ETF Components for FAD - First Trust MuFirst Trust Multi CG AlphaDEX


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
APP B -2.30 0.96
PLTR B 0.25 0.69
AXON A 4.17 0.63
CVNA B 0.74 0.59
TRGP A 1.40 0.57
RCL A 0.45 0.55
VRT A 3.30 0.52
VST A 3.66 0.52
DASH B 0.29 0.51
EXPE B 1.12 0.51
GDDY A 0.38 0.50
GS B 1.42 0.50
HOOD B 1.16 0.50
EME A 2.34 0.49
KKR B 1.58 0.49
FICO A 0.13 0.49
HWM A 0.42 0.48
BK B 0.66 0.46
PWR A 2.60 0.46
CCL A 1.20 0.45
WAB B 0.61 0.45
HEI A 1.13 0.44
BURL B -0.85 0.44
TT A 1.39 0.44
AXP B 0.35 0.44
ALL A 0.87 0.44
PGR B 0.56 0.43
NRG B 0.92 0.43
URI B 1.47 0.43
CPNG D 1.00 0.42
VTR B -0.11 0.42
UTHR C -0.65 0.42
AMP A 0.74 0.41
NTRS A 0.34 0.41
LYV A 0.36 0.41
IRM C 1.63 0.41
FI A -0.24 0.40
GRMN B 1.77 0.40
FCNCA A 0.98 0.40
TMUS B -0.14 0.39
RBLX B -2.94 0.39
NVDA A -1.37 0.39
THC C -5.08 0.39
TPL A 0.01 0.39
JPM B 0.99 0.39
NOW B 1.13 0.38
ACGL D 1.71 0.37
PM A 0.79 0.37
ORCL A 1.87 0.37
MSI A 0.42 0.37
PH B 1.68 0.37
CEG C 1.71 0.37
BRO B 0.48 0.36
PCG A 0.45 0.36
GEN B 0.58 0.36
BSX A 0.90 0.36
LII A 2.57 0.35
HCA F -2.20 0.35
COST A 0.89 0.35
CTAS B 0.37 0.35
PEG A 0.43 0.34
ANET D 3.82 0.33
META C -1.11 0.33
FSLR F 1.01 0.33
RMD C 0.33 0.33
CAT C 0.64 0.33
SHW C 0.30 0.33
AFRM A 1.42 0.32
IBM C 1.79 0.32
GE D 1.11 0.32
ERIE D -0.46 0.32
AVGO D -0.79 0.32
APO B 0.03 0.32
NEE C 0.29 0.31
COIN B -4.91 0.31
SOFI A 0.44 0.30
TDG D 0.85 0.30
ALNY D -0.17 0.29
BAH F 3.77 0.29
FTNT B 0.41 0.29
BKNG A 0.92 0.29
NFLX A 0.11 0.29
GWW B 0.51 0.28
CASY A 0.45 0.27
HLT A 0.80 0.27
SFM B 1.16 0.27
ISRG A 0.61 0.27
NDAQ A 0.44 0.27
DECK A -0.20 0.27
HUBB B 1.82 0.26
AJG A 0.49 0.26
BR B 0.51 0.26
TTD B -0.14 0.26
WELL A 0.13 0.26
WSO A 0.00 0.26
AX B 1.29 0.26
MCO B 0.31 0.25
PIPR B 0.89 0.25
TJX A -1.01 0.25
QTWO A 1.13 0.25
NTRA A -0.54 0.25
BRK.A B -0.47 0.25
TYL B 0.08 0.25
ALSN B 2.28 0.25
FOUR A 1.49 0.24
HLNE B 1.35 0.24
CORT B 0.01 0.24
RDNT B -0.71 0.24
ECL D 0.56 0.24
MANH D 0.40 0.24
RKLB B 0.30 0.24
NTAP C 1.43 0.24
SPGI D 1.03 0.24
FIX A 2.90 0.24
LVS B -0.90 0.24
SO C -0.20 0.24
CSL C 0.90 0.24
ICE D 0.57 0.24
SFBS B 1.04 0.24
DUOL A 1.60 0.23
VLTO C 0.19 0.23
UBER F 0.65 0.23
PSA D 0.14 0.23
KTB B 0.00 0.23
CSWI B 0.00 0.23
CRS A 0.78 0.23
TOST A 0.52 0.23
TSCO D 0.93 0.23
IBKR A 1.03 0.22
TSLA B 0.81 0.22
EXEL B -0.35 0.22
KNF B 1.83 0.22
ACIW B 0.64 0.22
COHR B 3.98 0.22
XYL D 2.33 0.22
CW B 1.32 0.22
MOG.A B 1.25 0.22
CL D -0.29 0.22
CVLT A 0.64 0.22
ITRI B 2.38 0.22
EFX F 0.66 0.21
DY D 4.37 0.21
ENSG D -0.51 0.21
EWBC A 0.88 0.21
AMT D -0.05 0.21
WMB A 1.01 0.21
IOT A 2.56 0.21
CPAY A 0.86 0.20
MOD B 3.55 0.20
AIT B 1.52 0.20
DVA C 0.74 0.20
AAON B 1.38 0.20
LTH D 0.46 0.20
ADSK A 1.55 0.19
FFIN B 0.53 0.19
MO A 0.24 0.19
PODD B -0.66 0.19
MSTR B 0.02 0.19
PSN D 4.46 0.19
HIMS C 1.31 0.19
GMED A 0.41 0.19
PANW A -1.36 0.19
COKE C 1.13 0.19
MAR B 1.14 0.19
TPG A 0.98 0.19
EAT A -0.47 0.19
EXLS B 1.24 0.19
DELL C 1.14 0.19
HLI A 1.08 0.19
PEGA B 1.51 0.19
MMSI A 0.16 0.18
RSG A 0.08 0.18
DOV B 1.28 0.18
GWRE A 0.89 0.18
ATI C 1.74 0.18
ORLY B 0.67 0.18
RL C 2.01 0.18
SPG A 0.07 0.18
APH B 2.75 0.18
CRVL A 0.50 0.18
ARES A 0.49 0.18
TTEK F 0.99 0.18
ETN B 2.87 0.18
SLG B 1.51 0.18
AMZN B -1.37 0.18
FRPT B 1.22 0.18
TXRH B 0.24 0.18
CACI D 3.53 0.18
AAPL C -0.90 0.17
BOOT D 0.41 0.17
ROL B -0.97 0.17
TKO A 0.30 0.17
MMC D 0.05 0.17
CBOE C 0.30 0.17
AZO C 0.00 0.17
ADC A 0.00 0.17
PAYO A -0.32 0.17
ANF F -0.26 0.17
ITT B 0.00 0.17
EHC B -0.19 0.17
ITGR B 1.05 0.17
AUR C -1.91 0.17
IT C 0.47 0.17
KEX A 0.75 0.17
EXP B 2.05 0.17
IR B 0.44 0.17
ROAD B 1.89 0.16
IDCC B 0.52 0.16
POWL C 6.56 0.16
DOCU B -0.09 0.16
HRB D -0.54 0.16
ROST D 0.71 0.16
NCLH B 1.29 0.16
IESC B 1.66 0.16
BFAM F 0.00 0.16
FSS B 2.04 0.16
MCD D -1.69 0.16
VICI C 0.44 0.16
CBT C 1.09 0.16
BMI B 0.21 0.16
EPRT A 0.09 0.16
PRIM A 2.23 0.16
OTIS D 0.23 0.16
AVAV C 1.90 0.16
BCO F 1.24 0.16
CRDO C 6.18 0.16
BWXT B 2.55 0.15
TRUP B -0.71 0.15
AWI A 0.73 0.15
KO D 0.48 0.15
BLD F 1.84 0.15
WSM C -1.62 0.15
AMGN D -1.09 0.15
GVA A 0.95 0.15
AYI B 1.21 0.15
KAI B 0.00 0.15
LMND A 6.91 0.15
IBOC B 0.00 0.15
PLNT A 1.52 0.15
WWW A 0.72 0.15
BRBR A 2.11 0.15
O D 0.12 0.15
RIVN F 1.29 0.15
TGTX B 4.70 0.15
STRL B 2.43 0.15
EXR C 0.32 0.15
PI D 1.05 0.14
FTDR A 1.31 0.14
FFIV A 0.75 0.14
SCI B -0.51 0.14
PRCT B 1.39 0.14
ZETA D -5.80 0.14
STEP B 0.26 0.14
WHD B 0.00 0.14
CNK A 0.00 0.14
S C 1.33 0.14
LLY F -1.62 0.14
IBP D 1.62 0.14
ATGE B 0.93 0.14
PJT B 0.54 0.14
MCY B 0.00 0.14
USLM B 0.00 0.14
HOMB B 0.20 0.14
PRI B 0.09 0.14
ONB B 0.88 0.14
LRN A 1.28 0.14
ENVA B 0.88 0.14
SMG C 2.03 0.14
DOCS C -0.48 0.14
FLS A 0.55 0.14
QCRH B 0.60 0.14
WULF C -7.29 0.14
LNTH C 1.23 0.14
TBBK B 0.25 0.13
CLH C 0.59 0.13
BDC B 1.31 0.13
REVG B 2.19 0.13
ACLX C -1.54 0.13
GSHD A 0.58 0.13
AXSM B -0.03 0.13
BOX B 0.99 0.13
TRN B 0.43 0.13
VCYT B -0.03 0.13
CNS B 0.00 0.13
HASI F 1.60 0.13
TW A -1.38 0.13
RYAN B -0.73 0.13
RYTM C -1.63 0.13
OLLI D 2.93 0.12
CHEF A -0.14 0.12
HWKN B 0.88 0.12
ADMA B -1.82 0.12
NYT D 0.50 0.12
WYNN D -0.89 0.12
NHC C 1.10 0.12
DSGR C 1.58 0.12
ALLE D 0.74 0.12
SKWD A 0.70 0.12
SLVM B 0.61 0.12
DKS D -0.09 0.12
AMRX C 0.00 0.12
CALM A 0.54 0.12
OHI C 0.08 0.12
SBRA B 0.00 0.12
HNI A 0.27 0.12
DT D 1.46 0.12
PBI C 0.13 0.12
AZEK B 0.00 0.12
SKYW B 0.66 0.12
WWD B 1.25 0.12
HALO F -0.80 0.12
LMAT A 1.08 0.11
MPWR F -0.37 0.11
KYMR D -2.36 0.11
PTGX D 4.06 0.11
DTM A 3.19 0.11
MWA B 0.68 0.11
OSW B 0.05 0.11
VRNS D 1.40 0.11
PRK B 0.78 0.11
NBHC B 0.11 0.11
PLMR A 0.00 0.11
PRM C 0.75 0.11
ALKT B -0.03 0.11
LPLA A 1.93 0.11
VCTR B 1.84 0.11
RNA C -1.97 0.11
INTA A 1.31 0.11
ALHC C -2.68 0.11
SYBT B 0.46 0.11
DORM B 0.18 0.11
INSM C -1.80 0.11
CWAN B 0.00 0.11
CDE C -0.31 0.11
AGIO C -0.42 0.11
PTON B 0.84 0.11
SATS D 0.38 0.11
SGBX F 0.00 0.11
OUT A 0.55 0.10
ESAB B 1.80 0.10
GME C -0.21 0.10
LFST C 0.00 0.10
AORT B 0.35 0.10
SMTC B 3.23 0.10
CRM B 2.46 0.10
CENX B 0.00 0.10
WING F -0.87 0.10
RARE F 0.30 0.10
PCTY B 0.41 0.10
SABR C 0.56 0.10
RVMD B -0.21 0.10
CRWD B 1.87 0.10
CPRX C -0.95 0.10
MTCH F 0.23 0.10
CBSH B 0.76 0.10
CCOI B 1.03 0.10
PTCT B -0.36 0.10
CRUS F 0.72 0.10
JANX C -1.84 0.10
MIRM B -2.54 0.10
CRAI B 0.00 0.10
MNKD B -1.60 0.10
CFR B 0.49 0.10
TGLS B 0.62 0.10
INSP F -0.23 0.10
CHWY B 0.58 0.10
REG A 0.00 0.09
EEFT C -0.37 0.09
CHDN B -0.26 0.09
AES F -1.24 0.09
TMDX F 1.46 0.09
ORA B 0.13 0.09
IRT A 0.80 0.09
RHP B 1.61 0.09
DBX C 0.35 0.09
WM B 0.17 0.09
CHD A 0.62 0.09
ATR B 0.06 0.09
MA B 0.44 0.09
PAYX B 0.28 0.09
GOOGL B -5.56 0.09
MKTX D -1.19 0.09
WDAY C 1.68 0.09
BRX A 0.00 0.09
GKOS A 0.98 0.09
MSGS A 0.00 0.09
NMIH C 0.03 0.09
ADP B 0.45 0.09
SYK A 0.38 0.09
WTTR A 1.83 0.09
DKNG B 0.40 0.09
MKL A 0.95 0.09
BCRX D -3.77 0.09
LITE B 7.43 0.09
AON B 0.01 0.09
CWST A 1.10 0.09
OSCR D 0.88 0.09
VERX A 0.79 0.09
AXTA B 0.67 0.09
RUN F 2.99 0.09
DLR A 0.41 0.09
GPN C 0.74 0.09
YOU D -0.93 0.09
WTM A 0.00 0.09
ITCI B -0.75 0.09
FAST B 0.54 0.09
RLI A 0.22 0.09
PRGS B 1.88 0.09
FBP B 0.31 0.09
NPAB F 0.00 0.09
CUBE D 0.35 0.08
BLBD F 0.94 0.08
SBAC D 0.00 0.08
UE B 0.00 0.08
AGNC C 0.47 0.08
MU D 0.67 0.08
HURN B 0.84 0.08
LIN D 0.37 0.08
CHCO B 0.40 0.08
OII B 1.14 0.08
RNG C -0.06 0.08
KMB C 0.34 0.08
GLPI C -0.25 0.08
HRMY F -1.13 0.08
QCOM F -0.07 0.08
LAMR D 0.42 0.08
ESE B 1.05 0.08
SHAK C -0.01 0.08
GPK D 0.00 0.08
MGNI B -1.06 0.08
VITL D -2.85 0.08
GERN C 1.00 0.08
GAP D 0.48 0.08
CPT C 0.27 0.08
BLKB C 0.05 0.08
PG C 0.53 0.08
CIFR C -5.22 0.08
WAT B 0.69 0.08
BPMC C -1.58 0.08
CTRE C 0.00 0.08
BANF B 1.59 0.08
CAKE B -0.33 0.08
BGC C 0.15 0.08
WT A 1.41 0.08
APOG B 1.81 0.08
SITM B -0.78 0.08
VRTX D -0.92 0.08
KNSL B 0.51 0.08
GABC B 0.90 0.08
CROX F 0.49 0.08
CARG B -0.40 0.08
MSCI C 0.29 0.08
AVB B 0.82 0.08
SEMR C 0.00 0.08
BCPC B 0.75 0.08
CMG C 1.08 0.08
ASTH F 1.68 0.08
ESS B 0.35 0.08
EQIX A 0.44 0.08
MBIN F 2.32 0.08
KRG A -0.04 0.08
UFPT C 0.51 0.08
ITW B 0.67 0.08
PMT D 0.46 0.07
KLAC F 1.69 0.07
CWT C 0.58 0.07
AOS F 0.86 0.07
WRBY A 0.00 0.07
VRRM F 0.07 0.07
ESRT C 0.00 0.07
NRIX C -1.35 0.07
FND D 2.20 0.07
EXPO D 0.66 0.07
A F 1.63 0.07
KN B 0.00 0.07
OSIS A 0.99 0.07
AAT A 0.00 0.07
FCN D 0.61 0.07
CCI C -0.06 0.07
COLL F 0.95 0.07
AZZ A 3.31 0.07
KTOS C 1.23 0.07
ZTS D 0.24 0.07
GFF A 2.65 0.07
IIPR F 0.67 0.06
MGEE B 0.27 0.06
DRVN B 0.60 0.06
GTLS A 2.00 0.06
TNL B 1.15 0.06
LYFT C -0.85 0.06
AROC A 1.81 0.06
HEES C 0.22 0.06
ICFI F 0.42 0.06
BLFS B -0.74 0.06
HLIT F 1.08 0.06
CEIX B 3.44 0.06
CLSK C -6.71 0.06
FLNC C 0.73 0.06
ADUS D 0.00 0.06
ASPN F 2.22 0.06

Recent News for First Trust MuFirst Trust Multi CG AlphaDEX & its Holdings

Date Stock Title
Nov 21 WT Nvidia Pops, Then Drops. But This Cheap Stock May Be A 'Wise' Pick.
Nov 21 KO Warren Buffett Is Set To Collect $776 Million In Coca-Cola Dividends – But Daughter Says His Wife Buys Him The Soda 'On Sale'
Nov 21 PANW Dow Jones Rises On Surprise Jobless Claims; Nvidia Reverses From Record Highs
Nov 21 PANW Palo Alto Networks beats Q1 estimates, while guidance disappoints
Nov 21 DELL Nvidia's results are a positive for Dell and enterprise AI demand: Citi
Nov 21 PANW Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 PANW Wells Fargo lifts target price on Palo Alto even as stock dip post results
Nov 21 COIN SA Sentiment: Should the U.S. create a Strategic Bitcoin Reserve?
Nov 21 DELL Nvidia results positive for Dell, HPE, SuperMicro: Citi
Nov 21 PRGS Progress Unveils Native Next.js Support in Sitefinity, Offering Maximum Flexibility to Create and Scale Digital Experiences
Nov 21 LRN Stride, Inc. Named 2024 Company of the Year by BIG Awards for Business
Nov 21 NCLH OCEANIA CRUISES CELEBRATES 15 YEARS OF THE CULINARY CENTER, THE WORLD'S FIRST HANDS-ON COOKING SCHOOL AT SEA
Nov 21 TSLA Tesla's Optimus humanoid robot has a pop culture moment
Nov 21 PANW Palo Alto dips, but analysts stay bullish after 'strong' Q1, billings 'miss'
Nov 21 JJSF J & J Snack Foods appoints CFO
Nov 21 TSLA Tesla Stock Is Dropping After Nvidia Earnings, European EV Sales
Nov 21 META 3 Stocks That Could Go on a Bull Run Before 2024 Is Over
Nov 21 META Meta Platforms (META) Rose as its Results Beat Estimates
Nov 21 TECH Temu Parent PDD Stock Tumbles After Q3 Profit Miss, Company Cites Intensified Competition and External Challenges
The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the Defined Multi Cap Growth Index. The fund will normally invest at least 90% of its net assets in common stocks that comprise the index. The index is a modified equal-dollar weighted index designed by S&P to objectively identify and select stocks from the S&P Composite 1500(R) Growth Index that may generate positive alpha relative to traditional passive-style indices through the use of the AlphaDEX(R) selection methodology. It is non-diversified.
Exchange Traded Fund ETF
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