First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of InvestmentsApril 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS — 98.6% | |||||
Alabama — 4.7% | |||||
$130,000 | Black Belt Energy Gas Dist AL Gas Prepay Rev Proj No. 4, Ser A-1 (Mandatory put 12/01/25) | 4.00% | 12/01/49 | $130,111 | |
1,035,000 | Black Belt Energy Gas Dist AL Gas Proj Rev Bonds Proj No. 7, Ser C-1 (Mandatory put 12/01/26) | 4.00% | 10/01/52 | 1,034,155 | |
490,000 | Black Belt Energy Gas Dist AL Gas Proj Rev Proj No. 6, Ser B (Mandatory put 12/01/26) | 4.00% | 10/01/52 | 489,600 | |
1,165,000 | Black Belt Energy Gas Dist AL Gas Proj Rev, Ser C-1 | 5.25% | 12/01/27 | 1,206,385 | |
1,000,000 | Black Belt Energy Gas Dist AL Gas Proj Rev, Ser C-1 (Mandatory put 06/01/29) | 5.25% | 02/01/53 | 1,043,851 | |
1,500,000 | Black Belt Energy Gas Dist AL Gas Proj Rev, Ser E | 5.00% | 06/01/26 | 1,522,433 | |
100,000 | Greenville AL Pub Impt Cooperative Pub Impt Rev Greenville Funding, BAM | 5.00% | 03/01/25 | 101,026 | |
1,000,000 | Hlth Care Auth for Baptist Hlth AL Ref Affiliate of UAB Hlth Sys, Ser A | 5.00% | 11/15/29 | 1,065,129 | |
2,000,000 | Jefferson Cnty AL Swr Rev Warrants Ref Warrants | 5.00% | 10/01/30 | 2,191,753 | |
2,470,000 | Lower AL Gas Dist Gas Proj Rev Bonds Proj 2 (Mandatory put 12/01/25) | 4.00% | 12/01/50 | 2,468,009 | |
300,000 | Midcity Impt Dist AL Spl Assmnt Rev | 3.88% | 11/01/27 | 279,504 | |
1,335,000 | SE AL St Gas Sply Dist Gas Sply Rev Proj #2, Ser A (Mandatory put 06/01/24) | 4.00% | 06/01/49 | 1,334,646 | |
2,000,000 | SE Energy Auth AL Cmdy Sply Rev Proj #1, Ser A (Mandatory put 10/01/28) | 4.00% | 11/01/51 | 1,980,606 | |
2,095,000 | SE Energy Auth AL Cmdy Sply Rev Proj #2, Ser B | 4.00% | 06/01/30 | 2,075,042 | |
500,000 | SE Energy Auth AL Cmdy Sply Rev Proj No. 3, Ser A-1 | 5.00% | 12/01/26 | 506,073 | |
2,000,000 | Selma AL Indl Dev Brd Rev Var Ref Intl Paper Company Proj, Ser A (Mandatory put 10/01/24) | 2.00% | 11/01/33 | 1,981,718 | |
19,410,041 | |||||
Arizona — 1.5% | |||||
500,000 | AZ St Indl Dev Auth Edu Rev Academies of Math & Science Proj, Ser B (a) | 5.00% | 07/01/29 | 505,679 | |
155,000 | AZ St Indl Dev Auth Edu Rev Jerome Fac Proj Sustainable Bonds, Ser B | 5.00% | 07/01/29 | 158,289 | |
1,180,000 | AZ St Indl Dev Auth Edu Rev Pinecrest Acdmy Horizon Inspirada & St Rose Cmps, Ser A (a) | 5.00% | 07/15/28 | 1,194,385 | |
125,000 | AZ St Indl Dev Auth Edu Rev Ref Basis Schs Projs, Ser A (a) | 5.00% | 07/01/26 | 125,539 | |
230,000 | AZ St Indl Dev Auth Edu Rev Ref Doral Acdmy of Northern NV Proj, Ser A (a) | 4.00% | 07/15/26 | 226,561 | |
500,000 | AZ St Indl Dev Auth Natl Chrt Sch Revolving Loan Fd Equitable Sch Revolving Fund Sustainable Bonds, Ser A | 4.00% | 11/01/27 | 502,447 | |
1,250,000 | Chandler AZ Indl Dev Auth Indl Dev Rev Var Intel Corp Proj, Ser 2022-2, AMT (Mandatory put 09/01/27) | 5.00% | 09/01/52 | 1,277,282 | |
1,000,000 | Coconino Cnty AZ Poll Controlcorp Var Ref NV Pwr Co Proj Remk, Ser B (Mandatory put 03/31/26) | 3.75% | 03/01/39 | 988,716 | |
95,000 | Glendale AZ Indl Dev Auth Sr Living Facs Rev Ref Royal Oaks Life Care Cmnty | 4.00% | 05/15/29 | 90,855 | |
665,000 | Pima Cnty AZ Indl Dev Auth Sr Living Rev La Posada at Pusch Ridge Proj, Ser A (a) | 5.75% | 11/15/25 | 672,957 | |
280,000 | Santa Cruz Cnty AZ Pledged Rev Ref, AGM | 4.00% | 07/01/34 | 283,323 | |
6,026,033 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
California — 4.6% | |||||
$250,000 | CA Cmnty Choice Fing Auth Clean Energy Proj Rev Sustainable Bond, Ser A-1 | 4.00% | 08/01/24 | $249,725 | |
350,000 | CA Cmnty Choice Fing Auth Clean Energy Proj Rev Sustainable Bond, Ser A-1 (Mandatory put 08/01/28) | 4.00% | 05/01/53 | 348,868 | |
4,500,000 | CA Cmnty Choice Fing Auth Clean Energy Proj Rev Sustainable Bond, Ser B-1 (Mandatory put 08/01/31) | 4.00% | 02/01/52 | 4,448,874 | |
1,000,000 | CA Cmnty Choice Fing Auth Clean Energy Proj Rev Sustainable Bond, Ser B-1 (Mandatory put 08/01/29) | 5.00% | 07/01/53 | 1,048,662 | |
50,000 | CA St Enterprise Dev Auth Stdt Hsg Rev M@College Proj, Ser A | 5.00% | 08/01/24 | 50,008 | |
385,000 | CA St Hlth Facs Fing Auth Rev El Camino Hosp | 5.00% | 02/01/33 | 403,642 | |
1,250,000 | CA St Hlth Facs Fing Auth Rev Initial Entrance Fees, Ser A | 3.85% | 11/15/27 | 1,240,776 | |
1,160,000 | CA St Hlth Facs Fing Auth Rev Var Ref Stanford Hlth Care, Ser A (Mandatory put 08/15/25) | 3.00% | 08/15/54 | 1,147,452 | |
1,350,000 | CA St Infra & Econ Dev Bank Rev Brightline W Passenger Rail Proj Remk, Ser A, AMT (Mandatory put 01/30/25) (a) (b) | 3.95% | 01/01/50 | 1,349,953 | |
525,000 | CA St Muni Fin Auth Mobile Home Park Rev Ref Sr Caritas Projs, Ser A | 5.00% | 08/15/25 | 528,879 | |
100,000 | CA St Muni Fin Auth Ref Palomar Hlth, Ser A, AGM, COPS | 5.00% | 11/01/27 | 105,230 | |
350,000 | CA St Muni Fin Auth Sol Wst Disp Rev Var Wst Mgmt Inc Proj, AMT (Mandatory put 06/03/24) (b) | 4.10% | 10/01/45 | 349,801 | |
1,000,000 | CA St Muni Fin Auth Spl Fac Rev United Airls Inc Proj, AMT | 4.00% | 07/15/29 | 994,382 | |
1,000,000 | CA St Poll Control Fin Auth Sol Wst Disp Rev Ref Waste Mgmt Inc, Ser B-1, AMT | 3.00% | 11/01/25 | 989,751 | |
250,000 | CA St Poll Control Fin Auth Sol Wst Disp Rev Var Rep Svcs Inc Proj Remk, Ser A2, AMT (Mandatory put 07/15/24) (a) (b) | 4.05% | 11/01/42 | 249,988 | |
455,000 | CA St Sch Fin Auth Chrt Sch Rev Ref Classical Academies Oceanside Proj, Ser A (a) | 4.00% | 10/01/27 | 447,415 | |
50,000 | CA St Stwd Cmntys Dev Auth Spl Tax Rev Impt Area No. 1 | 4.00% | 09/01/24 | 49,886 | |
80,000 | CA St Stwd Cmntys Dev Auth Spl Tax Rev Impt Area No. 1 | 4.00% | 09/01/25 | 79,588 | |
355,000 | CA St Stwd Cmntys Dev Auth Stwd Rev Dev Auth, Ser 2021A | 4.00% | 09/02/25 | 352,672 | |
100,000 | Folsom Ranch CA Fing Auth Spl Tax Rev White Rock Springs Ranch | 4.00% | 09/01/26 | 99,628 | |
200,000 | Long Beach CA Arpt Rev Ref, Ser A, AGM | 5.00% | 06/01/26 | 207,473 | |
730,000 | Los Angeles CA Dept of Arpts Arpt Rev Subord Ref, Ser A, AMT | 5.00% | 05/15/29 | 778,424 | |
95,000 | March Jt Pwrs Redev Agy Successor Agy CA Tax Allocation Ref March Air Force Base Redev Proj, Ser A, BAM | 4.00% | 08/01/27 | 96,085 | |
90,000 | Rancho Cordova CA Cmnty Facs Dist Spl Tax Rev Grantline 208 Cmnty Fac Dt #2018-1 | 3.00% | 09/01/24 | 89,443 | |
150,000 | River Islands CA Pub Fing Auth Spl Tax Ref Cmnty Facs Dt #2003-1, Ser A-1, AGM | 5.00% | 09/01/26 | 155,303 | |
60,000 | Roseville CA Spl Tax Svsp Westpark Federico Cmnty Facs Dt No. 1 | 3.00% | 09/01/24 | 59,417 | |
70,000 | Roseville CA Spl Tax Svsp Westpark Federico Cmnty Facs Dt No. 1 | 3.00% | 09/01/25 | 67,842 | |
85,000 | Roseville CA Spl Tax Svsp Westpark Federico Cmnty Facs Dt No. 1 | 4.00% | 09/01/26 | 84,108 | |
65,000 | San Diego CA Unif Sch Dist Ref Election 1998, Ser C-2, AGM | 5.50% | 07/01/25 | 66,736 | |
100,000 | San Diego Cnty CA Regl Arpt Auth Arpt Rev Subord Ref, Ser A | 5.00% | 07/01/24 | 100,207 | |
140,000 | San Francisco CA City & Cnty Arpts Commn Intl Arpt Rev Ref, 2nd Ser, Ser A | 4.00% | 05/01/26 | 141,923 | |
200,000 | San Francisco CA City & Cnty Dev Spl Tax Dist No Mission Rock Fac and Svcs, Ser A (a) | 4.00% | 09/01/26 | 198,205 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
California (Continued) | |||||
$400,000 | San Francisco City & Cnty CA Cmnty Facs Dist #2016-1, Ser 2021 | 4.00% | 09/01/26 | $397,810 | |
175,000 | San Luis Obispo CA Cmnty Facs Dist #2019-1 Spl Tax | 4.00% | 09/01/25 | 174,009 | |
100,000 | San Luis Obispo CA Cmnty Facs Dist #2019-1 Spl Tax | 4.00% | 09/01/26 | 99,387 | |
1,500,000 | Sanger CA Fing Auth Wstwtr Rev Ref, AGM (Pre-refunded maturity 06/15/24) | 5.00% | 06/15/34 | 1,531,674 | |
225,000 | Western Placer Wst Mgmt Auth CA Solid Wst Rev Landfill Impt Proj, Ser B | 5.00% | 06/01/34 | 238,430 | |
19,021,656 | |||||
Colorado — 2.4% | |||||
500,000 | CO St Eductnl & Cultural Facs Auth Rev Ref & Impt Chrt Sch Univ Lab Bldg Corp (a) | 5.00% | 12/15/28 | 503,554 | |
110,000 | CO St Eductnl & Cultural Facs Auth Rev Ref Chrt Sch Stargate Chrt Sch Proj, Ser A | 5.00% | 12/01/25 | 111,510 | |
400,000 | CO St Hlth Facs Auth Rev Commonspirit Hlth Oblig Grp, Ser A | 5.00% | 11/01/26 | 412,114 | |
1,000,000 | CO St Hlth Facs Auth Rev Ref Frasier Meadows Retmnt Cmnty Proj, Ser A | 5.25% | 05/15/30 | 1,020,191 | |
125,000 | CO St Hlth Facs Auth Rev Var Ref Intermountain Hlthcare, Ser B (Mandatory put 08/17/26) | 5.00% | 05/15/62 | 128,661 | |
2,000,000 | CO St Hlth Facs Auth Rev Var Ref Intermountain Hlthcare, Ser C (Mandatory put 08/15/28) | 5.00% | 05/15/62 | 2,123,346 | |
1,000,000 | Denver City & Cnty CO Arpt Rev Ref Sub Sys, Ser A, AMT | 5.00% | 12/01/31 | 1,052,215 | |
1,000,000 | Denver City & Cnty CO Arpt Rev Ref Sub Sys, Ser A, AMT | 5.00% | 12/01/34 | 1,044,398 | |
1,000,000 | Denver City & Cnty CO Arpt Rev Var Ref, Ser B2, AMT (Mandatory put 11/15/25) | 5.00% | 11/15/31 | 1,011,911 | |
770,000 | Denver City & Cnty CO Arpt Rev, Ser A, AMT | 5.00% | 11/15/25 | 785,033 | |
1,000,000 | Denver City & Cnty CO Arpt Rev, Ser A, AMT | 5.00% | 11/15/26 | 1,033,587 | |
270,000 | Gold Hill Mesa Met Dist #2 CO Ltd Tax & Spl Rev Ref, Ser A, BAM | 5.00% | 12/01/25 | 273,829 | |
500,000 | Sand Creek CO Met Dist Ref Ltd Tax, Ser A | 4.00% | 12/01/31 | 494,253 | |
9,994,602 | |||||
Connecticut — 2.0% | |||||
215,000 | CT St Hlth & Eductnl Facs Auth Rev Hartford Hlthcare, Ser A | 5.00% | 07/01/30 | 229,910 | |
50,000 | CT St Hlth & Eductnl Facs Auth Rev Hartford Hlthcare, Ser E | 5.00% | 07/01/25 | 50,083 | |
135,000 | CT St Hlth & Eductnl Facs Auth Rev Ref Yale Univ, Ser A-2 (Mandatory put 07/01/26) | 2.00% | 07/01/42 | 129,790 | |
1,500,000 | CT St Hlth & Eductnl Facs Auth Rev Var Remk, Ser A (Mandatory put 02/10/26) | 2.80% | 07/01/48 | 1,468,312 | |
365,000 | CT St Spl Tax Oblig Rev Ref Transprtn Infra, Ser B | 5.00% | 08/01/27 | 371,225 | |
2,000,000 | CT St Spl Tax Oblig Rev Transprtn Infra, Ser A | 5.00% | 09/01/30 | 2,072,050 | |
140,000 | CT St Spl Tax Oblig Rev, Ser B | 5.00% | 10/01/27 | 148,403 | |
235,000 | CT St Sustainable Bond, Ser F | 5.00% | 10/15/30 | 243,902 | |
1,000,000 | CT St, Ser B | 5.00% | 06/15/25 | 1,017,738 | |
1,500,000 | E Hartford CT Hsg Auth Multifamily Hsg Rev Var Summerfield Townhouses Proj, Ser A (Mandatory put 02/01/25) | 4.25% | 02/01/27 | 1,500,606 | |
970,000 | Univ of CT CT, Ser A | 5.00% | 11/01/26 | 1,008,536 | |
25,000 | Univ of CT CT, Ser A | 5.00% | 11/01/35 | 26,791 | |
8,267,346 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
District of Columbia — 0.3% | |||||
$1,060,000 | Met Washington DC Arpts Auth Arpt Sys Rev Ref, Ser A, AMT | 5.00% | 10/01/30 | $1,121,046 | |
250,000 | Met Washington DC Arpts Auth Arpt Sys Rev Ref, Ser B, AMT | 5.00% | 10/01/25 | 253,864 | |
1,374,910 | |||||
Florida — 8.2% | |||||
110,000 | Alachua Cnty FL Hlth Facs Auth CCRC Ref Oak Hammock at the Univ of FL Inc Proj | 4.00% | 10/01/24 | 109,555 | |
200,000 | Alachua Cnty FL Hlth Facs Auth CCRC Ref Oak Hammock at the Univ of FL Inc Proj | 4.00% | 10/01/25 | 197,724 | |
135,000 | Alachua Cnty FL Hlth Facs Auth CCRC Ref Oak Hammock at the Univ of FL Inc Proj | 4.00% | 10/01/26 | 132,832 | |
1,165,000 | Babcock Ranch Cmnty Indep Spl Dist FL Spl Assmnt Rev Assmt Area 3A (a) | 4.50% | 11/01/29 | 1,174,811 | |
380,000 | Babcock Ranch Cmnty Indep Spl Dist FL Spl Assmnt Rev Proj, Ser 2021 | 2.38% | 05/01/26 | 364,677 | |
215,000 | Babcock Ranch Cmnty Indep Spl Dist FL Spl Assmnt Rev Proj, Ser 2022 | 4.13% | 05/01/27 | 212,631 | |
160,000 | Berry Bay CDD FL Spl Assmnt Rev Assmnt Area One | 2.63% | 05/01/26 | 154,567 | |
645,000 | Berry Bay CDD FL Spl Assmnt Rev Assmnt Area One | 3.13% | 05/01/31 | 589,354 | |
205,000 | Black Creek FL CDD Spl Assmnt Expansion Area Proj | 4.80% | 06/15/27 | 206,346 | |
1,125,000 | Broward Cnty FL Arpt Sys Rev, Ser A, AMT | 5.25% | 10/01/24 | 1,126,008 | |
400,000 | Broward Cnty FL Port Facs Rev, AMT | 5.00% | 09/01/24 | 400,935 | |
1,000,000 | Broward Cnty FL Port Facs Rev Sr Bond, Ser B, AMT | 5.00% | 09/01/28 | 1,047,615 | |
460,000 | Cross Creek N CDD FL Spl Assmnt, Ser 2022 | 3.40% | 05/01/27 | 452,013 | |
810,000 | Edgewater E CDD FL Spl Assmnt Rev Assmnt Area Two | 3.00% | 05/01/27 | 774,535 | |
160,000 | Epperson N CDD FL Capital Impt Rev Assmnt Area Three, Ser A | 2.45% | 11/01/26 | 152,522 | |
400,000 | Escambia Cnty FL Envrnmntl Impt Rev Var Ref Intl Paper Company Proj, Ser B (Mandatory put 10/01/24) | 2.00% | 11/01/33 | 396,344 | |
500,000 | FL St Dept Gen Svcs Div Facs Mgmt Rev Ref FL Facs Pool, Ser A | 4.00% | 09/01/30 | 514,477 | |
110,000 | FL St Dev Fin Corp Eductnl Facs Rev River City Science Acdmy Projs, Ser A | 4.00% | 07/01/24 | 109,730 | |
330,000 | FL St Dev Fin Corp Eductnl Facs Rev River City Science Acdmy Projs, Ser A | 4.00% | 07/01/25 | 326,293 | |
155,000 | FL St Dev Fin Corp Eductnl Facs Rev River City Science Acdmy Projs, Ser A | 4.00% | 07/01/26 | 152,955 | |
150,000 | FL St Dev Fin Corp Eductnl Facs Rev River City Science Acdmy Projs, Ser A | 4.00% | 07/01/28 | 147,581 | |
105,000 | FL St Dev Fin Corp Sr Living Rev Ref Glenridge on Palmer Ranch Proj (a) | 4.00% | 06/01/24 | 104,906 | |
100,000 | FL St Dev Fin Corp Sr Living Rev Ref Glenridge on Palmer Ranch Proj (a) | 4.00% | 06/01/25 | 98,875 | |
220,000 | FL St Muni Pwr Agy Ref, Ser A | 5.00% | 10/01/30 | 226,460 | |
785,000 | Gtr Orlando FL Aviation Auth Arpt Facs Rev Prerefunded Priority Sub, Ser A, AMT | 5.00% | 10/01/24 | 787,481 | |
65,000 | Gulfstream Polo Cmnty Dev Dist FL Spl Assmnt Phase 2 Proj | 3.00% | 11/01/24 | 64,603 | |
2,890,000 | Halifax FL Hosp Med Ctr Ref | 5.00% | 06/01/27 | 2,950,174 | |
740,000 | Harmony FL CDD Capital Impt Rev Ref | 5.00% | 05/01/25 | 740,071 | |
845,000 | Hidden Creek N Cmnty Dev Dist FL Spl Assmnt, Ser A1 | 4.00% | 11/01/30 | 832,639 | |
210,000 | Hills Minneola Cmnty Dev Dist FL Spl Assmnt Rev S Parcel Assmnt Area (a) | 3.00% | 05/01/25 | 207,108 | |
55,000 | Lakes of Sarasota CDD FL Impt Rev Phase 1 Proj Assmnt Area One, Ser A-1 | 2.75% | 05/01/26 | 53,525 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Florida (Continued) | |||||
$460,000 | Lee Cnty FL Indl Dev Auth Hlthcr Facs Rev Shell Point Oblig Grp | 4.00% | 11/15/30 | $456,339 | |
550,000 | LTC Ranch W Rsdl Cmnty Dev Dist Spl Assmnt Rev Assmnt Area One Proj, Ser A | 2.50% | 05/01/26 | 529,389 | |
145,000 | LTC Ranch W Rsdl Cmnty Dev Dist Spl Assmnt Rev Assmnt Area Two Proj Pod 5, Ser AA2 | 4.85% | 05/01/31 | 144,361 | |
500,000 | Martin Cnty FL Hlth Facs Auth Martin Mem Med Ctr (Pre- refunded maturity 11/15/24) | 5.00% | 11/15/45 | 502,698 | |
1,890,000 | Miami-Dade Cnty FL Sch Brd Ref, Ser C, COPS | 5.00% | 02/01/32 | 1,931,235 | |
4,000,000 | Miami-Dade Cnty FL Seaport Rev Ref Sr Bonds, Ser A, AMT | 5.00% | 10/01/30 | 4,280,892 | |
305,000 | Mirada II Cmnty Dev Dist FL Cap Impt Rev | 2.50% | 05/01/26 | 293,008 | |
385,000 | N Springs FL Impt Dist Heron Bay Wtr Mgmt Proj, Ser 2021-1, AGM | 2.00% | 05/01/26 | 364,177 | |
1,770,000 | Palm Beach Cnty FL Hlth Facs Auth Ref Acts Retmnt Life Cmntys Inc Oblig Grp | 5.00% | 11/15/32 | 1,823,026 | |
125,000 | Pine Isle Cmnty Dev Dist FL Spl Assmnt 2021 Proj (a) | 2.38% | 12/15/26 | 119,949 | |
40,000 | Rhodine Road N CDD FL Spl Assmnt 2019 Assmnt Area | 3.50% | 05/01/24 | 40,000 | |
415,000 | Rhodine Road N CDD FL Spl Assmnt 2019 Assmnt Area | 4.00% | 05/01/30 | 414,921 | |
145,000 | Saint Johns Cnty FL Indl Dev Auth Sr Living Rev Ref Vicar’s Landing Proj, Ser A | 4.00% | 12/15/24 | 144,250 | |
450,000 | Saltleaf CDD FL Capital Impt Rev | 4.75% | 05/01/31 | 444,466 | |
960,000 | San Simeon Cmnty Dev Dist FL Spl Assmnt (a) | 3.75% | 06/15/31 | 910,897 | |
375,000 | Sarasota Natl FL CDD Spl Assmnt Ref | 3.00% | 05/01/24 | 375,000 | |
240,000 | Sarasota Natl FL CDD Spl Assmnt Ref | 3.00% | 05/01/25 | 237,281 | |
740,000 | Shell Point Cmnty Dev Dist FL Spl Assmnt (a) | 4.50% | 11/01/29 | 742,903 | |
155,000 | Shingle Creek at Bronson CDD FL Spl Assmnt | 2.50% | 06/15/26 | 149,636 | |
305,000 | Silver Palms W CDD FL Spl Assmnt 2022 Proj | 2.60% | 06/15/27 | 288,641 | |
215,000 | Six Mile Creek FL CDD Capital Impt Rev Assmnt Area 3 Phase 1 | 2.50% | 05/01/26 | 207,230 | |
465,000 | Summer Woods CDD FL Spl Assmnt Area Two 2020 Proj | 3.30% | 05/01/31 | 428,128 | |
870,000 | The Heights CDD FL Spl Assmnt Rev CDD | 4.00% | 01/01/28 | 861,483 | |
325,000 | Timber Creek SW CDD FL Spl Assmnt Area Two Proj | 2.35% | 12/15/26 | 309,057 | |
780,000 | Tolomato FL CDD Ref 2022A Assmnt Area, Ser A, AGM | 3.00% | 05/01/26 | 765,578 | |
825,000 | Tolomato FL CDD Ref 2022A Assmnt Area, Ser A, AGM | 3.00% | 05/01/28 | 805,728 | |
285,000 | V-Dana CDD FL Spl Assmnt CDD Assmnt Area One 2021 Proj | 2.60% | 05/01/26 | 275,128 | |
660,000 | Veranda CDD II FL Spl Assmnt Rev Ref Assmt Area 3 Preserve E Proj | 4.25% | 05/01/31 | 659,242 | |
225,000 | Villamar CDD FL Spl Assmnt | 4.00% | 05/01/29 | 222,192 | |
115,000 | Vlg FL CDD #6 Spl Assmnt Rev Ref | 4.00% | 05/01/25 | 115,064 | |
190,000 | Westside Haines City CDD Spl Assmnt Area One Proj | 2.50% | 05/01/26 | 182,692 | |
33,833,938 | |||||
Georgia — 6.5% | |||||
2,000,000 | Atlanta GA Arpt Rev Ref, Ser B, AMT | 5.00% | 07/01/26 | 2,054,941 | |
1,660,000 | Bartow Cnty GA Dev Auth Var GA Pwr Comp Plant Bowen Proj Remk (Mandatory put 08/19/25) | 2.88% | 08/01/43 | 1,621,515 | |
250,000 | Bartow Cnty GA Dev Auth Var Ref GA Pwr Co Plt Bowen Proj Remk, First Ser (Mandatory put 03/08/28) | 3.95% | 12/01/32 | 250,731 | |
1,000,000 | Burke Cnty GA Dev Auth Poll Control Rev GA Pwr Co Plant Vogtle Proj Remk, 1st Ser (b) | 4.15% | 11/01/48 | 1,000,000 | |
100,000 | Burke Cnty GA Dev Auth Poll Control Rev Var GA Pwr Co Plant Vogtle Proj Remk (Mandatory put 06/13/24) | 2.15% | 10/01/32 | 99,672 | |
1,000,000 | Burke Cnty GA Dev Auth Poll Control Rev Var GA Pwr Co Vogtle, 1st Ser (b) | 4.10% | 07/01/49 | 1,000,000 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Georgia (Continued) | |||||
$1,100,000 | Burke Cnty GA Dev Auth Poll Control Rev Var Ref GA Pwr Co Plant Vogtle Proj (b) | 4.25% | 11/01/52 | $1,100,000 | |
1,500,000 | Burke Cnty GA Dev Auth Poll Control Rev Var Ref GA Pwr Co Plant Vogtle Proj Remk, 1st Ser (Mandatory put 03/12/27) | 3.38% | 11/01/53 | 1,480,554 | |
250,000 | Columbia Cnty GA Hosp Auth Rev Anticipation Ctfs Wellstar Hlth Sys Inc Proj, Ser B | 5.00% | 04/01/27 | 261,580 | |
735,000 | GA St Ref Bid Grp 3, Ser C | 4.00% | 07/01/25 | 740,292 | |
1,600,000 | Heard Cnty GA Dev Auth Adj GA Pwr Co Plt Wansley Proj (b) | 4.16% | 09/01/26 | 1,600,000 | |
240,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser A | 5.00% | 05/15/25 | 240,801 | |
2,000,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser A | 5.00% | 06/01/29 | 2,048,742 | |
4,265,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser A (Mandatory put 09/01/27) | 4.00% | 07/01/52 | 4,259,212 | |
510,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser A (Mandatory put 12/01/29) | 4.00% | 09/01/52 | 506,899 | |
2,180,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser A (Mandatory put 09/01/31) | 5.00% | 05/01/54 | 2,309,667 | |
800,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser B | 5.00% | 06/01/26 | 805,782 | |
1,290,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser C (Mandatory put 09/01/26) | 4.00% | 03/01/50 | 1,291,043 | |
1,000,000 | Monroe Cnty GA Dev Auth Poll Control Rev GA Pwr Co Plant Scherer Proj Remk, 1st Ser | 2.25% | 07/01/25 | 967,493 | |
1,700,000 | Monroe Cnty GA Dev Auth Poll Control Rev Var GA Pwr Co Plt Scherer Proj Remk, 2nd Ser (Mandatory put 03/06/26) | 3.88% | 10/01/48 | 1,703,324 | |
200,000 | Muni Elec Auth of GA Plant Vogtle Units 3&4 Proj J Bonds, Ser A, AGM | 5.00% | 07/01/30 | 217,904 | |
200,000 | Muni Elec Auth of GA Plant Vogtle Units 3&4 Proj J, Ser A, AGM | 5.00% | 07/01/26 | 205,788 | |
405,000 | Muni Elec Auth of GA Plant Vogtle Units 3&4 Proj M, Ser A, AGM | 5.00% | 07/01/28 | 430,800 | |
150,000 | Muni Elec Auth of GA Ref Subord General Resolution Projs, Ser A | 4.00% | 01/01/25 | 150,143 | |
285,000 | Priv Clgs & Univs Auth GA Ref Mercer Univ Proj | 5.00% | 10/01/24 | 286,018 | |
26,632,901 | |||||
Guam — 0.1% | |||||
250,000 | Guam Govt Busn Privilege Tax Rev Ref, Ser F | 5.00% | 01/01/28 | 258,859 | |
Illinois — 8.7% | |||||
590,000 | Bolingbrook IL Ref, Ser A, AGM | 5.00% | 01/01/32 | 616,811 | |
115,000 | Chicago IL Brd of Edu Chicago Sch Reform Brd, Ser A, NATL-RE | 5.50% | 12/01/26 | 117,082 | |
110,000 | Chicago IL Brd of Edu Ref, Ser A | 5.00% | 12/01/26 | 112,491 | |
625,000 | Chicago IL Brd of Edu Sustainable Bond, Ser E | 5.13% | 12/01/32 | 624,990 | |
500,000 | Chicago IL Mf Hsg Rev Var Covent Apartments Proj (Mandatory put 09/01/24) | 4.00% | 09/01/25 | 498,567 | |
500,000 | Chicago IL Midway Arpt Rev Ref Sr Lien, Ser A, AMT, BAM | 5.00% | 01/01/27 | 516,186 | |
2,000,000 | Chicago IL Midway Arpt Rev Ref Sr, Ser C, AMT | 5.00% | 01/01/33 | 2,182,408 | |
520,000 | Chicago IL O’Hare Intl Arpt Rev Gen Sr Lien, Ser D, AMT | 5.00% | 01/01/29 | 534,663 | |
500,000 | Chicago IL O’Hare Intl Arpt Rev Ref Sr Lien O’Hare Intl Arpt, Ser C, AMT | 5.00% | 01/01/26 | 508,376 | |
210,000 | Chicago IL Ref 2003B Remk | 5.00% | 01/01/26 | 211,330 | |
100,000 | Chicago IL Ref 2003B Remk (Pre-refunded maturity 01/01/25) | 5.13% | 01/01/27 | 100,890 | |
65,000 | Chicago IL Ref, Ser C, CABS | (c) | 01/01/25 | 63,007 | |
70,000 | Chicago IL Unrefunded, Ser A | 5.00% | 01/01/26 | 70,443 | |
1,500,000 | Chicago IL Wtrwks Rev 2nd Lien Remk, BAM | 5.00% | 11/01/30 | 1,548,390 | |
2,230,000 | Chicago IL Wtrwks Rev Ref 2nd Lien, AGM | 5.25% | 11/01/34 | 2,356,407 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Illinois (Continued) | |||||
$80,000 | Chicago IL, Ser A (Pre-refunded maturity 01/01/25) | 5.00% | 01/01/26 | $80,490 | |
675,000 | Cook Cnty IL Sales Tax Rev Ref, Ser A | 5.00% | 11/15/29 | 736,965 | |
205,000 | Glencoe IL, Ser A | 3.00% | 12/15/28 | 198,135 | |
345,000 | IL St Fin Auth Hlth Svcs Facs Lease Rev Univ of IL Hlth Svcs Fac Proj | 5.00% | 10/01/24 | 345,737 | |
1,265,000 | IL St Fin Auth Rev Centegra Hlth Sys, Ser A (Pre-refunded maturity 09/01/24) | 5.00% | 09/01/39 | 1,269,168 | |
225,000 | IL St Fin Auth Rev Ref Ascension Hlth Credit Grp, Ser C | 5.00% | 02/15/27 | 235,160 | |
2,000,000 | IL St Fin Auth Rev Ref Ascension Hlth Credit Grp, Ser C | 5.00% | 02/15/30 | 2,069,544 | |
1,000,000 | IL St Fin Auth Rev Ref Rush Univ Med Ctr, Ser A | 5.00% | 11/15/24 | 1,004,698 | |
1,755,000 | IL St Fin Auth Rev Ref Rush Univ Med Ctr, Ser A | 5.00% | 11/15/30 | 1,772,558 | |
1,500,000 | IL St Fin Auth Rev Var Uchicago Medicine, Ser B2 (Mandatory put 08/15/27) | 5.00% | 08/15/52 | 1,563,863 | |
2,000,000 | IL St Hsg Dev Auth Mf Hsg Rev Var 6900 Crandon (Mandatory put 02/01/26) | 5.00% | 02/01/27 | 2,024,172 | |
1,000,000 | IL St Hsg Dev Auth Mf Hsg Rev Var Berry Manor (Mandatory put 09/01/24) | 4.00% | 09/01/25 | 997,923 | |
625,000 | IL St Hsg Dev Auth Mf Hsg Rev Var S Shore (Mandatory put 06/01/25) | 4.00% | 06/01/26 | 621,873 | |
2,000,000 | IL St Muni Elec Agy Pwr Sply Ref, Ser A | 5.00% | 02/01/26 | 2,029,806 | |
550,000 | IL St Ref, Ser B | 5.00% | 03/01/25 | 554,685 | |
500,000 | IL St Sales Tax Rev Ref, Subser C, BAM | 4.00% | 06/15/27 | 507,287 | |
180,000 | IL St Toll Hwy Auth Sr, Ser B | 5.00% | 01/01/33 | 184,879 | |
250,000 | IL St, Ser B | 5.00% | 05/01/28 | 263,192 | |
2,325,000 | IL St, Ser C | 5.00% | 11/01/29 | 2,427,632 | |
710,000 | Railsplitter IL Tobacco Stlmt Auth (Pre-refunded maturity 06/01/26) | 5.00% | 06/01/27 | 730,889 | |
1,055,000 | Rock Island Cnty IL Sch Dist #41 Rock Island, BAM | 5.00% | 12/01/29 | 1,127,751 | |
585,000 | Sales Tax Securitization Corp IL Ref Sales Tax Securitiztn, Ser A | 5.00% | 01/01/29 | 618,334 | |
2,750,000 | Schaumburg IL Ref | 4.00% | 12/01/24 | 2,745,761 | |
355,000 | Springfield IL Elec Rev Ref Sr Lien | 5.00% | 03/01/26 | 357,413 | |
400,000 | Univ of IL IL Revs Ref Auxiliary Facs Sys, Ser A | 5.00% | 04/01/27 | 403,786 | |
1,000,000 | Wauconda IL Spl Svc Area #1 Spl Tax Ref, BAM | 5.00% | 03/01/33 | 1,004,686 | |
35,938,428 | |||||
Indiana — 3.2% | |||||
125,000 | IN Bond Bank Rev Hamilton Co Projs, CABS | (c) | 01/15/26 | 116,344 | |
2,000,000 | IN St Fin Auth Envrnmntl Facs Rev Var Ref IN Pwr & Light Co Proj, Ser A | 1.40% | 08/01/29 | 1,681,227 | |
520,000 | IN St Fin Auth Envrnmntl Rev Ref Var Duke Energy IN Inc Proj Remk, Ser A-1, AMT (Mandatory put 06/01/32) | 4.50% | 05/01/35 | 519,246 | |
1,480,000 | IN St Fin Auth Hlth Fac Rev Margaret Mary Hlth Proj, Ser A | 5.00% | 03/01/30 | 1,545,576 | |
1,985,000 | IN St Fin Auth Hlth Sys Rev IN Univ Hlth Oblig Grp, Ser B (Mandatory put 07/01/25) | 2.25% | 12/01/58 | 1,948,239 | |
80,000 | IN St Fin Auth Rev BHI Sr Living, Ser A | 4.00% | 11/15/26 | 78,862 | |
315,000 | IN St Fin Auth Rev Cmnty Fdtn of NW IN Ref | 5.00% | 03/01/31 | 318,840 | |
1,000,000 | Rockport IN Poll Control Rev Ref AEP Generating Company Proj Remk, Ser A | 3.13% | 07/01/25 | 981,540 | |
1,000,000 | Rockport IN Poll Control Rev Ref AEP Generating Company Proj Remk, Ser B | 3.13% | 07/01/25 | 981,539 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Indiana (Continued) | |||||
$3,610,000 | Rockport IN Poll Control Rev Ref IN MI Pwr Co Proj Remk, Ser A | 3.05% | 06/01/25 | $3,561,034 | |
1,360,000 | Whiting IN Envrnmntl Facs Rev Ref BP Products N America Inc Proj, Ser A, AMT (Mandatory put 06/05/26) | 5.00% | 12/01/44 | 1,383,426 | |
13,115,873 | |||||
Iowa — 0.3% | |||||
1,410,000 | Pefa Inc IA Gas Proj Rev (Mandatory put 09/01/26) | 5.00% | 09/01/49 | 1,436,221 | |
Kansas — 0.9% | |||||
1,000,000 | Dodge City KS Temp Nts, Ser 2023-1 | 4.13% | 09/01/25 | 1,001,044 | |
2,660,000 | Johnson Cnty KS Unif Sch Dist #512 Shawnee Mission Ref, Ser A | 3.25% | 10/01/28 | 2,635,768 | |
3,636,812 | |||||
Kentucky — 1.6% | |||||
165,000 | Estrn KY Univ Gen Recpts, Ser A | 5.00% | 04/01/28 | 170,346 | |
240,000 | KY St Econ Dev Fin Auth Hlth Sys Rev Norton Hlthcare Inc, Ser B, CABS, NATL-RE | (c) | 10/01/25 | 225,073 | |
20,000 | KY St Econ Dev Fin Auth Ref Owensboro Hlth, Ser A | 5.00% | 06/01/25 | 19,981 | |
300,000 | KY St Muni Pwr Agy Pwr Sys Rev Ref, Ser A, NATL-RE | 5.00% | 09/01/25 | 304,147 | |
175,000 | KY St Muni Pwr Agy Pwr Sys Rev Ref, Ser A, NATL-RE | 5.00% | 09/01/30 | 176,831 | |
325,000 | KY St Pub Energy Auth Gas Sply Rev Var, Ser C (Mandatory put 02/01/28) | 4.00% | 02/01/50 | 324,185 | |
100,000 | Louisville & Jefferson Cnty KY Met Govt Hlth Sys Rev Ref Norton Hlthcare Inc, Ser A | 5.00% | 10/01/24 | 100,378 | |
330,000 | Louisville & Jefferson Cnty KY Met Govt Hlth Sys Rev Ref Norton Hlthcare Inc, Ser A | 5.00% | 10/01/25 | 335,602 | |
190,000 | Louisville & Jefferson Cnty KY Met Govt Hlth Sys Rev Ref Norton Hlthcare Inc, Ser A | 5.00% | 10/01/30 | 194,589 | |
200,000 | Louisville & Jefferson Cnty KY Met Govt Hlth Sys Rev Var Norton Hlthcare Inc, Ser C (Mandatory put 10/01/26) | 5.00% | 10/01/47 | 204,445 | |
2,100,000 | Meade Cnty KY Indl Bldg Rev Var Nucor Steel Brandenburg Proj Sustainable Bond, Ser B-1 (b) | 4.75% | 08/01/61 | 2,100,000 | |
1,195,000 | Paducah KY Elec Plant Brd Rev Ref, Ser A, AGM | 5.00% | 10/01/30 | 1,229,252 | |
1,000,000 | Trimble Cnty KY Envrnmntl Facs Rev Var Louisville Gas & Elec Co Proj, Ser A, AMT (Mandatory put 06/01/27) | 4.70% | 06/01/54 | 1,001,191 | |
6,386,020 | |||||
Louisiana — 1.3% | |||||
1,150,000 | LA St Pub Facs Auth Sol Wst Disp Fac Rev Var Elementus Minerals LLC Proj (Mandatory put 11/01/25) (a) | 5.00% | 10/01/43 | 1,155,566 | |
20,000 | New Orleans LA Aviation Brd Gen Arpt N Term, Ser B, AMT | 5.00% | 01/01/28 | 20,494 | |
455,000 | New Orleans LA Aviation Brd, Ser B, AMT | 5.00% | 01/01/31 | 456,899 | |
1,000,000 | Saint James Parish LA Rev Var Nustar Logistics LP Proj Remk, Ser 2011 (Mandatory put 06/01/25) (a) | 5.85% | 08/01/41 | 1,014,674 | |
2,150,000 | Saint John the Baptist Parish LA Rev Var Ref Marathon Oil Corp Proj Remk, Subser 2017B-1 (Mandatory put 07/01/24) | 2.13% | 06/01/37 | 2,140,248 | |
640,000 | Saint John the Baptist Parish LA Rev Var Ref Marathon Oil Corp Proj Remk, Subser 2017B-2 (Mandatory put 07/01/26) | 2.38% | 06/01/37 | 611,855 | |
5,399,736 | |||||
Maine — 0.2% | |||||
1,000,000 | ME St Fin Auth Sol Wst Disp Rev Casella Waste Sys Proj, AMT (Mandatory put 08/01/25) (a) | 5.13% | 08/01/35 | 1,002,613 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Maryland — 0.9% | |||||
$1,550,000 | MD St Econ Dev Corp Var Ref Constellation Energy Grp Proj Remk, Ser B (Mandatory put 04/03/28) | 4.10% | 10/01/36 | $1,583,749 | |
1,000,000 | MD St First Ser | 4.00% | 06/01/29 | 999,980 | |
100,000 | MD St Hlth & Hgr Eductnl Facs Auth Rev Ref Stevenson Univ Proj, Ser A | 5.00% | 06/01/28 | 103,413 | |
925,000 | MD St Stadium Auth Rev Football Stadium Issue, Ser A | 5.00% | 03/01/25 | 935,017 | |
3,622,159 | |||||
Massachusetts — 0.0% | |||||
150,000 | MA St Bay Transprtn Auth Sales Tax Rev Unrefunded Subord Sustainable Bonds, BANS | 4.00% | 05/01/25 | 150,843 | |
Michigan — 1.8% | |||||
220,000 | Detroit MI | 5.00% | 04/01/26 | 223,523 | |
435,000 | Great Lakes MI Wtr Auth Sewage Disposal Sys Rev Ref 2nd Lien, Ser C | 5.00% | 07/01/36 | 445,878 | |
140,000 | Great Lakes MI Wtr Auth Wtr Sply Sys Rev Ref Second Lien, Ser D | 5.00% | 07/01/36 | 143,501 | |
400,000 | Great Lakes MI Wtr Auth Wtr Sply Sys Rev Sr Lien Bonds, Ser B | 5.00% | 07/01/29 | 438,507 | |
85,000 | MI St Fin Auth Rev Ref Henry Ford Hlth Sys | 4.00% | 11/15/36 | 81,916 | |
155,000 | MI St Fin Auth Rev Ref Hosp McLaren Hlth Care, Ser A | 5.00% | 05/15/27 | 156,681 | |
1,000,000 | MI St Fin Auth Rev Ref Loc Govt Loan Prog Great Lakes Wtr Auth, Ser D4 | 5.00% | 07/01/30 | 1,001,394 | |
500,000 | MI St Fin Auth Rev Ref Sr Lien Great Lakes Wtr Auth, Ser C-6 | 5.00% | 07/01/32 | 500,688 | |
1,680,000 | MI St Fin Auth Rev Sr Lien Great Lakes Wtr Auth, Ser C-3, AGM | 5.00% | 07/01/29 | 1,683,344 | |
1,790,000 | MI St Fin Auth Rev Var Trinity Hlth Credit Grp, Ser B (Mandatory put 12/01/28) | 5.00% | 12/01/43 | 1,895,228 | |
1,000,000 | MI St Strategic Fund Ltd Oblg Rev Var DTE Electic Company Exempt Fac Proj, Ser 2023DT, AMT (Mandatory put 06/03/30) | 3.88% | 06/01/53 | 994,659 | |
7,565,319 | |||||
Minnesota — 2.5% | |||||
2,250,000 | Buffalo MN Indep Sch Dist #877 | 3.00% | 02/01/29 | 2,175,371 | |
3,510,000 | Hennepin Cnty MN Sales Tax Rev Ref 1st Lien Ballpark Proj, Ser A | 5.00% | 12/15/30 | 3,638,407 | |
1,000,000 | Minneapolis MN Mf Rev Var Greenway Apartments Proj (Mandatory put 08/01/24) | 2.70% | 08/01/25 | 992,810 | |
2,500,000 | MN Muni Gas Agy Cmdy Sply Rev, Ser A | 4.00% | 12/01/25 | 2,499,848 | |
1,060,000 | Saint Paul MN Hsg & Redev Auth Hlth Care Fac Rev Ref HealthPartners Oblig Grp, Ser A | 5.00% | 07/01/24 | 1,060,933 | |
10,367,369 | |||||
Mississippi — 0.1% | |||||
225,000 | MS St Busn Fin Corp Sol Wst Disp Rev Waste Mgmt Inc Proj Remk, AMT (Mandatory put 06/03/24) | 2.20% | 03/01/27 | 224,564 | |
Missouri — 1.3% | |||||
1,000,000 | Kansas City MO Indl Dev Auth Arpt Spl Oblig Kansas City Intl Arpt, Ser A, AMT | 5.00% | 03/01/30 | 1,066,712 | |
1,230,000 | MO St Hlth & Eductnl Facs Auth Hlth Facs Rev Ref Saint Lukes Hlth Sys Inc | 4.00% | 11/15/33 | 1,232,169 | |
1,000,000 | MO St Hlth & Eductnl Facs Auth Hlth Facs Rev Ref, Ser C (Mandatory put 05/01/28) | 5.00% | 05/01/52 | 1,056,332 | |
400,000 | MO St Hlth & Eductnl Facs Auth Hlth Facs Rev Var SSM Hlth, Ser F (b) | 3.85% | 06/01/36 | 400,000 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Missouri (Continued) | |||||
$235,000 | MO St Hlth & Eductnl Facs Auth Lutheran Sr Svcs Projs | 4.00% | 02/01/27 | $231,387 | |
760,000 | MO St Hlth & Eductnl Facs Auth Lutheran Sr Svcs Projs | 4.00% | 02/01/28 | 746,217 | |
200,000 | Plaza at Noah’s Ark Cmnty Impt Dist MO Tax Incr & Impt Ref | 3.00% | 05/01/24 | 200,000 | |
575,000 | Saint Louis Cnty MO Pattonville Sch Dist #R-3 | 4.00% | 03/01/25 | 577,414 | |
5,510,231 | |||||
Montana — 0.1% | |||||
275,000 | Forsyth MT Poll Control Rev Ref Puget Sound Energy Proj, Ser A | 3.90% | 03/01/31 | 260,462 | |
Nebraska — 0.7% | |||||
1,000,000 | Centrl Plains Energy Proj NE Gas Proj Rev Var Ref Proj #4, Ser A (Mandatory put 11/01/29) | 5.00% | 05/01/54 | 1,042,951 | |
400,000 | Muni Energy Agy of NE Ref | 5.00% | 04/01/28 | 414,836 | |
250,000 | Omaha NE Pub Dist Elec Rev Ref Sys, Ser A | 5.00% | 02/01/28 | 256,072 | |
1,235,000 | Omaha NE Pub Facs Corp Lease Rev, Ser A | 4.00% | 04/15/25 | 1,238,231 | |
2,952,090 | |||||
Nevada — 0.5% | |||||
120,000 | Clark Cnty NV Sch Dist Bldg Cr, Ser B, AGM | 5.00% | 06/15/31 | 128,835 | |
270,000 | Las Vegas NV Spl Impt Dist #808 & #810 Ref | 5.00% | 06/01/28 | 270,108 | |
1,000,000 | Las Vegas NV Spl Impt Dist #812 Loc Impt Summerlin Vlg 24 | 5.00% | 12/01/31 | 1,002,911 | |
300,000 | Las Vegas NV Spl Impt Dist #816 Summerlin Vlg 22 | 2.00% | 06/01/24 | 299,153 | |
225,000 | Las Vegas NV Spl Impt Dist #816 Summerlin Vlg 22 | 2.00% | 06/01/26 | 210,015 | |
1,911,022 | |||||
New Hampshire — 0.3% | |||||
1,175,000 | Natl Fin Auth NH Pollution Control Rev Ref NY St Elec & Gas Corp Proj, Ser A, AMT | 4.00% | 12/01/28 | 1,168,206 | |
New Jersey — 2.9% | |||||
1,000,000 | Casino Reinvestment Dev Auth NJ Luxury Tax Rev Ref, AGM | 5.00% | 11/01/29 | 1,007,870 | |
1,075,000 | Gloucester Twp NJ, Ser A, BANS | 5.00% | 07/25/24 | 1,076,970 | |
1,000,000 | NJ St | 2.00% | 06/01/24 | 997,337 | |
2,000,000 | NJ St | 2.00% | 06/01/29 | 1,795,832 | |
250,000 | NJ St Covid-19 Go Emergency Bonds, Ser A | 4.00% | 06/01/30 | 263,391 | |
580,000 | NJ St Econ Dev Auth Rev Portal N Bridge Proj NJ Transit Transprtn Proj Bonds, Ser A | 5.00% | 11/01/26 | 600,071 | |
110,000 | NJ St Econ Dev Auth Rev Ref Sch Facs Constr, Ser PP | 3.50% | 06/15/27 | 107,844 | |
2,000,000 | NJ St Hlth Care Facs Fing Auth Rev Ref Rwj Barnabas Hlth Oblig Grp Issue, Ser B-2 (Mandatory put 07/01/25) | 5.00% | 07/01/42 | 2,029,235 | |
965,000 | NJ St Hlth Care Facs Fing Auth Rev Ref Rwj Barnabas Hlth Oblig Grp Issue, Ser B-3 (Mandatory put 07/01/26) | 5.00% | 07/01/45 | 986,663 | |
2,275,000 | NJ St Transprtn Trust Fund Auth Cap Apprec Transprtn Sys, Ser C, AMBAC | (c) | 12/15/25 | 2,139,277 | |
1,000,000 | Tobacco Stlmt Fing Corp NJ Ref, Ser A | 5.00% | 06/01/24 | 1,000,571 | |
12,005,061 | |||||
New Mexico — 0.5% | |||||
2,000,000 | Farmington NM Poll Control Rev Var Ref Pub Svc Co NM San Juan Proj Remk, Ser D (Mandatory put 06/01/28) | 3.90% | 06/01/40 | 1,978,199 | |
New York — 2.3% | |||||
2,000,000 | Chautauqua Cnty NY Capital Res Corp Exempt Facs Rev Var Ref NRG Energy Proj Remk (Mandatory put 04/03/28) | 4.25% | 04/01/42 | 2,001,546 | |
125,000 | Long Beach NY, Ser B | 5.50% | 07/15/25 | 126,785 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
New York (Continued) | |||||
$2,000,000 | New York City NY Hsg Dev Corp Mf Hsg Rev Sustainable Dev Bonds, Ser F-2A (Mandatory put 12/22/26) | 3.40% | 11/01/62 | $1,972,490 | |
1,350,000 | New York City NY Muni Wtr Fin Auth Wtr & Swr Sys Rev 2nd General Resolution, Ser DD | 5.00% | 06/15/35 | 1,351,555 | |
2,000,000 | New York City NY Muni Wtr Fin Auth Wtr & Swr Sys Rev Ref Var 2nd General Resolution, Subser BB-1 (b) | 3.85% | 06/15/44 | 2,000,000 | |
340,000 | New York City NY Transitional Fin Auth Bldg Aid Rev Ref Fiscal 2018, Ser S-1 | 5.00% | 07/15/35 | 355,921 | |
305,000 | NY St Transprtn Dev Corp Spl Fac Rev Ref American Airls Inc John F Kennedy Intl Arpt Proj, AMT | 2.25% | 08/01/26 | 295,299 | |
1,180,000 | Port Auth of NY & NJ NY Ref, 194th Ser | 5.00% | 10/15/34 | 1,202,422 | |
9,306,018 | |||||
North Carolina — 3.1% | |||||
400,000 | Charlotte Mecklenburg NC Hosp Auth Hlth Care Sys Rev Var Atrium Hlth Remk, Ser D (Mandatory put 06/15/27) | 3.63% | 01/15/48 | 395,533 | |
2,100,000 | Charlotte Mecklenburg NC Hosp Auth Hlth Care Sys Rev Var Atrium Hlth Remk, Ser G (b) | 3.70% | 01/15/48 | 2,100,000 | |
250,000 | Charlotte NC Arpt Rev, Ser A | 5.00% | 07/01/30 | 263,673 | |
1,000,000 | Columbus Cnty NC Indl Facs & Poll Control Fing Auth Rev Var Ref Intl Paper Co Proj, Ser A (Mandatory put 06/16/25) | 1.38% | 05/01/34 | 969,864 | |
400,000 | NC St Capital Facs Fin Agy Eductnl Facs Rev Ref High Point Univ | 5.00% | 05/01/28 | 419,942 | |
1,000,000 | NC St Grant Anticipation Rev Vehcl, GARVEE | 5.00% | 03/01/26 | 1,010,362 | |
2,800,000 | NC St Hsg Fin Agy Mf Hsg Rev Var Fitch Irick Portfolio (Mandatory put 04/01/28) | 5.00% | 04/01/29 | 2,933,639 | |
3,435,000 | NC St Med Care Commn Hosp Rev Caromont Hlth, Ser B (Mandatory put 02/01/26) | 5.00% | 02/01/51 | 3,505,549 | |
525,000 | NC St Med Care Commn Retmnt Facs Rev United Methodist Retmnt Homes, Ser 2024B-2 | 3.75% | 10/01/28 | 519,514 | |
170,000 | Raleigh Durham NC Arpt Auth Arpt Rev Ref, Ser A, AMT | 5.00% | 05/01/29 | 181,266 | |
580,000 | Raleigh Durham NC Arpt Auth Arpt Rev Ref, Ser A, AMT | 5.00% | 05/01/35 | 599,670 | |
12,899,012 | |||||
North Dakota — 0.8% | |||||
2,000,000 | Cass Cnty ND Jt Wtr Res Dist Ref and Impt, Ser A | 3.45% | 04/01/27 | 1,997,167 | |
1,400,000 | Cass Cnty ND Jt Wtr Res Dist, Ser A | 0.48% | 05/01/24 | 1,400,000 | |
3,397,167 | |||||
Ohio — 3.3% | |||||
75,000 | NE OH Med Univ Gen Recpts Ref, Ser A | 5.00% | 12/01/24 | 75,212 | |
1,000,000 | OH St Air Quality Dev Auth American Elec Pwr Co Proj Remk, Ser A (Mandatory put 10/01/29) | 2.40% | 12/01/38 | 872,187 | |
1,000,000 | OH St Air Quality Dev Auth OH Vly Elec Corp Proj Remk, Ser C (Mandatory put 11/04/25) | 1.50% | 02/01/26 | 940,955 | |
900,000 | OH St Air Quality Dev Auth Ref American Elec Pwr Company Proj Remk, Ser B, AMT (Mandatory put 10/01/24) | 2.10% | 07/01/28 | 885,552 | |
2,700,000 | OH St Air Quality Dev Auth Var OH Vly Elec Corp Proj Remk, Ser B (Mandatory put 11/01/24) | 1.38% | 02/01/26 | 2,642,007 | |
3,010,000 | OH St Air Quality Dev Auth Var Ref Duke Energy Corp Proj, Ser A, AMT (Mandatory put 06/01/27) | 4.25% | 11/01/39 | 3,016,503 | |
200,000 | OH St Hosp Fac Rev Ref Cleveland Clinic Hlth Sys, Ser A | 5.00% | 01/01/25 | 201,789 | |
235,000 | OH St Hosp Fac Rev Ref Cleveland Clinic Hlth Sys, Ser A | 5.00% | 01/01/33 | 249,452 | |
1,750,000 | OH St Hosp Rev Var Cleveland Clinic Hlth Sys Remk, Ser C (Mandatory put 05/01/28) | 2.75% | 01/01/52 | 1,692,654 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Ohio (Continued) | |||||
$1,000,000 | OH St Hosp Rev Var Ref Univ Hosps Hlth Sys Inc, Ser A (b) | 3.97% | 01/15/45 | $1,000,000 | |
1,990,000 | OH St, Ser A | 5.00% | 02/01/31 | 2,041,397 | |
13,617,708 | |||||
Oklahoma — 0.5% | |||||
1,500,000 | Canadian Cnty OK Eductnl Facs Auth Educ Facs Lease Rev Yukon Pub Sch Proj | 5.00% | 09/01/27 | 1,562,316 | |
300,000 | Oklahoma Cnty OK Fin Auth Eductnl Facs Lease Rev Midwest City De City Pub Schs Proj | 5.00% | 10/01/26 | 309,667 | |
1,871,983 | |||||
Oregon — 1.0% | |||||
250,000 | Clackamas Cnty OR Sch Dist #12 N Clackamas Ref (Pre-refunded maturity 06/15/24) | 4.00% | 06/15/31 | 249,995 | |
1,070,000 | OR St Article XI-P Schs Dist Capital Projs, Ser G | 5.00% | 12/01/30 | 1,112,940 | |
260,000 | Port of Portland OR Arpt Rev Portland Intl Arpt, Ser 25B, AMT | 5.00% | 07/01/27 | 270,520 | |
1,170,000 | Port of Portland OR Arpt Rev Ref Portland Intl Arpt, Ser 23 | 5.00% | 07/01/34 | 1,187,660 | |
130,000 | Port of Portland OR Arpt Rev, Ser 24B, AMT | 5.00% | 07/01/33 | 133,943 | |
260,000 | Salem OR Hosp Fac Auth Rev Ref Capital Manor Proj | 5.00% | 05/15/25 | 260,384 | |
265,000 | Salem OR Hosp Fac Auth Rev Ref Capital Manor Proj | 5.00% | 05/15/26 | 266,368 | |
260,000 | Salem OR Hosp Fac Auth Rev Ref Capital Manor Proj | 4.00% | 05/15/29 | 252,372 | |
100,000 | Union Cnty OR Hosp Fac Auth Grande Ronde Hosp | 5.00% | 07/01/25 | 100,599 | |
100,000 | Union Cnty OR Hosp Fac Auth Grande Ronde Hosp | 5.00% | 07/01/26 | 101,270 | |
3,936,051 | |||||
Pennsylvania — 5.0% | |||||
1,500,000 | Allegheny Cnty PA Indl Dev Auth Envrnmtl Impt Rev Ref United States Steel Corp Proj | 4.88% | 11/01/24 | 1,503,682 | |
2,000,000 | Chester Cnty PA Indl Dev Auth Nts Avon Grove Chrt Sch | 5.00% | 03/01/27 | 2,019,908 | |
1,000,000 | Cmwlth Fing Auth PA Tobacco Master Stlmt Payment Rev Bonds | 5.00% | 06/01/30 | 1,057,387 | |
395,000 | Cumberland Cnty PA Muni Auth Prerefunded Ref Diakon Lutheran Ministries Proj (Pre-refunded maturity 01/01/25) | 5.00% | 01/01/38 | 397,808 | |
90,000 | E Hempfield Twp PA Indl Dev Auth Ref Willow Vly Cmntys Proj | 5.00% | 12/01/24 | 90,025 | |
175,000 | E Hempfield Twp PA Indl Dev Auth Ref Willow Vly Cmntys Proj | 5.00% | 12/01/25 | 175,514 | |
390,000 | E Hempfield Twp PA Indl Dev Auth Ref Willow Vly Cmntys Proj | 5.00% | 12/01/28 | 393,704 | |
170,000 | E Hempfield Twp PA Indl Dev Auth Ref Willow Vly Cmntys Proj | 5.00% | 12/01/30 | 171,881 | |
150,000 | Latrobe PA Indl Dev Auth Univ Rev Ref Seton Hill Univ | 5.00% | 03/01/25 | 150,016 | |
255,000 | Lehigh Cnty PA Gen Purp Auth Revs Ref Lehigh Carbon Cmnty Clg, Ser 2016, BAM | 5.00% | 11/01/26 | 261,987 | |
1,000,000 | Lehigh Cnty PA Indl Dev Auth Ref Ppl Elec Util Corp Proj 2016 Remk, Ser B | 2.63% | 02/15/27 | 957,684 | |
2,450,000 | Lehigh Cnty PA Indl Dev Auth Ref Ppl Elec Util Corp Proj Remk, Ser A | 3.00% | 09/01/29 | 2,317,426 | |
175,000 | Montgomery Cnty PA Indl Dev Auth Ref Waverly Heights Ltd Proj | 4.00% | 12/01/26 | 173,201 | |
210,000 | Northampton Cnty PA Gen Purp Auth Clg Rev Ref Moravian Clg | 5.00% | 10/01/27 | 212,169 | |
150,000 | Northampton Cnty PA Gen Purp Auth Clg Rev Ref Moravian Clg | 5.00% | 10/01/30 | 152,216 | |
1,000,000 | PA St Econ Dev Fing Auth Solid Waste Disposal Rev Var Draw Down Rep Svcs Inc Remk, Ser B-2, AMT (Mandatory put 07/15/24) (b) | 4.00% | 04/01/49 | 998,303 | |
2,100,000 | PA St Econ Dev Fing Auth T/E Priv Activity Rev The Penndot Major Bridges Package One Proj P3 Proj, AMT | 5.00% | 12/31/29 | 2,253,778 | |
465,000 | PA St Hsg Fin Agy Sf Mtge Rev Non Ace, Ser 123B | 3.45% | 10/01/32 | 439,325 | |
405,000 | PA St Ref, 1st Ser | 5.00% | 09/15/27 | 419,416 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Pennsylvania (Continued) | |||||
$1,380,000 | PA St Turnpike Commn Turnpike Rev Ref Mtr License Fund Enh Trn Pke Subord | 5.00% | 12/01/30 | $1,434,972 | |
1,000,000 | PA St Turnpike Commn Turnpike Rev Ref Sub | 5.00% | 06/01/29 | 1,022,370 | |
375,000 | PA St Turnpike Commn Turnpike Rev Ref Sub, Ser A | 5.00% | 12/01/36 | 385,669 | |
180,000 | PA St Turnpike Commn Turnpike Rev Ref Sub, Ser B | 5.00% | 06/01/39 | 183,135 | |
1,735,000 | PA St Turnpike Commn Turnpike Rev, Ser A-1 | 5.00% | 12/01/36 | 1,773,478 | |
185,000 | PA St, 1st Ser 2020 | 5.00% | 05/01/29 | 202,399 | |
570,000 | Philadelphia PA Auth for Indl Dev Chrt Sch Rev Ref String Theory Chrt Sch Proj (a) | 5.00% | 06/15/24 | 569,825 | |
300,000 | Philadelphia PA Auth for Indl Dev Chrt Sch Rev Ref String Theory Chrt Sch Proj (a) | 5.00% | 06/15/25 | 300,501 | |
330,000 | Philadelphia PA Auth for Indl Dev Temple Univ Rev Ref, 1st Ser 2015 | 5.00% | 04/01/27 | 334,013 | |
35,000 | Philadelphia PA Ref, Ser A | 5.00% | 08/01/27 | 36,924 | |
20,388,716 | |||||
Puerto Rico — 0.2% | |||||
389,448 | Puerto Rico Cmwlth Restructured, Ser A, CABS | (c) | 07/01/24 | 386,540 | |
169,000 | Puerto Rico Sales Tax Fing Corp Sales Tax Rev Restructured, Ser A-1, CABS | (c) | 07/01/24 | 167,935 | |
328,000 | Puerto Rico Sales Tax Fing Corp Sales Tax Rev Restructured, Ser A-1, CABS | (c) | 07/01/27 | 290,720 | |
845,195 | |||||
Rhode Island — 0.4% | |||||
1,670,000 | Providence RI Pub Bldgs Auth Rev, Ser A, AGM | 5.00% | 09/15/30 | 1,788,117 | |
South Carolina — 0.8% | |||||
355,000 | Berkeley Cnty SC Assmnt Rev Nexton Impt Dist | 4.00% | 11/01/30 | 335,571 | |
2,000,000 | Greenville Cnty SC Sch Dist Installment Pur Rev Ref SC Proj | 5.00% | 12/01/25 | 2,048,092 | |
700,000 | SC St Jobs Econ Dev Auth Econ Dev Rev Ref The Woodlands at Furman | 4.00% | 11/15/27 | 685,309 | |
190,000 | SC St Pub Svc Auth Rev Prerefunded Ref, Ser A | 5.00% | 12/01/24 | 191,363 | |
60,000 | SC St Pub Svc Auth Rev Unrefunded Ref, Ser A | 5.00% | 12/01/24 | 60,310 | |
3,320,645 | |||||
South Dakota — 0.4% | |||||
355,000 | SD St Hlth & Eductnl Facs Auth Ref Sanford Oblig Grp | 5.00% | 11/01/27 | 363,295 | |
150,000 | SD St Hlth & Eductnl Facs Auth Ref Westhills Vlg Retmnt Cmnty Issue | 3.00% | 09/01/26 | 145,853 | |
990,000 | SD St Hsg Dev Auth Ref Homeownership Mtge, Ser E, AMT | 2.80% | 11/01/25 | 966,619 | |
1,475,767 | |||||
Tennessee — 1.3% | |||||
350,000 | Met Govt Nashville & Davidson Cnty TN Hlth & Eductnl Fac Brd Belmont Univ | 5.00% | 05/01/28 | 369,984 | |
450,000 | Met Nashville TN Arpt Auth Arpt Rev, Ser B, AMT | 5.00% | 07/01/27 | 466,707 | |
1,595,000 | TN St Energy Acq Corp Gas Rev (Mandatory put 11/01/25) | 4.00% | 11/01/49 | 1,594,953 | |
2,500,000 | TN St Energy Acq Corp Gas Rev Var Ref Gas Proj, Ser A-1 (Mandatory put 05/01/28) | 5.00% | 05/01/53 | 2,576,374 | |
250,000 | TN St Energy Acq Corp Gas Rev, Ser A | 5.25% | 09/01/26 | 253,883 | |
5,261,901 | |||||
Texas — 11.4% | |||||
250,000 | Arlington TX Hgr Edu Fin Corp Edu Rev Ref Uplift Edu, Ser A | 4.00% | 12/01/30 | 252,740 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Texas (Continued) | |||||
$150,000 | Arlington TX Hgr Edu Fin Corp Edu Rev Trinity Basin Preparatory Inc | 5.00% | 08/15/27 | $157,122 | |
150,000 | Arlington TX Hgr Edu Fin Corp Edu Rev Trinity Basin Preparatory Inc | 5.00% | 08/15/28 | 159,374 | |
500,000 | Arlington TX Hsg Fin Corp Mf Hsg Rev Var 6900 Matlok Road (Mandatory put 04/01/27) | 4.50% | 04/01/41 | 504,073 | |
500,000 | Austin TX Arpt Sys Rev, AMT | 5.00% | 11/15/25 | 507,593 | |
250,000 | Austin TX Arpt Sys Rev, AMT | 5.00% | 11/15/28 | 250,845 | |
2,000,000 | Austin TX Ref | 3.15% | 09/01/28 | 1,934,102 | |
950,000 | Centrl TX Regl Mobility Auth Rev, Ser C | 5.00% | 01/01/27 | 969,080 | |
35,000 | Clifton TX Hgr Edu Fin Corp Edu Rev Idea Pub Schs, Ser B | 5.00% | 08/15/24 | 35,047 | |
100,000 | Club Muni Mgmt Dist #1 TX Spl Assmnt Rev Impt Area #2 Proj (a) | 2.50% | 09/01/26 | 92,917 | |
207,000 | Crandall TX Spl Assmnt Rev Cartwright Ranch Pub Impt Dt Impt Area #1 Proj (a) | 3.38% | 09/15/26 | 197,465 | |
500,000 | Dallas Fort Worth TX Intl Arpt Rev Ref, Ser B | 5.00% | 11/01/27 | 529,536 | |
1,000,000 | Denton Cnty TX Hsg Fin Corp Var Pathway on Woodrow Apts (Mandatory put 02/01/25) | 5.00% | 02/01/26 | 1,004,791 | |
280,000 | Fort Bend Cnty TX Muni Util Dist #184, BAM | 6.00% | 04/01/27 | 297,560 | |
295,000 | Fort Bend Cnty TX Muni Util Dist #184, BAM | 6.00% | 04/01/28 | 314,168 | |
840,000 | Fort Bend TX Indep Sch Dist Ref | 5.00% | 08/15/26 | 872,200 | |
1,225,000 | Fort Bend TX Indep Sch Dist Var Remk, Ser A (Mandatory put 08/01/24) | 2.38% | 08/01/49 | 1,218,448 | |
465,000 | Galveston Cnty TX Muni Util Dist #54 Ref | 2.00% | 12/01/25 | 435,988 | |
560,000 | Galveston Cnty TX Muni Util Dist #54 Ref | 2.00% | 12/01/27 | 495,999 | |
610,000 | Galveston TX Wharves & Terminal Rev Wharves & Terminal First Lien, AMT | 5.25% | 08/01/28 | 641,384 | |
1,500,000 | Grayson Cnty TX Ref | 3.00% | 01/01/26 | 1,462,778 | |
710,000 | Harris Cnty TX Cultural Edu Facs Fin Corp Ref Rev Memorial Herman Hlth Sys, Ser A | 5.00% | 07/01/29 | 765,647 | |
1,340,000 | Harris Cnty TX Cultural Edu Facs Fin Corp Rev Var Memorial Hermann Hlth System, Ser B-2 (Mandatory put 12/01/24) | 5.00% | 07/01/49 | 1,346,313 | |
230,000 | Harris Cnty TX Muni Util Dist #536, BAM | 5.50% | 09/01/26 | 238,644 | |
240,000 | Harris Cnty TX Muni Util Dist #536, BAM | 5.50% | 09/01/27 | 253,083 | |
2,000,000 | Hays Cnty TX Ref | 3.38% | 02/15/29 | 1,953,922 | |
660,000 | Houston TX Arpt Sys Rev Ref Sub, Ser C, AMT | 5.00% | 07/01/27 | 684,504 | |
1,835,000 | Houston TX Arpt Sys Rev Ref Subord Lien, Ser A, AGM, AMT | 5.00% | 07/01/27 | 1,909,246 | |
900,000 | Houston TX Arpt Sys Rev Ref United Airls Inc Terminal Impt Proj, Ser B-2, AMT | 5.00% | 07/15/27 | 912,955 | |
200,000 | Houston TX Arpt Sys Rev Sub, Ser A, AMT | 5.00% | 07/01/28 | 209,568 | |
300,000 | Houston TX Arpt Sys Rev Sub, Ser A, AMT | 5.00% | 07/01/29 | 318,393 | |
1,500,000 | Houston TX Cmnty Clg Ref, Ser A | 5.00% | 02/15/25 | 1,516,822 | |
925,000 | Kyle TX Spl Assmnt Rev 6 Creeks Pub Impt Dist Impt Area #1 (a) | 4.13% | 09/01/29 | 904,220 | |
975,000 | La Vernia TX Hgr Edu Fin Corp Edu Rev Meridian World Sch, Ser A (Pre-refunded maturity 08/15/24) (a) | 5.25% | 08/15/35 | 976,381 | |
405,000 | Love Field TX Arpt Modernization Corp Gen Arpt Rev, AMT | 5.00% | 11/01/31 | 415,139 | |
700,000 | Love Field TX Arpt Modernization Corp Gen Arpt Rev, AMT | 5.00% | 11/01/33 | 717,285 | |
200,000 | Lower CO River TX Auth Trans Contract Rev Ref LCRA Trans Svcs Corp Proj | 5.00% | 05/15/33 | 205,486 | |
875,000 | Mission TX Econ Dev Corp Sol Wst Disp Rev Var Ref Waste Mgmt Inc Proj Remk, Ser B, AMT (Mandatory put 06/03/24) (b) | 4.10% | 07/01/40 | 874,488 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Texas (Continued) | |||||
$1,000,000 | Mission TX Econ Dev Corp Sol Wst Disp Rev Var Rep Svcs Inc Proj Remk, Ser A, AMT (Mandatory put 08/01/24) (b) | 4.10% | 05/01/50 | $1,000,000 | |
300,000 | N Parkway Muni Mgmt Dist #1 TX Contract Rev Legacy Hills Pub Impt Dt Phase #1A-1B Impts (a) | 3.00% | 09/15/26 | 285,353 | |
1,000,000 | N TX Tollway Auth Rev Ref 2nd Tier, Ser A | 5.00% | 01/01/35 | 1,006,544 | |
45,000 | N TX Tollway Auth Rev Ref 2nd Tier, Ser B | 5.00% | 01/01/31 | 45,995 | |
1,000,000 | N TX Tollway Auth Rev Ref First Tier Bonds, Ser A | 5.00% | 01/01/26 | 1,025,845 | |
150,000 | N TX Tollway Auth Rev Ref Second Tier Bonds, Ser C | 5.00% | 01/01/27 | 156,365 | |
105,000 | N TX Tollway Auth Rev Ref Sys 1st Tier, Ser A | 5.00% | 01/01/25 | 105,353 | |
300,000 | N TX Tollway Auth Rev Second Tier, Ser B | 5.00% | 01/01/27 | 312,731 | |
310,000 | Rockwall Cnty TX Muni Util Dist #8, AGM | 6.75% | 10/01/35 | 354,559 | |
1,340,000 | Southmost TX Regl Wtr Auth Wtr Sply Contract Rev Ref Desalination Plant Proj, BAM | 4.00% | 09/01/28 | 1,358,061 | |
1,000,000 | Tarrant Cnty TX Cultural Edu Facs Fin Corp Hosp Rev Ref Baylor Scott & White Hlth Proj, Ser A | 5.00% | 11/15/28 | 1,027,557 | |
680,000 | Tarrant Cnty TX Cultural Edu Facs Fin Corp Hosp Rev Var Baylor Scott & White Hlth Proj, Ser E (Mandatory put 05/15/26) | 5.00% | 11/15/52 | 696,435 | |
300,000 | Tarrant Cnty TX Cultural Edu Facs Fin Corp Rev Ref Christus Hlth, Ser B | 5.00% | 07/01/30 | 326,856 | |
875,000 | Travis Cnty TX Hsg Fin Corp Mf Hsg Rev Var Kensington Apts (Mandatory put 08/01/25) | 3.75% | 08/01/26 | 867,144 | |
2,000,000 | TX St Muni Gas Acq & Sply Corp IV, Ser A (Mandatory put 01/01/30) | 5.50% | 01/01/54 | 2,141,253 | |
480,000 | TX St Wtr Dev Brd St Wtr Implementation Fund, Ser A | 5.00% | 04/15/25 | 486,788 | |
340,000 | Univ of Houston TX Univ Revs Ref Consol, Ser C | 5.00% | 02/15/30 | 347,943 | |
4,000,000 | Univ of TX TX Permanent Univ Fnd Bonds, Ser A | 5.00% | 07/01/26 | 4,138,557 | |
1,650,000 | Univ of TX TX Univ Revs Ref, Ser H | 5.00% | 08/15/25 | 1,683,544 | |
1,580,000 | Univ of TX TX Univ Revs, Ser D | 5.00% | 08/15/26 | 1,639,505 | |
630,000 | Viridian TX Muni Mgmt Dist Unlimited Tax Road Impt Bonds, BAM | 4.00% | 12/01/29 | 634,919 | |
760,000 | Williamson Cnty TX Muni Util Dist #10 Ref, BAM | 3.00% | 08/01/26 | 735,840 | |
46,912,453 | |||||
Utah — 1.4% | |||||
1,770,000 | Murray City UT Hosp Rev Var IHC Hlth Svcs Inc Remk, Ser C (b) | 3.70% | 05/15/37 | 1,770,000 | |
650,000 | Salt Lake City UT Arpt Rev, Ser A, AMT | 5.00% | 07/01/26 | 664,998 | |
1,300,000 | Salt Lake City UT Arpt Rev, Ser A, AMT | 5.00% | 07/01/28 | 1,343,005 | |
700,000 | Salt Lake City UT Arpt Rev, Ser A, AMT | 5.00% | 07/01/28 | 733,487 | |
1,000,000 | Salt Lake City UT Arpt Rev, Ser A, AMT | 5.00% | 07/01/29 | 1,047,951 | |
5,559,441 | |||||
Vermont — 0.0% | |||||
100,000 | VT St Econ Dev Auth Solid Wst Disp Rev Var Casella Wst Sys Inc Remk, AMT (Mandatory put 04/03/28) (a) | 4.63% | 04/01/36 | 99,554 | |
Virginia — 3.5% | |||||
2,000,000 | Arlington Cnty VA Indl Dev Auth Mf Rev Park Shirlington Apartments, Ser A | 5.00% | 01/01/26 | 2,029,956 | |
2,500,000 | Fairfax Cnty VA Redev & Hsg Auth Mf Hsg Rev Var Dominion Square N Proj (Mandatory put 01/01/28) | 5.00% | 01/01/45 | 2,579,471 | |
310,000 | Hampton Roads VA Santn Dist Wstwtr Rev Prerefunded Sub, Ser A (Pre-refunded maturity 08/01/26) | 5.00% | 08/01/28 | 321,368 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Virginia (Continued) | |||||
$600,000 | Henrico Cnty VA Econ Dev Auth Rsdl Care Fac Rev Ref Westminster Canterbury Proj | 5.00% | 10/01/30 | $620,546 | |
1,490,000 | Loudoun Cnty VA, Ser B | 4.00% | 12/01/28 | 1,495,537 | |
1,000,000 | Louisa VA Indl Dev Auth Poll Control Rev Var VA Elec & Pwr Co Proj Remk, Ser A (Mandatory put 10/01/27) | 3.65% | 11/01/35 | 990,432 | |
1,525,000 | Norfolk VA Wtr Rev Ref | 5.00% | 11/01/31 | 1,629,854 | |
845,000 | Richmond VA Redev & Hsg Auth Mf Rev Var Townes at River South (Mandatory put 03/01/25) | 4.25% | 03/01/26 | 845,997 | |
1,585,000 | VA St Pub Bldg Auth Pub Facs Rev, Ser C, AMT | 5.00% | 08/01/29 | 1,623,934 | |
1,000,000 | VA St Small Busn Fing Auth Rev Ref Sr Lien 95 Express Lanes LLC Proj, AMT | 5.00% | 01/01/37 | 1,051,882 | |
1,000,000 | Virginia Beach VA Dev Auth Rsdl Care Fac Rev Temps 50Sm Westminster Canterbury on Chesapeake Bay, Ser B-3 | 5.38% | 09/01/29 | 1,035,434 | |
380,000 | Wise Cnty VA Indl Dev Auth Sol Wst & Sewage Disp Rev VA Elec & Pwr Co Remk, Ser A (Mandatory put 05/31/24) | 1.20% | 11/01/40 | 378,779 | |
14,603,190 | |||||
Washington — 0.9% | |||||
1,000,000 | Energy NW WA Elec Rev Ref, Ser A | 5.00% | 07/01/24 | 1,001,626 | |
100,000 | WA St Hlth Care Facs Auth Ref Seattle Cancer Care Alliance | 5.00% | 09/01/27 | 103,298 | |
2,120,000 | WA St Hsg Fin Commn Nonprofit Hsg Rev Heron’s Key, Ser A (Pre-refunded maturity 07/01/25) (a) | 7.00% | 07/01/45 | 2,186,557 | |
350,000 | WA St Hsg Fin Commn Nonprofit Hsg Rev Ref Emerald Heights Proj, Ser A | 5.00% | 07/01/27 | 363,026 | |
3,654,507 | |||||
West Virginia — 1.3% | |||||
1,000,000 | WV St Econ Dev Auth Sol Wst Disp Facs Var Arch Res Proj, AMT (Mandatory put 07/01/25) | 4.13% | 07/01/45 | 995,072 | |
1,000,000 | WV St Econ Dev Auth Sol Wst Disp Facs Var Ref Appalachian Pwr Co Remk, Ser 2015A (Mandatory put 06/15/28) | 3.38% | 03/01/40 | 986,160 | |
1,500,000 | WV St Econ Dev Auth Sol Wst Disp Facs Var Sr Arch Res Proj, AMT (Mandatory put 07/01/25) | 5.00% | 07/01/45 | 1,504,175 | |
1,750,000 | WV St, Ser B | 5.00% | 06/01/24 | 1,751,174 | |
5,236,581 | |||||
Wisconsin — 2.6% | |||||
2,000,000 | Oak Creek WI, Ser B, NANS | 4.00% | 04/01/26 | 1,987,050 | |
100,000 | Pub Fin Auth WI Edu Rev Coral Acdmy of Science Las Vegas, Ser A | 4.00% | 07/01/26 | 98,338 | |
185,000 | Pub Fin Auth WI Eductnl Rev Piedmont Cmnty Chrt Sch | 5.00% | 06/15/25 | 185,172 | |
250,000 | Pub Fin Auth WI Hosp Rev Ref Carson Vly Med Ctr, Ser A (a) | 3.00% | 12/01/26 | 230,932 | |
4,000,000 | Pub Fin Auth WI Poll Control Rev Var Ref Duke Engery Progress Proj, Ser A-1 (Mandatory put 10/01/26) | 3.30% | 10/01/46 | 3,934,912 | |
605,000 | Pub Fin Auth WI Retmnt Fac Rev Ref United Methodist Retmnt Homes, Ser A | 4.00% | 10/01/26 | 600,725 | |
325,000 | Pub Fin Auth WI Retmnt Fac Rev Ref United Methodist Retmnt Homes, Ser A | 4.00% | 10/01/29 | 324,834 | |
115,000 | Pub Fin Auth WI Rev Unrefunded Roseman Univ Hlth Sciences Proj (a) | 3.00% | 04/01/25 | 113,278 | |
1,000,000 | Pub Fin Auth WI Sol Wst Disp Rev Ref Wst Mgmt Inc Proj, Ser A-1, AMT | 2.63% | 11/01/25 | 977,515 | |
800,000 | Pub Fin Auth WI Sr Living Rev Rose Villa Proj, Ser A (Pre- refunded maturity 11/15/24) (a) | 5.75% | 11/15/44 | 805,984 |
First Trust Short Duration Managed Municipal ETF (FSMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Wisconsin (Continued) | |||||
$1,000,000 | Waukesha WI, Ser A, NANS | 4.00% | 07/01/24 | $999,970 | |
275,000 | WI St Clean Wtr Rev Ref (Pre-refunded maturity 06/01/24) | 5.00% | 06/01/26 | 275,189 | |
155,000 | WI St Hlth & Eductnl Facs Auth Rev Three Pillars Sr Living Cmntys, Ser A | 4.00% | 08/15/24 | 154,408 | |
10,688,307 | |||||
Wyoming — 0.3% | |||||
250,000 | Consol Muni Elec Pwr Sys WY Jt Pwrs Brd Sys Jt Pwrs Brd Ref Electrical Sys Proj | 5.00% | 06/01/26 | 257,355 | |
755,000 | Consol Muni Elec Pwr Sys WY Jt Pwrs Brd Sys Jt Pwrs Brd Ref Electrical Sys Proj | 5.25% | 06/01/37 | 838,982 | |
1,096,337 | |||||
Total Investments — 98.6% | 405,410,164 | ||||
(Cost $408,460,175) | |||||
Net Other Assets and Liabilities — 1.4% | 5,793,972 | ||||
Net Assets — 100.0% | $411,204,136 |
(a) | This security, sold within the terms of a private placement memorandum, is exempt from registration upon resale under Rule 144A of the Securities Act of 1933, as amended, and may be resold in transactions exempt from registration, normally to qualified institutional buyers. Pursuant to procedures adopted by the Trust’s Board of Trustees, this security has been determined to be liquid by First Trust Advisors L.P., the Fund’s advisor. Although market instability can result in periods of increased overall market illiquidity, liquidity for each security is determined based on security specific factors and assumptions, which require subjective judgment. At April 30, 2024, securities noted as such amounted to $18,769,505 or 4.6% of net assets. |
(b) | Variable rate demand bond. Interest rate is reset periodically by the agent based on current market conditions. |
(c) | Zero coupon security. |
Abbreviations throughout the Portfolio of Investments: | |
AGM | – Assured Guaranty Municipal Corp. |
AMBAC | – American Municipal Bond Assurance Corp. |
AMT | – Alternative Minimum Tax |
BAM | – Build America Mutual |
BANS | – Bond Anticipation Notes |
CABS | – Capital Appreciation Bonds |
COPS | – Certificates of Participation |
GARVEE | – Grant Anticipation Revenue Vehicle |
NANS | – Note Anticipation Notes |
NATL-RE | – National Public Finance Guarantee Corp. |
Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
Total Value at 4/30/2024 | Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | |
Municipal Bonds* | $405,410,164 | $— | $405,410,164 | $— |
* | See Portfolio of Investments for state and territory breakout. |
First Trust Ultra Short Duration Municipal ETF (FUMB)Portfolio of InvestmentsApril 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS — 99.3% | |||||
Alabama — 3.3% | |||||
$200,000 | Black Belt Energy Gas Dist AL Gas Prepay Rev Proj #5, Ser A-1 | 4.00% | 10/01/24 | $199,463 | |
480,000 | Black Belt Energy Gas Dist AL Gas Prepay Rev Proj No. 4, Ser A-1 | 4.00% | 06/01/24 | 479,654 | |
385,000 | Black Belt Energy Gas Dist AL Gas Proj Rev, Ser C-1 | 5.25% | 06/01/24 | 385,135 | |
625,000 | Black Belt Energy Gas Dist AL Gas Proj Rev, Ser C-1 | 5.25% | 12/01/24 | 627,760 | |
1,000,000 | Columbia AL Indl Dev Brd Poll Control Rev Adj Ref Ala Pwr Co Pj (a) | 4.20% | 06/01/28 | 1,000,000 | |
1,390,000 | Lower AL Gas Dist Gas Proj Rev Bonds Proj 2 (Mandatory put 12/01/25) | 4.00% | 12/01/50 | 1,388,880 | |
1,120,000 | SE AL St Gas Sply Dist Gas Sply Rev Proj #2, Ser A (Mandatory put 06/01/24) | 4.00% | 06/01/49 | 1,119,703 | |
1,500,000 | Tender Option Bond Trust Receipts / Ctfs Various States JPM Putters Xm1090, Ser 2022 (a) (b) | 3.85% | 02/01/46 | 1,500,000 | |
6,700,595 | |||||
Arizona — 2.7% | |||||
1,615,000 | AZ St Transprtn Brd Excise Tax Rev Ref | 5.00% | 07/01/25 | 1,644,341 | |
500,000 | Phoenix AZ Civic Impt Corp Arpt Rev Ref Sr Lien, AMT | 5.00% | 07/01/25 | 506,852 | |
1,410,000 | Phoenix AZ Civic Impt Corp Arpt Rev Sr Lien, AMT | 5.00% | 07/01/25 | 1,429,323 | |
2,000,000 | Phoenix AZ Civic Impt Corp Wtr Sys Rev Junior Lien, Ser A (Pre- refunded maturity 07/01/24) | 4.75% | 07/01/44 | 2,002,117 | |
5,582,633 | |||||
California — 1.5% | |||||
200,000 | CA Cmnty Choice Fing Auth Clean Energy Proj Rev Var Sustainable Bonds Clean Energy Proj, Ser C | 5.00% | 10/01/24 | 200,044 | |
1,625,000 | CA St Infra & Econ Dev Bank Rev Brightline W Passenger Rail Proj Remk, Ser A, AMT (Mandatory put 01/30/25) (a) (b) | 3.95% | 01/01/50 | 1,624,943 | |
1,000,000 | CA St Muni Fin Auth Sol Wst Disp Rev Var Rep Svcs Inc Proj Remk, Ser B, AMT (Mandatory put 07/15/24) (a) | 4.00% | 07/01/51 | 998,303 | |
250,000 | CA St Poll Control Fin Auth Sol Wst Disp Rev Var Rep Svcs Inc Proj Remk, Ser A2, AMT (Mandatory put 07/15/24) (a) (b) | 4.05% | 11/01/42 | 249,988 | |
3,073,278 | |||||
Colorado — 1.3% | |||||
185,000 | CO St Hlth Facs Auth Rev Ref Commonspirit Hlth, Ser B-1 (Mandatory put 08/01/25) | 5.00% | 08/01/49 | 187,044 | |
1,125,000 | CO St Hlth Facs Auth Rev Ref Sanford Hlth, Ser A | 5.00% | 11/01/24 | 1,130,429 | |
1,230,000 | CO St Ref Projs, Ser A, COPS | 5.00% | 09/01/24 | 1,234,865 | |
2,552,338 | |||||
Connecticut — 1.0% | |||||
2,000,000 | CT St, Ser A | 5.00% | 01/15/25 | 2,020,543 | |
District of Columbia — 0.6% | |||||
1,255,000 | DC Rev Federal Hwy Grant Anticipation Rev Bonds, GARVEE | 5.00% | 12/01/24 | 1,263,930 | |
Florida — 6.3% | |||||
2,000,000 | FL St Brd of Edu Pub Edu Ref Capital Outlay, Ser A | 5.00% | 06/01/25 | 2,002,084 | |
745,000 | Harmony FL CDD Capital Impt Rev Ref | 5.00% | 05/01/25 | 745,071 | |
1,150,000 | JEA FL Wtr & Swr Rev Ref, Ser A | 5.00% | 10/01/24 | 1,156,091 | |
250,000 | Lakes By The Bay S FL CDD Assmnt Ref | 5.13% | 05/01/24 | 250,000 | |
175,000 | Lakewood Ranch FL Stewardship Dist Spl Assmnt Rev Ref Country Club E Proj, AGM | 5.00% | 05/01/25 | 176,912 | |
750,000 | Miami-Dade Cnty FL Hsg Fin Auth Mf Hsg Rev Var Cutler Vista (Mandatory put 09/01/25) | 5.00% | 03/01/27 | 757,649 |
First Trust Ultra Short Duration Municipal ETF (FUMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Florida (Continued) | |||||
$750,000 | Miami-Dade Cnty FL Hsg Fin Auth Mf Hsg Rev Var Emerald Dunes, Ser B (Mandatory put 09/01/25) | 4.05% | 09/01/26 | $746,803 | |
1,000,000 | Miami-Dade Cnty FL Hsg Fin Auth Mf Hsg Rev Var Running Brook Apartments (Mandatory put 01/01/26) | 3.55% | 01/01/27 | 983,029 | |
2,000,000 | Miami-Dade Cnty FL Sch Brd Ref, Ser B, COPS | 5.00% | 05/01/24 | 2,000,000 | |
2,000,000 | Miami-Dade Cnty FL Sch Dist, TANS | 5.00% | 06/18/24 | 2,002,110 | |
1,000,000 | Miami-Dade Cnty FL Seaport Rev Ref Sr Bonds, Ser A, AMT | 5.00% | 10/01/25 | 1,013,529 | |
600,000 | Santa Rosa Cnty Sch Brd, Ser A, AGM, COPS | 5.00% | 02/01/25 | 605,918 | |
455,000 | Tampa FL Capital Impt Cigarette Tax Allocation H Lee Moffitt Cancer Ctr Proj, Ser A | 5.00% | 09/01/24 | 456,124 | |
12,895,320 | |||||
Georgia — 5.0% | |||||
1,170,000 | Atlanta GA Arpt Rev Ref, Ser B, AMT | 5.00% | 07/01/24 | 1,171,398 | |
860,000 | Atlanta GA Arpt Rev, Ser B, AMT | 5.00% | 07/01/25 | 871,197 | |
1,000,000 | Atlanta GA Wtr & Wstwtr Rev Ref, Ser C | 5.00% | 11/01/24 | 1,007,232 | |
1,000,000 | Burke Cnty GA Dev Auth Poll Control Rev Var Ref GA Pwr Co Plant Vogtle Proj (a) | 4.25% | 11/01/52 | 1,000,000 | |
250,000 | Main Street Nat Gas Inc GA Gas Sply Rev Var, Ser B (Mandatory put 12/02/24) | 4.00% | 08/01/49 | 250,047 | |
650,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser A | 5.00% | 06/01/24 | 649,866 | |
540,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser A | 5.00% | 03/01/25 | 542,196 | |
550,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser A | 5.00% | 06/01/25 | 551,545 | |
500,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser B | 5.00% | 06/01/24 | 499,897 | |
250,000 | Main Street Nat Gas Inc GA Gas Sply Rev, Ser B | 5.00% | 09/01/24 | 250,198 | |
2,100,000 | Met Atlanta GA Rapid Transit Auth Sales Tax Rev Ref, Ser A | 4.00% | 07/01/24 | 2,100,213 | |
1,370,000 | Monroe Cnty GA Dev Auth Poll Control Rev GA Pwr Co Plant Scherer Proj Remk, 1st Ser | 2.25% | 07/01/25 | 1,325,465 | |
10,219,254 | |||||
Hawaii — 1.2% | |||||
2,500,000 | HI St Arpts Sys Rev Ref, Ser B, AMT | 5.00% | 07/01/24 | 2,501,993 | |
Illinois — 4.8% | |||||
500,000 | Chicago IL Midway Arpt Rev Ref Sr Lien, Ser A, AMT | 5.00% | 01/01/26 | 508,214 | |
500,000 | DuPage & Cook Cntys IL Cmnty Consolidated Sch Dist #181 Hinsdale Ref Sch, Ser B | 3.00% | 05/01/24 | 500,000 | |
1,250,000 | IL St Fin Auth Centegra Hlth Sys, Ser A (Pre-refunded maturity 09/01/24) | 5.00% | 09/01/28 | 1,254,119 | |
250,000 | IL St Fin Auth Hlth Svcs Facs Lease Rev Univ of IL Hlth Svcs Fac Proj | 5.00% | 10/01/24 | 250,534 | |
1,135,000 | IL St Fin Auth Rev Ref Ann & Robert H Lurie Childrens Hosp | 5.00% | 08/15/25 | 1,153,769 | |
1,020,000 | IL St Fin Auth Rev Ref Rush Univ Med Ctr, Ser A | 5.00% | 11/15/25 | 1,032,097 | |
625,000 | IL St Hsg Dev Auth Mf Hsg Rev Var S Shore (Mandatory put 06/01/25) | 4.00% | 06/01/26 | 621,873 | |
2,090,000 | IL St, Ser D | 5.00% | 11/01/24 | 2,100,166 | |
600,000 | Kane Cook & DuPage Cntys IL Sch Dist #46 Elgin | 5.00% | 01/01/25 | 604,226 | |
1,000,000 | Sales Tax Securitization Corp IL Sr, Ser D | 5.00% | 01/01/25 | 1,008,026 | |
840,000 | Schaumburg IL Ref | 4.00% | 12/01/24 | 838,705 | |
9,871,729 |
First Trust Ultra Short Duration Municipal ETF (FUMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Iowa — 0.7% | |||||
$1,500,000 | IA St Fin Auth Sol Wst Facs Rev Var Sustainable Gevo NW Rng LLC Renewable Natrl Gas Proj, AMT (Mandatory put 04/01/26) | 3.88% | 01/01/42 | $1,492,731 | |
Kansas — 1.0% | |||||
1,000,000 | Dodge City KS Temp Nts, Ser 2023-1 | 4.13% | 09/01/25 | 1,001,044 | |
1,000,000 | Johnson Cnty KS Pub Bldg Commn Lease Pur Rev Courthouse & Med Examiners Fac Proj, Ser A | 5.00% | 09/01/25 | 1,019,819 | |
2,020,863 | |||||
Kentucky — 3.7% | |||||
930,000 | KY Bond Dev Corp Indl Bldg Rev KY Communications Network Auth Proj, BAM | 5.00% | 09/01/24 | 933,156 | |
1,500,000 | KY St Econ Dev Fin Auth Sol Wst Disp Rev Ref Rep Svcs Remk, Ser A, AMT (Mandatory put 06/03/24) (a) | 4.20% | 04/01/31 | 1,499,205 | |
200,000 | KY St Property & Bldgs Commn Rev Ref Proj #128, Ser A | 5.00% | 11/01/24 | 201,269 | |
505,000 | KY St Property & Bldgs Commn Rev Ref Proj #128, Ser A | 5.00% | 11/01/25 | 515,230 | |
165,000 | KY St Pub Energy Auth Gas Sply Rev Gas Sply, Ser C-1 (Mandatory put 06/01/25) | 4.00% | 12/01/49 | 164,975 | |
2,665,000 | Nthrn KY Wtr Dist Rev Ref, Ser B | 4.00% | 02/01/25 | 2,671,064 | |
1,525,000 | Paducah Elec Plant Brd Ref Rev, Ser A, AGM | 5.00% | 10/01/24 | 1,530,446 | |
7,515,345 | |||||
Louisiana — 3.6% | |||||
1,170,000 | E Baton Rouge Parish LA Swr Commn Rev Ref, Ser B (Pre- refunded maturity 02/01/25) | 5.00% | 02/01/30 | 1,182,578 | |
1,000,000 | LA St, GARVEE | 5.00% | 09/01/24 | 1,004,121 | |
2,000,000 | LA St Loc Govt Envrnmntl Facs & Cmnty Dev Auth Rev Var American Biocarbon CT LLC Proj Remk, Ser 2021, AMT (Mandatory put 06/25/24) | 4.00% | 12/01/46 | 1,998,373 | |
1,925,000 | LA St Pub Facs Auth Sol Wst Disp Fac Rev Var Elementus Minerals LLC Proj (Mandatory put 11/01/25) (b) | 5.00% | 10/01/43 | 1,934,316 | |
15,000 | New Orleans LA Wtr Rev Ref (Pre-refunded maturity 12/01/24) | 5.00% | 12/01/29 | 15,103 | |
35,000 | New Orleans LA Wtr Rev Ref (Pre-refunded maturity 12/01/24) | 5.00% | 12/01/34 | 35,241 | |
280,000 | New Orleans LA Wtr Rev Ref (Pre-refunded maturity 12/01/24) | 5.00% | 12/01/44 | 281,928 | |
1,000,000 | Saint James Parish LA Rev Var Nustar Logistics LP Proj Remk, Ser 2011 (Mandatory put 06/01/25) (b) | 5.85% | 08/01/41 | 1,014,674 | |
7,466,334 | |||||
Maine — 0.9% | |||||
800,000 | ME St Fin Auth Sol Wst Disp Rev Casella Waste Sys Proj, AMT (Mandatory put 08/01/25) (b) | 5.13% | 08/01/35 | 802,090 | |
1,000,000 | ME St Govtl Facs Auth, Ser B | 5.00% | 10/01/24 | 1,004,803 | |
1,806,893 | |||||
Maryland — 1.4% | |||||
925,000 | MD St Stadium Auth Rev Football Stadium Issue, Ser A | 5.00% | 03/01/25 | 935,017 | |
2,000,000 | Montgomery Cnty MD, Ser A | 5.00% | 12/01/25 | 2,015,170 | |
2,950,187 | |||||
Massachusetts — 3.2% | |||||
2,000,000 | MA St Clg Bldg Auth Ref, Ser D (Pre-refunded maturity 05/01/25) | 5.00% | 05/01/41 | 2,029,695 | |
475,000 | MA St Dev Fin Agy Rev Ref Boston Med Ctr Sustainable Bonds, Ser G | 5.00% | 07/01/24 | 475,402 | |
1,500,000 | Millbury MA, BANS | 5.00% | 08/30/24 | 1,506,102 |
First Trust Ultra Short Duration Municipal ETF (FUMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Massachusetts (Continued) | |||||
$1,275,000 | Nauset MA Regl Sch Dist, BANS | 5.00% | 05/16/24 | $1,275,428 | |
1,260,000 | Newton MA, BANS | 5.00% | 03/28/25 | 1,276,573 | |
6,563,200 | |||||
Michigan — 1.2% | |||||
400,000 | Great Lakes MI Wtr Auth Wtr Sply Sys Rev Junior Lien Bond, Ser B | 5.00% | 07/01/24 | 400,518 | |
1,250,000 | MI St Fin Auth Rev Ref Clean Wtr Revolving Fund, Ser B | 5.00% | 10/01/25 | 1,276,586 | |
790,000 | New Haven MI Cmnty Schs Ref | 3.00% | 05/01/25 | 781,654 | |
2,458,758 | |||||
Minnesota — 1.3% | |||||
1,000,000 | MN St Hsg Fin Agy Calvary Ctr Apartments, Ser D | 3.65% | 02/01/25 | 993,637 | |
700,000 | MN St Hsg Fin Agy Phalen Vlg, Ser E | 3.88% | 08/01/25 | 696,802 | |
1,000,000 | Saint Paul MN Hsg & Redev Auth Mf Hsg Rev Var Dale Street Proj (Mandatory put 06/01/24) | 3.50% | 12/01/25 | 999,202 | |
2,689,641 | |||||
Missouri — 0.7% | |||||
1,500,000 | MO St Pub Util Commn Rev Nts | 4.00% | 12/01/24 | 1,496,526 | |
Nevada — 1.1% | |||||
1,150,000 | Clark Cnty NV Transptrn Impt, Ser B | 5.00% | 12/01/25 | 1,176,940 | |
1,000,000 | Henderson NV Pub Impt Trust Rev Ref Touro Clg & Univ Sys Oblig Grp (Pre-refunded maturity 07/01/24) | 5.50% | 01/01/44 | 1,002,263 | |
2,179,203 | |||||
New Jersey — 5.7% | |||||
1,000,000 | Evesham Twp NJ, Ser A, BANS | 5.00% | 09/18/24 | 1,004,014 | |
2,335,000 | Jersey City NJ, Ser C, BANS | 5.00% | 10/24/24 | 2,344,136 | |
1,170,000 | Newark NJ Ref, Ser A, AGM | 5.00% | 10/01/24 | 1,174,418 | |
1,000,000 | NJ St Econ Dev Auth Rev Ref, Ser B | 5.00% | 11/01/24 | 1,005,162 | |
1,080,000 | NJ St Econ Dev Auth Rev Ref, Ser XX | 5.00% | 06/15/24 | 1,081,002 | |
100,000 | NJ St Hgr Edu Asst Auth Stdt Loan Rev Sr, Ser 2015-1A, AMT | 5.00% | 12/01/24 | 100,597 | |
1,500,000 | NJ St Hlth Care Facs Fing Auth Rev RWJ Barnabas Hlth Obligated Grp Issue, Ser A | 5.00% | 07/01/25 | 1,526,563 | |
2,000,000 | Robbinsville Twp NJ Mercer Cnty, Ser B, BANS | 5.00% | 07/11/24 | 2,003,671 | |
1,500,000 | Woodbridge Twp NJ, BANS | 4.00% | 03/14/25 | 1,504,573 | |
11,744,136 | |||||
New Mexico — 0.6% | |||||
1,295,000 | NM St Hosp Equipment Loan Council Hosp Rev Presbyterian Hlthcare Svcs Obligated Grp Ref Ser (Pre-refunded maturity 08/01/25) | 5.00% | 08/01/31 | 1,317,243 | |
New York — 6.2% | |||||
1,965,000 | New York City NY Hsg Dev Corp Mf Hsg Rev Sustainable Dev Bonds Var, Ser F-2 (Mandatory put 07/01/25) | 0.60% | 05/01/61 | 1,865,791 | |
2,000,000 | New York City NY Transitional Fin Auth Rev Ref Sub Multi- Modal, Ser B-1 | 5.00% | 11/01/24 | 2,013,480 | |
1,295,000 | NY St Transprtn Dev Corp Spl Fac Rev Ref Terminal 4 JFK Intl Arpt Proj, Ser A, AMT | 5.00% | 12/01/24 | 1,298,960 | |
255,000 | Onondaga NY Civic Dev Corp Le Moyne Clg Proj | 5.00% | 07/01/24 | 254,992 | |
1,500,000 | Phelps Clifton Springs NY Centrl Sch Dist, BANS | 4.50% | 06/28/24 | 1,500,692 | |
1,595,000 | Suffolk Cnty NY, Ser A, BAM | 5.00% | 06/15/25 | 1,621,355 |
First Trust Ultra Short Duration Municipal ETF (FUMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
New York (Continued) | |||||
$1,500,000 | Triborough NY Bridge & Tunnel Auth Payroll Mobility Tax, Ser A, BANS | 5.00% | 08/15/24 | $1,504,678 | |
1,200,000 | Triborough NY Bridge & Tunnel Auth Payroll Mobility Tax, Ser B, BANS | 5.00% | 12/16/24 | 1,209,497 | |
1,500,000 | Waterloo NY Centrl Sch Dist, BANS | 4.50% | 06/28/24 | 1,500,254 | |
12,769,699 | |||||
North Carolina — 0.8% | |||||
1,630,000 | NC St Dept Grant Anticipation Rev | 5.00% | 03/01/25 | 1,649,122 | |
North Dakota — 0.7% | |||||
1,500,000 | Cass Cnty ND Jt Wtr Res Dist, Ser A | 0.48% | 05/01/24 | 1,500,000 | |
Ohio — 2.6% | |||||
2,000,000 | Hamilton OH, BANS | 4.50% | 12/19/24 | 2,005,708 | |
500,000 | OH St Air Quality Dev Auth Ref American Elec Pwr Company Proj Remk, Ser B, AMT (Mandatory put 10/01/24) | 2.10% | 07/01/28 | 491,974 | |
1,500,000 | OH St Air Quality Dev Auth Ref American Elec Pwr Company Proj Remk, Ser C, AMT (Mandatory put 10/01/24) | 2.10% | 04/01/28 | 1,475,921 | |
1,400,000 | OH St Hosp Fac Rev Ref Cleveland Clinic Hlth Sys, Ser A | 5.00% | 01/01/25 | 1,412,522 | |
5,386,125 | |||||
Oregon — 4.2% | |||||
2,000,000 | Lane Cnty OR Sch Dist #4J Eugene (Pre-refunded maturity 06/15/24) | 4.00% | 06/15/28 | 1,999,835 | |
1,500,000 | OR St Article XI-Q State Projs, Ser J | 5.00% | 11/01/24 | 1,509,889 | |
1,790,000 | OR St Dept of Transprtn Hwy User Tax Rev Ref Sr Lien, Ser A | 5.00% | 11/15/24 | 1,802,575 | |
685,000 | OR St Ref, Ser I | 5.00% | 08/01/25 | 698,363 | |
2,500,000 | Portland OR Wtr Sys Rev Ref Second Lien, Ser B | 5.00% | 05/01/25 | 2,537,119 | |
8,547,781 | |||||
Pennsylvania — 6.2% | |||||
1,530,000 | PA Ref, 1st Ser, AGM | 5.00% | 09/15/25 | 1,564,457 | |
260,000 | PA St Econ Dev Fing Auth UPMC Rev Ref, Ser B | 5.00% | 05/15/24 | 260,087 | |
225,000 | PA St Econ Dev Fing Auth UPMC Rev, Ser A-2 | 5.00% | 05/15/24 | 225,075 | |
2,580,000 | PA St Turnpike Commn Turnpike Rev, Ser A (Forward refunding maturity 12/01/24) | 5.00% | 12/01/38 | 2,598,267 | |
1,250,000 | Philadelphia PA Arpt Rev Ref, Ser B, AMT | 5.00% | 07/01/25 | 1,263,431 | |
2,000,000 | Philadelphia PA Sch Dist Trans, Ser A | 5.00% | 06/28/24 | 2,002,317 | |
500,000 | Pottsville PA Hosp Auth Hlth Ctr Rev Schuylkill Hlth Sys Proj (b) | 6.00% | 07/01/24 | 501,258 | |
300,000 | Riverside PA Sch Dist Ref, BAM | 4.00% | 10/15/24 | 300,140 | |
275,000 | Riverside PA Sch Dist Ref, BAM | 4.00% | 10/15/25 | 276,206 | |
785,000 | Scranton PA Sch Dist Ref | 5.00% | 12/01/24 | 788,698 | |
1,000,000 | St Pub Sch Bldg Auth PA Lease Rev Ref Sch Philadelphia Sch Dist Proj, Ser A, BAM | 5.00% | 06/01/24 | 1,000,745 | |
2,000,000 | Tender Option Bond Trust Receipts / Ctfs Various States JPM Putters Xm1120, AGM (a) (b) | 3.87% | 10/01/26 | 2,000,000 | |
12,780,681 | |||||
Rhode Island — 0.5% | |||||
1,050,000 | RI St Hlth & Eductnl Bldg Corp Pub Schs Rev, Ser D, BAM | 5.00% | 05/15/24 | 1,050,382 | |
South Carolina — 0.3% | |||||
550,000 | Greenville Cnty SC Sch Dist Installment Pur Rev Ref SC Proj | 5.00% | 12/01/24 | 554,071 |
First Trust Ultra Short Duration Municipal ETF (FUMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Tennessee — 2.9% | |||||
$750,000 | Johnson City TN Hlth & Eductnl Facs Brd Hosp Rev Ref Ballad Hlth, Ser A | 5.00% | 07/01/24 | $750,350 | |
2,000,000 | Knoxville TN Wstwtr Sys Rev, Ser A | 4.00% | 04/01/25 | 2,008,862 | |
1,300,000 | Tennergy Corp TN Gas Rev, Ser A (Mandatory put 10/01/24) | 5.00% | 02/01/50 | 1,305,301 | |
910,000 | TN St Energy Acq Corp Gas Rev, Ser A | 5.25% | 09/01/24 | 912,324 | |
1,000,000 | TN St, Ser A (Pre-refunded maturity 09/01/24) | 5.00% | 09/01/33 | 1,003,956 | |
5,980,793 | |||||
Texas — 17.3% | |||||
1,650,000 | Austin TX Wtr & Wstwtr Sys Rev Ref | 5.00% | 11/15/25 | 1,685,683 | |
1,000,000 | Centrl TX Regl Mobility Auth Rev Ref | 5.00% | 01/01/25 | 1,007,240 | |
650,000 | Cypress Fairbanks Indep Sch Dist Ref, Ser A | 5.00% | 02/15/25 | 657,340 | |
560,000 | Dallas Fort Worth TX Intl Arpt Rev Ref, Ser B | 5.00% | 11/01/24 | 563,499 | |
500,000 | Dallas Fort Worth TX Intl Arpt Rev Ref, Ser B | 5.00% | 11/01/25 | 510,642 | |
1,420,000 | Dallas TX Area Rapid Transit Sales Tax Rev Ref Sr Lien | 5.00% | 12/01/25 | 1,455,909 | |
1,900,000 | Duncanville TX Indep Sch Dist Sch Bldg (Pre-refunded maturity 02/15/25) | 5.00% | 02/15/36 | 1,917,942 | |
1,295,000 | Fort Bend TX Indep Sch Dist Var Remk, Ser A (Mandatory put 08/01/24) | 2.38% | 08/01/49 | 1,288,074 | |
1,665,000 | Fort Worth TX Wtr & Swr Rev Impt Ref, Ser A | 5.00% | 02/15/25 | 1,683,026 | |
400,000 | Galveston TX Wharves & Terminal Rev First Lien, AMT | 5.25% | 08/01/24 | 400,333 | |
250,000 | Galveston TX Wharves & Terminal Rev First Lien, AMT | 5.25% | 08/01/25 | 252,156 | |
1,105,000 | Georgetown TX Indep Sch Dist | 5.00% | 08/15/24 | 1,108,446 | |
1,000,000 | Harris Cnty TX Cultural Edu Facs Fin Corp Rev Var Ref Memorial Hermann Hlth Sys, Ser C-2 (Mandatory put 12/01/24) | 5.00% | 06/01/32 | 1,004,711 | |
1,140,000 | Harris Cnty TX Met Transit Auth Sales & Use Tax, Ser D | 5.00% | 11/01/24 | 1,147,011 | |
1,000,000 | Harris Cnty TX Toll Road Rev Ref, Ser A | 5.00% | 08/15/25 | 1,018,683 | |
1,465,000 | Houston TX Util Sys Rev Ref Comb 1st Lien, Ser C | 5.00% | 05/15/24 | 1,465,534 | |
600,000 | Houston TX Util Sys Rev Rev Ref First Lien, Ser A | 5.00% | 11/15/24 | 604,183 | |
700,000 | Love Field TX Arpt Modernization Corp Gen Arpt Rev, AMT | 5.00% | 11/01/24 | 702,488 | |
1,350,000 | Lower CO River TX Auth Rev Ref | 5.00% | 05/15/24 | 1,350,452 | |
1,100,000 | Lower CO River TX Auth Rev Ref, Ser A | 5.00% | 05/15/24 | 1,100,368 | |
275,000 | Mansfield TX Indep Sch Dist Ref, Ser B | 5.00% | 02/15/25 | 277,956 | |
125,000 | Mission TX Econ Dev Corp Sol Wst Disp Rev Var Ref Waste Mgmt Inc Proj Remk, Ser B, AMT (Mandatory put 06/03/24) (a) | 4.10% | 07/01/40 | 124,927 | |
1,500,000 | Mission TX Econ Dev Corp Sol Wst Disp Rev Var Rep Svcs Inc Proj Remk, Ser A, AMT (Mandatory put 08/01/24) (a) | 4.10% | 05/01/50 | 1,500,000 | |
800,000 | Mission TX Econ Dev Corp Sol Wst Disp Rev Var Wst Mgmt Inc Proj Remk, Ser A, AMT (Mandatory put 06/03/24) (a) | 4.10% | 05/01/46 | 799,532 | |
430,000 | Montgomery Cnty TX Muni Util Dist #105, BAM | 4.63% | 09/01/24 | 430,187 | |
1,200,000 | N TX St Muni Wtr Dist Wtr Sys Rev Ref & Impt | 5.00% | 09/01/24 | 1,201,122 | |
1,000,000 | New Hope Cultural Edu Facs Fin Corp TX Stdt Hsg Rev Chf Collegiate Hsg Tarleton St Univ Proj, Ser A (Pre-refunded maturity 04/01/25) | 5.00% | 04/01/47 | 1,012,441 | |
1,010,000 | Pasadena Indep Sch Dist | 5.00% | 02/15/25 | 1,021,327 | |
400,000 | Port Auth of Houston of Harris Cnty TX Ref First Lien | 5.00% | 10/01/24 | 402,069 | |
1,000,000 | Socorro TX Indep Sch Dist Ref, Ser A (Pre-refunded maturity 08/15/24) | 5.00% | 08/15/30 | 1,003,008 | |
965,000 | Tarrant Cnty TX Hosp Dist | 5.00% | 08/15/24 | 968,120 | |
875,000 | Travis Cnty TX Hsg Fin Corp Mf Hsg Rev Var Kensington Apts (Mandatory put 08/01/25) | 3.75% | 08/01/26 | 867,144 |
First Trust Ultra Short Duration Municipal ETF (FUMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Principal Value | Description | Stated Coupon | Stated Maturity | Value | |
MUNICIPAL BONDS (Continued) | |||||
Texas (Continued) | |||||
$1,000,000 | TX St Dept of Hsg & Cmnty Affairs Mf Hsg Rev Var Nts Aspen Park (Mandatory put 03/01/26) | 5.00% | 03/01/41 | $1,006,202 | |
650,000 | TX St Turnpike Auth Centrl TX Turnpike Sys Rev Unrefunded 1st Tier, Ser A, AMBAC, CABS | (c) | 08/15/24 | 642,070 | |
2,000,000 | United TX Indep Sch Dist Sch Bldg (Pre-refunded maturity 08/15/24) | 5.00% | 08/15/44 | 2,005,728 | |
1,305,000 | Ysleta TX Indep Sch Dist Ref (Pre-refunded maturity 08/15/24) | 5.00% | 08/15/28 | 1,308,551 | |
35,494,104 | |||||
Virginia — 0.5% | |||||
845,000 | Richmond VA Redev & Hsg Auth Mf Rev Var Townes at River South (Mandatory put 03/01/25) | 4.25% | 03/01/26 | 845,997 | |
175,000 | VA Clg Bldg Auth Eductnl Facs Rev Ref Regent Univ Proj | 5.00% | 06/01/24 | 174,945 | |
1,020,942 | |||||
Washington — 3.2% | |||||
2,430,000 | Grant Cnty WA Pub Util Dist #2 Priest Rapids Hydro Elec R Ref, Ser B, AMT (Pre-refunded maturity 07/01/24) | 5.00% | 01/01/29 | 2,432,943 | |
1,790,000 | Seattle WA Wtr Sys Rev Sustainable Bond Ref | 5.00% | 08/01/24 | 1,795,249 | |
1,700,000 | WA St Hlth Care Facs Auth Ref Commonspirit Hlth, Ser B1 (Mandatory put 08/01/24) | 5.00% | 08/01/49 | 1,702,227 | |
350,000 | WA St Hsg Fin Commn Nonprofit Hsg Rev Ref Emerald Heights Proj, Ser A | 5.00% | 07/01/24 | 350,445 | |
345,000 | WA St Hsg Fin Commn Nonprofit Hsg Rev Ref Emerald Heights Proj, Ser A | 5.00% | 07/01/25 | 348,945 | |
6,629,809 | |||||
Wisconsin — 1.1% | |||||
410,000 | Milwaukee WI Ref Prom Nts, Ser N2 | 4.00% | 03/15/25 | 410,107 | |
1,880,000 | Pub Fin Auth WI Sol Wst Disp Rev Ref Wst Mgmt Inc Proj Remk, Ser A-2, AMT (Mandatory put 08/01/24) (a) | 4.10% | 10/01/25 | 1,880,000 | |
2,290,107 | |||||
Total Investments — 99.3% | 204,036,289 | ||||
(Cost $204,587,043) | |||||
Net Other Assets and Liabilities — 0.7% | 1,385,056 | ||||
Net Assets — 100.0% | $205,421,345 |
(a) | Variable rate demand bond. Interest rate is reset periodically by the agent based on current market conditions. |
(b) | This security, sold within the terms of a private placement memorandum, is exempt from registration upon resale under Rule 144A of the Securities Act of 1933, as amended, and may be resold in transactions exempt from registration, normally to qualified institutional buyers. Pursuant to procedures adopted by the Trust’s Board of Trustees, this security has been determined to be liquid by First Trust Advisors L.P., the Fund’s advisor. Although market instability can result in periods of increased overall market illiquidity, liquidity for each security is determined based on security specific factors and assumptions, which require subjective judgment. At April 30, 2024, securities noted as such amounted to $9,627,269 or 4.7% of net assets. |
(c) | Zero coupon security. |
First Trust Ultra Short Duration Municipal ETF (FUMB)Portfolio of Investments (Continued)April 30, 2024 (Unaudited)
Abbreviations throughout the Portfolio of Investments: | |
AGM | – Assured Guaranty Municipal Corp. |
AMBAC | – American Municipal Bond Assurance Corp. |
AMT | – Alternative Minimum Tax |
BAM | – Build America Mutual |
BANS | – Bond Anticipation Notes |
CABS | – Capital Appreciation Bonds |
COPS | – Certificates of Participation |
GARVEE | – Grant Anticipation Revenue Vehicle |
TANS | – Tax Anticipation Notes |
Valuation Inputs
A summary of the inputs used to value the Fund’s investments as of April 30, 2024 is as follows (see Valuation Inputs in the Additional Information section):
Total Value at 4/30/2024 | Level 1 Quoted Prices | Level 2 Significant Observable Inputs | Level 3 Significant Unobservable Inputs | |
Municipal Bonds* | $204,036,289 | $— | $204,036,289 | $— |
* | See Portfolio of Investments for state and territory breakout. |
First Trust Exchange-Traded Fund IIIAdditional InformationApril 30, 2024 (Unaudited)
Valuation Inputs
The Funds are subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
• Level 1 – Level 1 inputs are quoted prices in active markets for identical investments.
• Level 2 – Level 2 inputs are observable inputs, either directly or indirectly. (Quoted prices for similar investments, valuations based on interest rates and yield curves, or valuations derived from observable market data.)
• Level 3 – Level 3 inputs are unobservable inputs that may reflect the reporting entity’s own assumptions about the assumptions that market participants would use in pricing the investment.
The inputs or methodologies used for valuing investments are not necessarily an indication of the risk associated with investing in those investments.