ETF Components for RNMC - First Trust Mid Cap US Equity Select ETF


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
VRT A 3.48 1.62
OGN A 0.71 1.22
EHC A -0.31 1.17
PEGA C 4.60 1.15
BRKR D 0.47 1.11
SEM C 0.07 1.11
KBR A 0.09 1.07
UHS C 0.58 1.03
ENSG D -0.03 1.03
VTRS C 0.87 1.01
SNX A 0.05 1.01
CHE D -2.25 1.01
SAIC C 0.27 0.95
PRGO A 2.14 0.92
AVT A 1.05 0.88
AMKR C 1.76 0.86
DLB D -0.89 0.86
VSH C 2.40 0.84
XRAY F 0.72 0.84
TFX F 0.00 0.82
AEIS D 2.32 0.81
POWI D 0.01 0.76
OLED D 1.10 0.75
DNB D 1.19 0.74
CNMD F 6.27 0.65
CNXC F -0.85 0.53
LANC D -0.51 0.42
CASY A 0.71 0.42
EME A 1.34 0.41
FLO A -1.08 0.39
REYN C -0.63 0.39
FIX B -3.02 0.38
WSM B 0.17 0.38
WING A 3.42 0.38
INGR C -1.04 0.38
VST A 0.30 0.38
ALSN B -7.19 0.36
DKS A 1.43 0.36
SEB D 0.06 0.33
AAP B 0.58 0.33
TXRH A 0.38 0.33
COKE C -1.03 0.33
AYI C 0.17 0.32
IBP B 1.89 0.32
ESAB A 0.97 0.32
MUSA A 0.19 0.32
NRG A -0.07 0.31
MDU A -0.52 0.31
H C 0.04 0.31
VAC B -0.16 0.31
EXP B 1.09 0.31
BWXT C 1.37 0.31
TPR D 1.68 0.30
CABO F 0.48 0.30
TOL B 2.44 0.30
RL C -0.27 0.30
AL A 0.19 0.30
ARMK A 0.06 0.30
EDR A 0.26 0.30
AAON A 1.39 0.30
VNT C 1.08 0.30
OC A 2.10 0.29
GPK A 0.84 0.29
DCI A 0.10 0.29
MSA A 0.04 0.29
FLS A 0.88 0.29
WMS C 0.84 0.29
MKSI C 3.85 0.29
TTEK A -0.22 0.29
ATR B 2.25 0.29
WYNN F -0.75 0.29
CW A 0.21 0.29
HAS A -0.77 0.29
NXST D -1.28 0.28
GPS C 5.59 0.28
ZWS D -0.56 0.28
BDC C 0.62 0.28
BYD F -15.44 0.28
AIT D 1.09 0.28
WU B 1.35 0.28
GNTX C 0.17 0.28
FSS A 0.94 0.28
MTN F -0.35 0.28
HOG D 4.57 0.28
RRX C 1.32 0.28
WWD A 0.56 0.28
CHH D 0.08 0.28
LECO D 0.88 0.28
OSK B -0.87 0.28
KBH C 2.07 0.27
WEN A 1.61 0.27
HRI D -1.07 0.27
LPX C -0.33 0.27
PBF A 0.49 0.27
NWSA D 0.04 0.27
SLGN B -0.13 0.27
FELE B 0.22 0.27
KNSL F -17.31 0.27
HII C 0.36 0.27
ITT B 0.81 0.27
AOS B 0.47 0.27
BBWI C 0.96 0.27
SCI C 1.27 0.27
GATX D -0.38 0.27
DDS B 0.79 0.27
TEX B -0.52 0.27
WOR C 1.39 0.27
COLM B 1.25 0.26
M D 0.44 0.26
BMI A 0.95 0.26
ALLE D -0.82 0.26
RUSHA D 2.97 0.26
SON C 0.59 0.26
ACM A 0.49 0.26
SM A 0.79 0.26
JKHY D -0.61 0.26
TPX C 0.06 0.26
HRB D -0.30 0.26
IBKR A -1.01 0.26
JWN B 0.68 0.26
GOLF C 1.07 0.26
PR A 0.29 0.26
R A -0.39 0.25
WTS D 0.04 0.25
MMS D -0.25 0.25
ETRN A 0.15 0.25
AGCO B -0.90 0.25
MGY A 0.23 0.25
PII F 0.64 0.25
SWX A -1.25 0.25
LEA D 2.24 0.25
PAG B 1.42 0.25
WMG D 2.69 0.25
CHX B -0.43 0.25
IRDM B 5.66 0.25
HI A 1.98 0.25
VMI F 0.20 0.24
ADTN F -3.06 0.24
JBT F 2.47 0.24
PVH C 0.22 0.24
TGNA F -0.81 0.24
GPI A -0.04 0.24
MTDR A 0.05 0.24
ASO C 2.79 0.24
UHAL C -0.08 0.24
BWA B 1.13 0.24
OVV A 0.23 0.24
FUL D 0.75 0.24
CGNX C 2.06 0.24
CHDN A 0.16 0.24
CRBG B 0.26 0.24
SIG B 2.15 0.24
GEF D 0.62 0.24
LSTR D -0.10 0.23
CVI D -0.48 0.23
THO F -0.16 0.23
ERIE C 0.39 0.23
WCC F -0.95 0.23
TPL A 0.62 0.23
TTC D 0.90 0.23
G F 0.68 0.23
MAN A -0.45 0.23
EXPO A 19.49 0.23
ENS D 0.32 0.23
VSTS B 0.48 0.23
NYT D -0.18 0.23
WTM B -0.88 0.23
AIRC A -0.13 0.23
HP B -0.12 0.23
WHR F -0.39 0.23
CHK A 0.65 0.23
IPAR F 1.31 0.23
MSM D -0.01 0.23
RRC A -0.90 0.23
DTM A -0.85 0.23
NSP B -4.37 0.23
MTH B 2.67 0.23
WH D -2.08 0.23
SSD D 1.63 0.23
LAD D 1.94 0.22
CCK B 1.02 0.22
BERY D 0.88 0.22
SF A 0.69 0.22
SLM A -0.14 0.22
PNW A -0.69 0.22
NWL C 12.25 0.22
HL B 1.19 0.22
EVR D 0.35 0.22
CBT A 0.60 0.22
MUR A 0.02 0.22
MLI A -1.85 0.22
LAMR B 1.38 0.22
KNX F -0.53 0.22
CIVI A 0.39 0.22
LFUS D 0.54 0.22
AXS D -2.04 0.22
ASH A 0.90 0.22
CMC D -0.43 0.22
NI A -0.57 0.22
TW C -0.30 0.22
SEE D 1.21 0.22
RNR D -0.24 0.22
BC F 1.35 0.22
UNM C -1.19 0.22
RGA A -1.19 0.22
AM A -0.28 0.22
CHRD A 0.54 0.22
NFG A -1.95 0.22
WTFC B -0.16 0.21
HLI C -0.26 0.21
PRI D -2.35 0.21
RDN C 0.13 0.21
AGO C 0.68 0.21
MORN D -0.41 0.21
AA A 2.62 0.21
CHRW D -0.06 0.21
TKR D 0.15 0.21
BKH A -0.63 0.21
ALLY A 0.41 0.21
UGI A -1.36 0.21
SEIC C 0.14 0.21
OGS B -0.91 0.21
THG D -1.34 0.21
SMG B 0.13 0.21
NEU D -0.78 0.21
BCC C 0.69 0.21
AMG C 0.39 0.21
DINO D -0.61 0.21
EMN B -0.59 0.21
CRK A 0.19 0.21
IRT A 1.28 0.21
AFG D -1.06 0.21
EQH A -0.65 0.21
SNV C 0.71 0.20
ORI A 0.37 0.20
PFSI B 0.93 0.20
BPOP A -1.54 0.20
CFR B -3.30 0.20
IDA A -0.07 0.20
PARA B -2.22 0.20
ESNT C 0.22 0.20
BOKF A 0.97 0.20
CBSH A -0.05 0.20
EWBC B -0.50 0.20
LNC D -0.54 0.20
WTRG B -1.31 0.20
AVNT A 1.00 0.20
FHN B 0.07 0.20
RGLD A 0.31 0.20
KEY C 0.62 0.20
CPT A 1.44 0.20
MTG B 0.59 0.20
NJR A 0.09 0.20
CRC A -0.65 0.20
SIGI D -1.54 0.20
AIZ D -0.44 0.20
RHP C 0.09 0.20
ESI D 0.72 0.20
MPW C -1.10 0.20
OGE A -1.91 0.20
POR A -1.04 0.20
EPRT A -0.16 0.20
JEF B 0.23 0.20
RHI F -1.77 0.20
RLI C -1.66 0.20
OHI B 0.61 0.20
EGP F 0.12 0.19
VOYA D 0.60 0.19
TRNO F -0.55 0.19
STAG D -0.17 0.19
HUN D 1.35 0.19
FNB B 0.88 0.19
NOV B -0.42 0.19
CUZ B -0.78 0.19
APLE D 0.00 0.19
BRX C -0.23 0.19
FFIN C -0.16 0.19
RYN D 0.13 0.19
JOE A 1.25 0.19
ACA C 0.83 0.19
VNO C -0.53 0.19
CUBE D -1.50 0.19
DOC A 2.51 0.19
BCPC D 0.55 0.19
IP F 0.92 0.19
OMF A 0.73 0.19
NNN C -0.66 0.19
FR D -0.09 0.19
OLN C 1.25 0.19
UFPI C 0.97 0.18
PB B -0.90 0.18
FMC F 1.14 0.18
PCH F 0.02 0.18
HWC A 1.21 0.18
ORA F -1.05 0.18
VFC F 0.16 0.18
HOMB A -0.41 0.18
GLPI F -2.23 0.18
CMA A -0.15 0.18
WBS D -0.99 0.18
REG D -1.32 0.18
LEG F 0.17 0.18
ZION B 1.19 0.18
PNFP C -1.52 0.18
CADE A -0.14 0.18
SSB D -1.28 0.18
STWD C 2.04 0.18
ADC B -0.48 0.18
PECO D -0.97 0.18
KRG A -0.65 0.18
ONB B -0.54 0.18
APA B 0.40 0.18
AGNC C 0.97 0.18
FNF C 1.02 0.18
CC C 1.07 0.17
HXL D -0.03 0.17
OZK A 0.04 0.17
GBCI C -0.75 0.17
WAL C 0.09 0.17
KRC D -0.27 0.17
FAF D -0.09 0.17
IVZ F 1.10 0.17
BXMT F 1.47 0.17
BXP C -0.71 0.17
KIM D -0.22 0.17
UBSI D -0.03 0.17
KWR C 1.49 0.17
REXR F 0.47 0.16
X D 0.67 0.16
COLD F -0.40 0.16
HE F -5.90 0.15
MKTX F 0.10 0.14
COLB C 0.58 0.13
EXPI F 1.50 0.13
VLY F -5.79 0.13
GL D 0.28 0.10
NYCB F -3.26 0.06

Recent News for First Trust Mid Cap US Equity Select ETF & its Holdings

Date Stock Title
Apr 27 WTFC Macatawa Bank Corp (MCBC) Q1 2024 Earnings: Misses Analyst Forecasts Amid Merger Developments
Apr 26 PARA Paramount Board Weighs Removing CEO Amid Sale Talks, WSJ says
Apr 26 CMA Insider Sell: EVP Cassandra Mckinney Sells 7,271 Shares of Comerica Inc (CMA)
Apr 26 OC Owens Corning and Masonite Extend Early Participation Deadline and Announce Successful Results of Early Participation in Tender Offer and Consent Solicitation
Apr 26 LPX Louisiana-Pacific (LPX) Stock Slides as Market Rises: Facts to Know Before You Trade
Apr 26 NYCB New York Community Bancorp announces new date for annual meeting of shareholders
Apr 26 NYCB NEW YORK COMMUNITY BANCORP, INC. ANNOUNCES JUNE 5TH DATE FOR THE 2024 ANNUAL MEETING OF SHAREHOLDERS
Apr 26 VFC 12 Analysts Assess VF: What You Need To Know
Apr 26 NYCB NEW YORK COMMUNITY BANCORP, INC. ANNOUNCES NEW EMPLOYMENT INDUCEMENT AWARDS
Apr 26 NYCB NYCB Investors Await New CEO’s Vision as Credit Questions Linger
Apr 26 RHI Forbes Names Robert Half One of America's Best Employers for Diversity
Apr 26 POR Portland General Electric Company (POR) Q1 2024 Earnings Call Transcript
Apr 26 LECO Lincoln Electric Announces May 2024 Events with the Financial Community
Apr 26 PARA Paramount to potentially oust CEO Bob Bakish: WSJ
Apr 26 AGNC High Risk, Low Reward For These REITs With Massive 13%+ Yields
Apr 26 MPW Medical Properties Trust, Inc. Announces First Quarter 2024 Financial Results Conference Call and Webcast
Apr 26 KNX Knight-Swift Is Hunting for Trucking Acquisitions
Apr 26 WSM Williams-Sonoma must pay almost $3.2 million for violating FTC's 'Made in USA' order
Apr 26 REXR 3 REITs That Just Raised 2024 Full-Year Guidance
Apr 26 NOV NOV Inc. (NOV) Q1 2024 Earnings Call Transcript
The Mid Cap US Equity Select ETF (the "Fund") seeks investment results that correspond generally to the price and yield (before the Fund's fees and expenses) of an equity index called the Nasdaq Riskalyze Mid Cap US Equity Select Index (the "Index"). The Fund will normally invest at least 90% of its net assets (including investment borrowings) in common stocks that comprise the Index. The Fund, using an indexing investment approach, attempts to replicate, before fees and expenses, the performance of the Index. The Fund's investment advisor seeks a correlation of 0.95 or better (before fees and expenses) between the Fund's performance and the performance of the Index; a figure of 1.00 would represent perfect correlation. The Index is owned and is developed, maintained and sponsored by Riskalyze, Inc. (the "Index Provider").
Exchange Traded Fund ETF Exchange Traded Funds Index Fund Stock Market Index
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