M
Suncor Energy, Inc.0.69%$1.05M
Osb Group PLC0.65%$989.30K
Banca Mediolanum Spa0.64%$967.90K
Astrazeneca PLC0.62%$941.59K
Screen Holdings Co. Ltd.0.62%$941.48K
Ig Group Holdings PLC0.61%$933.64K
Tokyo Gas Company Ltd.0.59%$900.36K
Orion Oyj0.59%$895.30K
Pembina Pipeline Corp.0.59%$892.02K
Nippon Yusen Kabushiki Kaisha0.57%$873.31K
Christian Dior SE0.57%$866.79K
Hermes International SA0.57%$862.81K
Koninklijke Kpn NV0.55%$842.41K
Takeda Pharmaceutical Company Ltd.0.54%$829.13K
Mercedes-Benz Group AG0.53%$813.73K
First International Bank Of Israel Ltd. (the)0.53%$800.60K
Safestore Holdings PLC0.53%$800.43K
Kddi Corp.0.52%$798.59K
Sgs SA0.52%$792.36K
Coles Group Ltd.0.51%$775.03K
Super Retail Group Ltd.0.50%$767.48K
Niterra Co. Ltd.0.49%$745.97K
Azimut Holding Spa0.49%$745.64K
Jb Hi-Fi Ltd.0.48%$730.53K
Fortescue Ltd.0.48%$729.50K
Honda Motor Co. Ltd.0.48%$727.05K
Roche Holding AG0.48%$726.10K
Bmw - Bayerische Motoren Werke AG0.46%$706.67K
Lvmh Moet Hennessy Louis Vuitton SE0.45%$687.00K
Nintendo Company Ltd.0.44%$677.53K
Shionogi & Co. Ltd.0.43%$656.60K
Bayer AG0.41%$632.62K
Efg International AG0.41%$618.94K
Ferrari NV0.40%$616.67K
Sekisui House Ltd.0.40%$614.03K
Stellantis NV0.40%$606.07K
Novo Nordisk A/s0.39%$592.27K
Arc Resources Ltd.0.38%$585.62K
A.p. Moller-Maersk A/s0.38%$578.08K
Ntt, Inc.0.38%$576.35K
A.p. Moller-Maersk A/s0.38%$572.53K
Compania De Distribucion Integral Logista Holdings SA0.37%$568.41K
Acea Spa0.37%$565.45K
Bandai Namco Holdings, Inc.0.37%$564.70K
Vicinity Centres Re Ltd.0.36%$550.34K
Kuehne & Nagel International AG0.35%$540.43K
Pirelli & C. Spa0.35%$535.84K
Mitsui O.s.k.lines Ltd.0.34%$521.28K
Medibank Private Ltd.0.33%$506.21K
Man Group PLC0.33%$503.16K
Roche Holding AG0.33%$501.63K
Softbank Corp.0.33%$495.43K
Stockland Trust Management Ltd.0.32%$484.33K
Obic Co. Ltd.0.30%$462.37K
Japan Metropolitan Fund Investment Corp.0.30%$454.16K
J Sainsbury PLC0.29%$445.61K
Bt Group PLC0.29%$442.22K
Hafnia Ltd.0.28%$429.14K
Investec PLC0.28%$424.09K
Uss Company Ltd.0.25%$381.11K
Harvey Norman Holdings Ltd.0.25%$373.92K
Icl Group Ltd.0.24%$369.08K
Dreyfus Government Cash Management Funds0.24%$358.72K
B2gold Corp.0.23%$353.94K
Wienerberger AG0.23%$350.16K
Sandoz Group AG0.22%$338.74K
Allwyn AG (lu)0.22%$331.06K
Metcash Ltd.0.22%$330.07K
Keppel Dc REIT0.21%$327.39K
Fdj United SA0.20%$312.40K
Taylor Wimpey PLC0.20%$308.80K
Navigator Company SA (the)0.20%$307.33K
Inchcape PLC0.19%$292.93K
Zozo, Inc.0.19%$283.44K
Orient Overseas (international) Ltd.0.18%$279.19K
Elisa Oyj0.18%$276.98K
Sap SE0.18%$271.99K
Woodside Energy Group Ltd.0.18%$267.72K
Mondi PLC0.17%$262.90K
Barratt Redrow PLC0.17%$257.25K
Sega Sammy Holdings, Inc.0.17%$252.26K
B&m European Value Retail PLC0.16%$247.27K
Big Yellow Group PLC0.16%$247.05K
George Weston Ltd.0.16%$245.16K
Sanofi SA0.15%$234.32K
Proximus SA0.15%$230.67K
Hapag-Lloyd AG0.13%$199.27K
Oracle Corp. (japan)0.13%$194.76K
Spark New Zealand Ltd.0.11%$170.88K
Eurobank SA0.07%$112.37K
Magnum Ice Cream Company NV (the)0.05%$78.71K
Gsk PLC0.04%$58.46K
Evraz PLC0.00%$0

RFDI overview: performance, fees, allocation and SEC filings