SDVD Holdings — FT Vest SMID Rising Dividend Achievers Target Income ETF

All 169 reported holdings of FT Vest SMID Rising Dividend Achievers Target Income ETF (SDVD) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Comfort Systems USA, Inc.1.88%$15.66M
Powell Industries, Inc.1.52%$12.67M
Enersys1.45%$12.14M
Weatherford International PLC1.33%$11.08M
Primoris Services Corp.1.31%$10.92M
Clear Secure, Inc.1.22%$10.21M
Emcor Group, Inc.1.19%$9.91M
Mueller Industries, Inc.1.09%$9.12M
Allison Transmission Holdings, Inc.1.08%$8.99M
Atmus Filtration Technologies, Inc.1.07%$8.91M
Woodward, Inc.1.04%$8.71M
Northern Trust Corp.1.04%$8.69M
Pricesmart, Inc.1.03%$8.60M
Interactive Brokers Group, Inc.1.02%$8.49M
Cactus, Inc.0.99%$8.30M
East West Bancorp, Inc.0.98%$8.18M
New York Times Company (the)0.97%$8.13M
Itt, Inc.0.97%$8.11M
Lemaitre Vascular, Inc.0.96%$7.98M
Installed Building Products, Inc.0.95%$7.97M
Applied Industrial Technologies, Inc.0.95%$7.90M
Cboe Global Markets, Inc.0.94%$7.85M
First Bancorp (puerto Rico)0.93%$7.79M
Coca-Cola Consolidated, Inc.0.92%$7.71M
Wintrust Financial Corp.0.90%$7.50M
Snap-On, Inc.0.89%$7.45M
Cullen/frost Bankers, Inc.0.89%$7.45M
Umb Financial Corp.0.89%$7.45M
Ofg Bancorp0.89%$7.41M
Ralph Lauren Corp.0.89%$7.40M
Nov, Inc.0.88%$7.35M
Sei Investments Company0.86%$7.21M
Simpson Manufacturing Co., Inc.0.86%$7.20M
Fox Corp.0.86%$7.18M
Assurant, Inc.0.86%$7.18M
Watts Water Technologies, Inc.0.86%$7.15M
Primerica, Inc.0.86%$7.15M
Graham Holdings Co.0.85%$7.12M
Perdoceo Education Corp.0.85%$7.10M
Reinsurance Group Of America, Inc.0.84%$7.01M
Advanced Drainage Systems, Inc.0.84%$7.00M
Hanover Insurance Group, Inc. (the)0.84%$6.99M
Unifirst Corp.0.83%$6.89M
Southstate Bank Corp.0.83%$6.89M
Brady Corp.0.82%$6.87M
Brink's Company (the)0.81%$6.80M
Bank Ozk0.81%$6.79M
Interdigital, Inc.0.81%$6.74M
Pultegroup, Inc.0.80%$6.66M
Williams Sonoma, Inc.0.79%$6.58M
National Healthcare Corp.0.79%$6.57M
Mgic Investment Corp.0.78%$6.47M
Assured Guaranty Ltd.0.76%$6.36M
Commerce Bancshares, Inc. (mo)0.76%$6.32M
Home Bancshares, Inc.0.76%$6.31M
Wd-40 Company0.76%$6.31M
Acuity, Inc.0.75%$6.23M
Graco, Inc.0.74%$6.17M
Chemed Corp.0.74%$6.16M
Dolby Laboratories, Inc.0.73%$6.13M
Ingredion, Inc.0.73%$6.11M
W. R. Berkley Corp.0.72%$6.03M
Alamo Group, Inc.0.71%$5.96M
Ul Solutions, Inc.0.71%$5.95M
A.o. Smith Corp.0.71%$5.90M
Interparfums, Inc.0.70%$5.84M
Zions Bancorp Na0.70%$5.80M
Element Solutions, Inc.0.69%$5.79M
Fulton Financial Corp.0.68%$5.69M
Huntington Bancshares, Inc.0.67%$5.55M
Verisign, Inc.0.66%$5.55M
Cal-Maine Foods, Inc.0.66%$5.48M
Genpact Ltd.0.65%$5.40M
Selective Insurance Group, Inc.0.64%$5.37M
Synchrony Financial0.63%$5.30M
Cincinnati Financial Corp.0.62%$5.20M
Aecom0.62%$5.20M
International Bancshares Corp.0.62%$5.19M
Marzetti Company (the)0.61%$5.11M
Toll Brothers, Inc.0.60%$5.03M
Balchem Corp.0.60%$4.99M
Enterprise Financial Services Corp.0.60%$4.98M
Netapp, Inc.0.60%$4.97M
Paycom Software, Inc.0.58%$4.81M
Msa Safety, Inc.0.58%$4.81M
Old Republic International Corp.0.57%$4.79M
Jack Henry & Associates, Inc.0.57%$4.75M
Universal Display Corp.0.56%$4.67M
Veralto Corp.0.54%$4.47M
Exponent, Inc.0.53%$4.42M
Curtiss-Wright Corp.0.53%$4.39M
Winmark Corp.0.51%$4.26M
Texas Pacific Land Corp.0.49%$4.08M
Match Group, Inc.0.48%$4.01M
Visteon Corp.0.47%$3.91M
Dover Corp.0.46%$3.85M
Onespaworld Holdings Ltd.0.46%$3.81M
Fifth Third Bancorp0.45%$3.80M
Turning Point Brands, Inc.0.45%$3.75M
Pegasystems, Inc.0.45%$3.75M
M&t Bank Corp.0.45%$3.74M
Dicks Sporting Goods, Inc.0.45%$3.73M
Enact Holdings, Inc.0.45%$3.73M
Regions Financial Corp.0.45%$3.72M
Expedia Group, Inc.0.44%$3.69M
Donaldson Company, Inc.0.44%$3.67M
T. Rowe Price Group, Inc.0.44%$3.64M
First Citizens Bancshares, Inc.0.43%$3.62M
Mueller Water Products, Inc.0.43%$3.60M
First American Financial Corp.0.43%$3.58M
Cna Financial Corp.0.42%$3.53M
Otter Tail Corp.0.42%$3.53M
Hecla Mining Company0.42%$3.52M
Eplus, Inc.0.42%$3.47M
Pinnacle Financial Partners, Inc.0.42%$3.47M
Franklin Electric Co., Inc.0.42%$3.47M
Benchmark Electronics, Inc.0.41%$3.42M
Unum Group0.41%$3.41M
Slm Corp. (sallie Mae)0.40%$3.33M
United States Lime & Minerals, Inc.0.40%$3.32M
Lincoln National Corp.0.38%$3.20M
Servisfirst Bancshares, Inc.0.38%$3.13M
Gap, Inc. (the)0.37%$3.10M
Jacobs Solutions, Inc.0.36%$3.03M
Tapestry, Inc.0.34%$2.81M
Td Synnex Corp.0.32%$2.66M
Badger Meter, Inc.0.31%$2.56M
Tutor Perini Corp.0.27%$2.25M
Voya Financial, Inc.0.27%$2.24M
Bok Financial Corp.0.26%$2.16M
Csg Systems International, Inc.0.25%$2.08M
Lincoln Electric Holdings, Inc.0.25%$2.08M
Fortive Corp.0.25%$2.08M
Valmont Industries, Inc.0.25%$2.05M
Napco Security Technologies, Inc.0.24%$2.04M
Royal Gold, Inc.0.24%$1.99M
Core Natural Resources, Inc.0.24%$1.97M
Everest Group Ltd.0.23%$1.96M
Associated Banc-Corp.0.23%$1.95M
Hubbell, Inc.0.23%$1.94M
Independent Bank Corp. (massachusetts)0.23%$1.93M
Lear Corp.0.23%$1.92M
H & R Block, Inc.0.23%$1.90M
Hancock Whitney Corp.0.23%$1.88M
First Interstate Bancsystem, Inc.0.22%$1.87M
Prog Holdings, Inc.0.22%$1.86M
Carlisle Companies, Inc.0.22%$1.84M
Idex Corp.0.22%$1.83M
Dreyfus Government Cash Management Funds0.22%$1.82M
Federated Hermes, Inc.0.22%$1.82M
Nicolet Bankshares, Inc.0.22%$1.82M
Zurn Elkay Water Solutions Corp.0.22%$1.80M
Flowserve Corp.0.20%$1.70M
Prosperity Bancshares, Inc.0.20%$1.67M
Tetra Tech, Inc.0.20%$1.65M
Kontoor Brands, Inc.0.20%$1.63M
First Merchants Corp.0.19%$1.62M
Crane Company0.19%$1.62M
Ppg Industries, Inc.0.19%$1.61M
Radian Group, Inc.0.19%$1.60M
Ensign Group, Inc. (the)0.19%$1.59M
Aptargroup, Inc.0.19%$1.57M
Huntington Ingalls Industries, Inc.0.18%$1.49M
Axis Capital Holdings Ltd.0.18%$1.47M
Csw Industrials, Inc.0.17%$1.45M
Allegion PLC0.16%$1.35M
La-Z-Boy, Inc.0.15%$1.26M
Esab Corp.0.15%$1.22M
Cboe Global Markets, Inc.-0.09%$-719.71K

SDVD overview: performance, fees, allocation and SEC filings